Owens & Minor, Inc.

NYSE:OMI

15.53 (USD) • At close September 13, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst -41.30122.389221.58929.871-62.371-437.01272.793108.787103.40966.503110.882109.003115.198110.579116.859101.25772.7148.75264.4260.553.64147.21730.10333.0882820.124.313-11.37.919.421.112.18.82.58.44.94.4
Afschrijvingen & Amortisatie 287.377228.66790.62193.336116.678101.92759.44355.39365.98263.40750.58639.60434.13529.14825.26521.95539.1428.93319.25214.88415.71815.92622.46921.51519.418.317.716.115.4137.65.96.15.33.63.11.81.4
Uitgestelde Inkomstenbelasting -23.648-26.361-29.73615.564-17.402-35.018-49.9884.218-6.101-3.3853.7131.0614.52-0.09410.86917.618-5.4579.64-3.939.04710.216-8.00211.268-1.2938.222.7000000000000
Aandelen Gebaseerde Vergoedingen 23.21820.99325.01620.0115.80316.37611.91112.04211.3068.2076.3815.6975.6746.3587.0357.5630000000000000000000000
Verandering in Werkkapitaal 522.28689.768-261.478.54660.61714.23-46.3583.21692.794-153.108-30.67258.517-117.81978.776-0.306-95.43683.852-195.32339.895-35.0850.166-78.613-56.8413.00735.5-41.6-37.7157.3-17.9-178.5-38.1-19.1-8.83.2-15.326.817.489.1
Vorderingen 166.5811.101-2.201-34.81863.52611.106-100.01-25.24418.333-17.803-38.64527.161-37.27324.61119.255-48.4640000000000000000000000
Voorraden 224.338166.559-263.439-85.154127.921-65.451-57.03222.589-69.727-57.329-7.06454.54-99.95-41.315-13.528-56.15660.185-107.965-9.896-55.247-35.73733.538-78.19823.935-42.48.9-6.143.6-6.2-81.3-28.20.4-3.8-20.60000
Crediteuren 30.99713.6523.548193.24-235.63192.179143.94743.43103.518-52.14847.374-18.69444.05886.146-18.755-1.7960000000000000000000000
Overig Werkkapitaal 100.37-91.5440.6925.278104.801-23.604-33.263-37.55940.67-25.828-32.337-4.49-24.6549.33412.72210.9823.667-87.35849.79120.16235.903-112.15121.358-10.92877.9-50.5-31.6113.7-11.7-97.2-9.9-19.5-523.8-15.326.817.40
Overige Niet-Contante Posten -27.222-10.4578.087101.89652.76455.0868.9733.2782.20714.615-0.3364.62516.43318.15615.85522.85629.59534.4186.7974.3138.992.8931.709-23.162-0.1-0.23.71.72.43.71.1-4.26.74.49.2-38.3-24.1-94.9
Kasstroom uit Operationele Activiteiten 740.71325.006124.177339.223166.085115.58956.774186.934269.597-3.761140.554218.50668.141242.923175.57775.813219.84-73.58135.37458.65494.904-14.2621.64143.15592.332.58188.1-11.4-153.9-103.716.121.700089.1
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -207.892-166.582-49.69-59.193-52.228-65.685-50.737-30.121-36.616-70.808-60.129-38.963-36.315-41.349-32.289-17.669-30.546-38.733-30.166-18.194-17.651-9.757-10.147-8.005-104.8-12.6-12-6.2-7.4-6.6-6.3-5-5.9-6.50000
Netto Overnames 71.574-1,684.607-43.3731330.331-751.834-366.5695.3750.143-248.5360-155.21006.994-96.7915.441-170.68-65.448-3.288000000000000000000
Aankoop van Beleggingen 000000000-0.4640000000000000000000000000000
Verkoop/verval van Beleggingen 0000000001.9370000000000000000000000020000
Overige Investeringsactiviteiten -0.93646.71339.4336.266-9.4781.690.6635.3750.1430.623.0513.2982.433.92667.08-8.8720.327-0.144-9.7772.1320.520.009-7.544-11.774-2.4-0.21.9-0.2-10.3-42.2-5.848.4-3.40.30000
Kasstroom uit Investeringsactiviteiten -137.254-1,804.476-53.6380.073-51.897-815.829-416.643-24.746-36.473-317.251-57.078-190.875-33.885-37.42341.785-123.331-14.778-209.557-105.391-19.35-17.131-9.748-17.691-19.779-107.2-12.6-10.1-6.4-17.7-48.8-12.143.4-9.3-4.20000
Financieringsactiviteiten:
Schuldaflossingen -892.693-1,160.8-656.34-536.871-117.792-16.25-3.1250-33.7-217.352000-101.4-150.57800000-27.9-27.90000000000000000
Uitgifte van Gewone Aandelen 000189.97100352.80200543.4820000009.6214.3174.3155.2634.6721.9928.2554.8370.102.61.80.51.3102.40.80000
Terugkoop van Gewone Aandelen 000000-5-71.028-20-9.934-18.876-15-16.1240000000-31.323-6.594000-115000000000000
Uitgekeerde Dividenden 00-0.731-0.648-5.226-48.2-63.151-63.382-63.651-63.104-60.731-55.681-50.909-44.78-38.37-33.048-27.637-24.092-20.713-17.322-12.727-10.567-9.182-8.156-7.5-9.3-11-10.9-10.7-7.7-4.2-3.2-2.6-2.20000
Overige Financieringsactiviteiten 475.3632,657.905527.593158.133-7.179765.521-8.72-7.533-6.88225.468-2.3732.2669.5023.75759.83691.429-190.007236.1052.51612.2162.47969.48717.304-20.122.4104.210.3-172.139207.520.3-37.6-9.2-160000
Kasstroom uit Financieringsactiviteiten -417.331,497.105-129.478-379.386-130.197701.071272.806-141.943-124.233278.56-81.98-68.415-57.531-142.423-129.11258.381-208.023216.33-13.8820.157-64.79926.41816.377-23.41915-20.11.9-181.228.8201.117.1-40.8-9.4-17.40000
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0.613-3.485-3.549.909-2.671-1.9866.0974.223-4.643-2.6812.5212.734000-13.372000000000.10000000000000
Netto Kasstroomverandering 186.73914.15-62.47149.819-18.68-1.155-80.96624.468104.248-45.1334.017-38.05-23.27563.07788.253.544-2.961-66.80716.10139.46112.9742.4080.327-0.0430.2-0.2-0.20.5-0.3-1.6-56.3-2.60.100089.1
Kaspositie aan het Einde van de Periode 272.92486.18572.035134.50684.687103.367104.522185.488161.0256.772101.90597.888135.938159.21396.13613.9392.1295.0971.89755.79616.3353.3610.9530.6260.70.40.50.70.20.42.17.10.73.400089.1