NorthWestern Corporation

NASDAQ:NWE

52.58 (USD) • At close November 4, 2024
Overview | Financials

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994
Operationele Activiteiten:
Nettowinst 194.131183.008186.84155.215202.1196.96162.703164.172151.209120.68693.98398.40692.55677.37673.4267.60153.19137.959.467-6.944-113.725-863.94244.53250.59944.727.323.723.418.215.4
Afschrijvingen & Amortisatie 210.795.321187.42179.6815.8574.6454.7942.1172.2585.033112.831106.044100.92691.76989.03985.07182.41575.305070.25270.25298.56700000000
Uitgestelde Inkomstenbelasting 6.584-8.9920.525-7.574-13.864-13.18912.363-8.18433.886-9.61254.61751.8964.06548.78347.01442.58734.99426.71140.746-3.93810.33435.643-48.529-9.493-9.51.54.45.82.51.5
Aandelen Gebaseerde Vergoedingen 5.1765.4885.354.1498.0077.6835.5636.7315.0825.46.0043.659000000000000000000
Verandering in Werkkapitaal 85.022-58.894-154.31522.662-71.215.488-21.836-30.55611.38514.778-66.38720.758-25.8894.096-94.064-1.6135.6912.87913.979-39.334-73.381-24.945168.3481.997-6.9-7.53.411.2-2.5-1.2
Vorderingen 32.695-46.282-30.442-0.824-5.03219.909-22.726-5.1469.06912.622-30.7923.456-3.8470.45511.913-12.156.31110.1960-14.819-14.63641.99100000000
Voorraden -7.18-26.744-19.604-7.085-3.111.617-3.2264.2521.6360.7470.1815.371-8.831-3.39623.436-7.155-3.096-19.618-3.7763.83-0.6145.93137.907-41.451-34.724.78.3-4.4-0.3-1.4
Crediteuren -54.72250.5377.49416.043-1.821-3.8053.6153.639-11.169-9.5656.23510.976-1.928-12.766-9.2243.21812.123-20.485022.62622.443-50.69400000000
Overig Werkkapitaal 114.229-36.405-111.76314.528-61.237-2.2330.501-33.30111.84910.974-42.0110.955-11.28319.803-120.18914.47720.35242.78617.755-50.971-80.574-22.173130.44143.44827.8-32.2-4.915.6-2.20.2
Overige Niet-Contante Posten -12.472181.311-5.842-1.984165.8170.398160.021154.732135.998-1.521-3.011-52.37190.679-6.564-2.113-0.641-0.50813.92336.318-3.976-71.93530.6-37.3533.62243.448.631.220.517.210.6
Kasstroom uit Operationele Activiteiten 489.231307.242219.978352.149296.7381.985323.608289.012339.818250.039193.716251.193233.757218.92116.804198.326201.964169.901150.51-9.765-93.8634.043127.00176.72571.769.962.760.935.426.3
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -566.889-515.14-434.328-405.762-316-283.966-276.438-287.901-283.705-270.384-230.454-219.234-188.73-228.373-189.36-124.563-117.084-101.046-80.877-17.723-70.737-115.939-40.868-32.097-32.6-22.6-39.1-59.7-40.2-22.7
Netto Overnames 0000-0.1-18.5040.3791.354-146.668-903.573-68.66600-12.37200-141.25707.5050-72.926-574.322-157.042-152.765-209.1-318.1-42.2-2-5.40
Aankoop van Beleggingen -3.923-1.719-1.505-0.042-0.135-2.5000-18.16900000000-118.8072.9262.19900000000
Verkoop/verval van Beleggingen 00000.13500016.108000000000123.4780.07572.92631.5617.0535.75334.2036.6000
Overige Investeringsactiviteiten -3.923-1.719-1.505-0.042-0.10.0710.3791.35446.317-14.823-64.9-102.9790.2090.0690.3260.21.84232.396-3.85525.2612.7432.199000-690-107.4-115.2-1.4
Kasstroom uit Investeringsactiviteiten -570.812-516.859-435.833-405.804-316.2-304.899-276.059-286.547-384.056-1,206.949-295.354-322.213-188.521-240.676-189.034-124.363-256.499-68.65-72.5497.6134.932-654.302-190.857-179.109-207.5-409.7-44.7-169.1-160.8-24.1
Financieringsactiviteiten:
Schuldaflossingen -168-77-100.955-67-19-11.556-250-225.205-150.025-0.09-0.149-3.945-239.589-839.152-538.624-254.355-53.54-37.549-94.28400-508.35700000000
Uitgifte van Gewone Aandelen 74.682277.574196.953-1.3911.43247.04554.752320.59756.651399.20756.82528.4770.1539200309168.8342.8960.13100198.902171.7110.0211.7256.40191.865.90
Terugkoop van Gewone Aandelen 00250.915-1.391-1.4320268.745-0.561-0.664-0.814-1.042-0.429246.934-0.185-0.741-78.706-0.896-4.312-5.5730-9.72-4.0280000-20.4000
Uitgekeerde Dividenden -154.05-140.062-128.483-120.35-115.127-109.202-101.27-95.765-90.058-65.019-57.684-54.246-51.909-48.997-48.186-49.833-47.286-44.091-35.63400-38.081-29.956-26.312-24.4-19.1-16.9-16.3-14.5-12.9
Overige Financieringsactiviteiten 70.355152.806-0.909248.813150.3-11.647-16.382-8.432219.952627.431110.423105.057-1.131-8.02652.833-1.55-1.734-18.9560.078-84.61987.277982.603-115.972190.599157.3119.1-3.1-35.176.110.2
Kasstroom uit Financieringsactiviteiten 84.305213.318217.52158.68116.2-73.804-44.155-9.36635.856960.715108.37374.914-45.54223.64665.282-75.44465.378-102.012-135.282-84.61977.557631.03925.783164.308134.6356.4-40.4140.4127.5-2.7
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 00000.1000000000000000000000-0.10-0.10
Netto Kasstroomverandering 2.7243.7011.6665.026-3.23.2823.394-6.901-8.3823.8056.7353.894-0.3061.89-6.948-1.48110.843-0.761-57.321-86.771-11.37110.78-38.07361.924-1.216.6-22.532.22-0.5
Kaspositie aan het Einde van de Periode 25.18722.46318.76217.09612.115.3118.4735.07911.9820.36216.5579.8225.9286.2344.34411.29212.7731.930.69117.05815.18345.56953.52891.60129.730.914.336.84.62.6