Nuvera Communications, Inc.

OTC:NUVR

10 (USD) • At close November 17, 2023
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) USD.

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1.260.3112.3068.6182.9931.5851.8420.6160.5520.9450.9642.751.2222.3952.5263.3219.5130.4582.7072.7392.2011.9144.2460.7011.533
Kortetermijnbeleggingen 0000000.028000000000000000000.6
Liquide middelen en kortetermijnbeleggingen 1.260.3112.3068.6182.9931.5851.8420.6160.5520.9450.9642.751.2222.3952.5263.3219.5130.4582.7072.7392.2011.9144.2460.7012.133
Nettovorderingen 3.4124.0093.8322.5012.3574.2831.9452.261.9622.291.4592.1982.5981.7474.0523.4931.4951.3371.0571.4182.6492.6261.8781.4931.457
Voorraad 34.43923.6185.3572.9662.8272.5812.0751.862.5122.2282.5352.2761.9471.7081.2961.1320.3630.240.2520.2630.3370.5020.9671.8610.557
Overige vlottende activa 2.2451.8861.88710.8270.7710.0280.7251.8151.51.5391.4061.3611.5931.211.4280.2810.2070.2580.2590.2720.1840.1120.1280.088
Totaal vlottende activa 41.35629.82413.38215.0859.0049.226.7135.4616.846.9636.4978.637.1287.4439.0849.37411.64932.2424.2744.6795.4595.2277.2034.1834.236
Niet-vlottende activa:
Materiële vaste activa, netto 156.899107.53382.30471.6969.61764.50841.9542.92744.11446.08343.55944.82434.87936.39137.76740.44722.822.70725.26626.6228.29129.72923.99519.75712.397
Goodwill 40.60349.90349.90349.90349.90349.90339.80539.80539.80539.80539.80539.97629.70729.70729.51629.5163.2193.2383.2403.2443.2463.24800
Immateriële activa 14.48916.36318.31621.63924.08527.40916.25718.72621.19523.66726.13828.60920.21622.29324.21726.0170.017003.2420003.3330
Goodwill en immateriële activa 55.09266.26668.21971.54273.98877.31256.06358.53261.00163.47265.94368.58549.9235253.73355.5333.2363.2383.243.2423.2443.2463.2483.3330
Langetermijnbeleggingen 9.66511.01610.4189.969.4549.177.5217.3467.2957.0796.7326.49225.64424.37923.29624.8893.75907.2959.1200000
Belastingvorderingen 14.48922,737.5319.48516.98816.4716.14110.31916.31418.39119.16119.41820.2160.190.8450.2390.7150.3090-7.295-9.1200000
Overige niet-vlottende activa -13.604-22,734.854-19.062-16.689-16.287-16.119-10.266-16.248-18.005-18.685-19.27-20.138-0.074-0.6210.116-0.36517.321.86922.52419.29416.33615.1098.4067.68610.394
Totaal niet-vlottende activa 222.54187.491161.362153.492153.242151.012105.586108.87112.796117.11116.383119.978110.562112.994115.152121.2247.40447.81451.0349.15647.87148.08535.64930.77622.791
Totaal activa 263.895217.315174.744168.577162.245160.231112.3114.331119.636124.074122.88128.608117.691120.437124.235130.59459.05380.05655.30453.83553.33153.31142.85234.95827.027
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 12.8037.0123.2441.6051.8073.0612.0792.3791.6273.051.7931.9881.1871.1551.9251.5511.5160.2950.9721.3281.0122.2240.5941.2851.256
Kortlopende schulden 0.3530.3564.5126.7884.5124.5123.3163.3162.72.740.7084.1133.6993.4592.9580.5190.0270.0262.5172.5162.5152.5141.8670.8670.367
Belastingschulden 0.5810.2440.260.2590.9620.2290.8430.180.1760.1810.3050.1940.189001.962022.3920000000
Uitgestelde opbrengsten 0.58122,737.530000000002.2300.8580.8822.672008.4287.971-2.515-2.514000
Overige kortlopende verplichtingen 4.838-22,733.2373.0813.6374.8313.3683.132.5942.8742.4662.4440.3042.4751.9731.6272.2330.81623.184-6.999-7.3623.2033.1460.5510.5570.391
Totaal kortlopende verplichtingen 18.57611.66210.83712.0311.15110.9418.5258.2897.2028.21644.9458.6357.3617.4457.3926.9752.3623.5054.9184.4534.2155.373.0112.7082.013
Langlopende verplichtingen:
Langetermijnschulden 122.89278.55243.11547.16151.07257.08424.02228.29833.63536.944042.49439.80943.81547.30951.2520.0610.0812.59815.11417.6320.15315.78.9912.933
Uitgestelde opbrengsten niet-vlottend 1.0302.4354.5032.4751.2160.8270.9581.1051.40501.2292.241002.567000000000
Uitgestelde belastingverplichtingen niet-vlottend 23.03222.73819.48516.98816.4716.14110.31916.31418.39119.16119.41820.21614.14213.47713.70913.3353.0193.2445.8686.0695.2443.6522.2861.4791.511
Overige niet-vlottende verplichtingen 0.3591.7810.2220.2740.3190.2540.1580.2140.2330.2971.5640.3040.4533.2543.9454.7630.3282.4780.3750.3750.0030.0070.010.0140.017
Totaal niet-vlottende verplichtingen 147.313103.07165.25768.92670.33774.69535.32645.78453.36457.80820.98264.24356.64660.54664.96371.9173.4085.80318.84121.55822.87823.81117.99610.4834.461
Totaal passiva 165.889114.73376.09480.95681.48785.63643.85154.07360.56666.02465.92772.87864.00767.99172.35578.8925.76829.30823.75826.01127.09229.18121.00713.1926.474
Eigen vermogen:
Preferente aandelen 000000000000.1790000000000000
Gewone aandelen 8.5558.4898.6838.6688.6498.6258.68.5668.5288.5028.4838.5078.5268.5268.5268.5268.5268.5268.5268.5268.5268.5268.5268.668.662
Ingehouden winsten 88.49192.43190.33980.74872.10666.18159.81551.70650.56149.54848.47147.40345.97245.6245.20745.40544.75942.22223.0219.29917.71215.60413.31913.10711.89
Overige gereserveerde algehele resultaten 0.9591.582-0.631-1.945-0.186-0.2910.02-0.014-0.019-92.298-86.075-0.179-0.814-1.7-1.852-2.229-46.339-42.663-38.747-34.771-30.588-26.424000
Overige totale aandeelhoudersvermogen 00.080.260.1490.1890.080.0140092.29886.075-0.179000046.33942.66338.74734.77130.58826.424000
Totaal eigen vermogen van aandeelhouders 98.006102.58298.65187.62180.75874.59568.44960.25859.0758.0556.95455.73153.68452.44651.88151.70253.28550.74831.54627.82426.23824.1321.84521.76720.553
Totaal eigen vermogen 98.006102.58298.65187.62180.75874.59568.44960.25859.0758.0556.95455.73153.68452.44651.88151.70253.28550.74831.54627.82426.23824.1321.84521.76720.553
Totaal passiva en aandeelhoudersvermogen 263.895217.315174.744168.577162.245160.231112.3114.331119.636124.074122.88128.608117.691120.437124.235130.59459.05380.05655.30453.83553.33153.31142.85234.95827.027