O'Reilly Automotive, Inc.

NASDAQ:ORLY

1125.48 (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 2,372.4172,346.5812,172.652,164.6851,752.3021,391.0421,324.4871,133.8041,037.691931.216778.182670.292585.746507.673419.373307.498186.232193.988178.085164.266139.566100.08781.99266.35251.70845.630.823.11914.111.18.2
Afschrijvingen & Amortisatie 440.273409.061357.933328.217314.635270.875258.937233.845217.866210.256194.205183.18177.106165.88161.442148.179112.99878.94364.93857.22854.32542.37436.90730.54424.81217.912.28.36.143.22.8
Uitgestelde Inkomstenbelasting 048.23269.57520.38312.38121.39620.16-4.59310.394-22.651.4871.9198.16254.1299.25750.38111.031-6.341-1.017-0.6717.6413.7965.6666.3713.2455.57.6-11.50.90-0.1
Aandelen Gebaseerde Vergoedingen 27.16927.51126.45824.65622.74721.921019.40118.85921.89923.09521.72222.02620.57916.97321.41313.554007.84000000000000
Verandering in Werkkapitaal 0195.629516.045662.853725.272-8.290.436.569216.466194.888234.93352.265487.894362.00922.123-258.768-37.23115.044-68.919-24.45629.1914.875-26.823-64.82-79.013-46.5-72.2-14.7-23.1-19.5-6.8-13.3
Vorderingen 0-35.539-75.859-47.427-20.515-15.57718.138-27.742-38.548-23.858-19.271-16.9374.404-21.219-21.748-9.714-7.437-8.555-9.426-8.974000000000000
Voorraden 0-288.323-669.046-32.634-198.864-239.912-163.367-231.802-119.27-76.226-179.742-96.876-276.90437.74-110.271-339.742-142.333-68.823-91.427-62.157-66.375-50.211-56.305-35.115-78.145-47.9-53.3-27.9-24.9-16.5-7.6-10.7
Crediteuren 0207.0611,184.858510.911580.608213.423177.676253.265322.427191.064360.646127.178645.706383.63282.57479.82450.4162.27925.73743.158000000000000
Overig Werkkapitaal 0312.4376.092232.003364.04333.86657.98312.84851.857103.90873.338.9114.688-38.14471.56810.86462.12930.1436.1973.51795.56655.08629.482-29.705-0.8681.4-18.913.21.8-30.8-2.6
Overige Niet-Contante Posten 07.075.5896.5169.26611.44513.36514.661-47.109-54.133-41.472-21.352-29.3798.73-15.48116.49711.9585.0071.8129.1155.12511.7096.79111.5825.08-0.1-0.1-0.11.40.10.90.1
Kasstroom uit Operationele Activiteiten 03,034.0843,148.253,207.312,836.6031,708.4791,727.5551,403.6871,454.1671,281.4761,190.43908.0261,251.5551,118.991703.687285.2298.542299.418185.928213.322226.536172.841104.53350.0295.83229.7-19.117.94.90.98.4-1.8
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa 0-1,006.264-563.342-442.853-465.579-628.057-504.268-465.94-476.344-414.02-429.987-395.881-300.719-328.319-365.419-414.779-341.679-282.655-228.871-205.159-173.486-136.497-102.257-68.521-81.987-86-107-37.2-34.5-28.6-13.7-8.5
Netto Overnames 017.68914.803-180.333-164.111-33.781-35-35.1192.758000000-33.76700-63.145000-20.53600000.80.10.10.2
Aankoop van Beleggingen 0-4.15-188.282-180.333-164.111-33.78100000000000-21.7240000000000-12.5-32.4-1.1-18.9
Verkoop/verval van Beleggingen 00-14.803189.827179.88140.8990000000017.364000000000000.5034.911.17.710.1
Overige Investeringsactiviteiten 0-3.21111.639-1.928-0.975-142.0264.9664.717-52.7526.8326.5857.127-16.6888.666-3.2224.1187.8494.0613.67-0.7691.51.932-3.12811.21141.478.25.7-0.50.1-0.1-1.36
Kasstroom uit Investeringsactiviteiten 0-995.936-739.985-615.62-614.895-796.746-534.302-464.223-529.096-407.188-423.402-388.754-317.407-319.653-351.277-410.661-367.597-300.318-225.201-269.073-171.986-134.565-105.385-77.846-40.517-77.8-100.8-37.7-11.2-49.9-8.3-11.1
Financieringsactiviteiten:
Schuldaflossingen 0449.655547.314-300236.515473.955439.661,094.8499.16-0.025-0.072299.752-0.935-399.843-980.027-613.598-583.0300-0.602000000000000
Uitgifte van Gewone Aandelen 091.31679.35684.91562.28460.20672.14645.76259.63464.61369.6269.3563.51457.56263.11659.50822.99521.72720.49318.70914.37324.1627.26517.1025.354132.63.11.51.948.70.619.8
Terugkoop van Gewone Aandelen 0-3,151.155-3,282.265-2,476.048-2,087.194-1,432.791-1,714.013-2,172.53-1,505.437-1,136.213-866.484-933.028-1,445.287-976.632000000000000000000
Uitgekeerde Dividenden 00000000000000000000000000000000
Overige Financieringsactiviteiten 0741.446-6.941-3.725-8.182-4.181-6.079-7.746-4.677-0.93449.1527.844335.136851.406567.287675.185612.836-3.17517.2990-20.989-70.6777.87916.55228.744-76.5116.219.42.8-0.2-0.5-5.3
Kasstroom uit Financieringsactiviteiten 0-1,868.738-2,662.536-2,694.858-1,796.577-902.811-1,208.286-1,039.714-951.32-1,072.559-747.786-536.082-1,047.572-467.507-349.624121.09552.80118.55237.79218.107-6.616-46.51515.14433.65434.09856.1119.320.94.748.50.114.5
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 01.1390.741-0.3590.1030.16900000000000000000000.100049-0.112.9
Netto Kasstroomverandering 0170.549-253.53-103.527425.2349.091-15.033-100.2530.297-134.25919.242-16.81-113.424331.8312.786-4.366-16.25417.652-1.481-37.64447.934-8.23914.2925.837-0.5878.1-0.61.1-1.648.50.114.5
Kaspositie aan het Einde van de Periode 0279.132108.583362.113465.6440.40631.31546.348146.598116.301250.56231.318248.128361.55229.72126.93531.30147.55529.90331.38469.02821.09429.33315.0419.2049.81.72.31.251.93.316.1