Oxford Industries, Inc.

NYSE:OXM

86.12 (USD) • At close January 14, 2025
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Operationele Activiteiten:
Nettowinst 60.703165.735131.321-95.69268.49366.29165.0952.46130.56245.75845.29131.31729.24316.23514.624-265.81219.21552.3251.20149.82739.71620.32710.57215.34623.44126.424.619.62.210.619.214.812.55.57.9
Afschrijvingen & Amortisatie 64.06647.60539.94240.08640.28742.4942.40242.21936.42737.64633.90226.33527.15418.81320.73624.85617.73325.5925.19626.91621.0655.9878.8889.2499.3938.98.19.18.97.876.56.36.26.6
Uitgestelde Inkomstenbelasting -23.89-1.8674.054-18.332-1.9732.9271.8177.88-0.361-3.2170.674-3.7535.375-4.62-8.114-22.63-4.933-5.962-2.847-4.014-2.379-2.3712.844-0.102-1.395-0.11.11.2-2.10.101.20.3-0.9-0.3
Aandelen Gebaseerde Vergoedingen 14.47310.5778.1867.7557.627.3276.4136.4455.2414.1031.6592.7562.184.5494.3653.485000-1.004-1.84200000000000000
Verandering in Werkkapitaal 15.924-97.61425.5768.8166.684-24.0522.448.86713.45510.459-21.813-5.593-32.386-1.81444.65937.75911.404-12.2313.201-20.4325.4583.188-9.60149.9623.3614.8-179.329.6-58.7-6.4-26.9-14.933.6-10.6
Vorderingen -15.103-1.966-4.425.562-13.67610.929-9.192-1.365-3.19416.66813.7530.78900000004.994-36.35400000000000000
Voorraden 62.507-78.9665.37829.3558.187-36.51819.5044.222-8.058-7.101-29.488-5.408-18.332-17.9244.43924.025-21.696-12.80922.751-26.68215.992-19.79362.8295.867-6.30913.93.1-1335.6-55.5-11.9-20.6-15.424.1-0.4
Crediteuren 00-2.66728.42910.271-1.56-8.277.37711.371-5.672-11.917-3.02600000000.05418.22800000000000000
Overig Werkkapitaal -31.48-16.68227.2795.471.9023.0970.398-1.36713.3366.5645.8392.052-14.05416.1060.2213.73433.111.269-19.551.2027.59222.981-72.4344.0959.67-9.1-20.122.3-6-3.25.5-6.30.59.5-10.2
Overige Niet-Contante Posten 113.0081.174-11.06781.2170.8151.3940.4310.69320.0490.66-6.97916.3926.814-17.4025.299312.7051.1762.4013.4810.3440.8840.462-0.316-0.062-0.1820.2-0.1-0.30.2-1.2-0.1-0.6-0.10.30.1
Kasstroom uit Operationele Activiteiten 244.284125.61198.00683.85121.92696.377118.593118.565105.37395.40952.73467.45258.3815.76181.56990.36344.13787.922101.37251.63762.90227.59312.38774.39334.61839.516.238.943.3-41.419.7-53.844.73.7
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -74.098-46.668-31.894-28.924-37.421-37.043-38.748-49.415-73.082-50.355-43.372-60.702-35.31-13.328-11.323-20.735-21.097-31.312-24.953-23.544-14.143-2.051-1.528-4.332-5.927-28.8-8.8-7.6-19.2-14.8-9.4-8.1-5.4-6.4-5.8
Netto Overnames -9.85-263.64814.58600-0.354-15.529-95.04659.3360-17.888-1.813-0.398-58.3030-0.779-55.628-13.26-11.501-143.727-222.737000-3.030000000000
Aankoop van Beleggingen 0-70-16500000000000000-9.391-0.4310000000000000000
Verkoop/verval van Beleggingen 0234.85214.58600000000000000035.6680000000000000000
Overige Investeringsactiviteiten -0.033-6.283-13.85-5.7270-0.3540-2.0359.13602.13-1.8133.744102.8680.0110.2751.90702.026-0.508204.819-204.0391.0970.8340.2761.511.73.62.70.41.90.70.50.6
Kasstroom uit Investeringsactiviteiten -83.981-151.747-181.572-34.651-37.421-37.397-54.277-146.491-13.946-50.355-59.13-62.515-31.96431.237-11.312-21.239-74.818-51.4670.809-167.779-32.061-206.09-0.431-3.498-8.681-27.3-7.8-5.9-15.6-12.1-9-6.2-4.7-5.9-5.2
Financieringsactiviteiten:
Schuldaflossingen -89.707119.01100-13.945-32.816-45.70147.534-63.633-32.23624.9542.942-49.552-4.125-54.096-63.7150-1.034-92.44382.388-0.21198.326-0.268-58.556-14.82220.74.8-23.6-23.151.6-3.913.8-4.6-15.25.7
Uitgifte van Gewone Aandelen 1.9111.5991.4521.3781.6391.4561.3831.2571.3070.997.4992.8923.1290.1770.0080.0912.5814.5953.9762.5017.1810.1241.9930.8420.3140.71.91.41.20.910.30.300
Terugkoop van Gewone Aandelen -29.986-94.84-8.359-19.92300-2.20600000-1.827000-60.058000000-5.313-7.348-25.7-1.2-1.500-1.9-2.4-1-3.5-7
Uitgekeerde Dividenden -41.729-35.287-27.536-16.844-25.215-23.054-18.188-18.119-16.64-13.873-11.915-9.924-8.568-7.275-5.889-14.414-6.454-14.387-9.531-8.184-6.918-6.313-6.275-6.308-6.533-6.9-7.1-7-70-6-5.5-4.6-3.4-4.8
Overige Financieringsactiviteiten -11.602-5.176-3.732-0.459-3.777-2.351-2.206-3.305-12.5-2.5-13.6-6.858-1.8270-5.049-1.66472.89300-1.796-5.521-7.167000000000.1-0.100-0.1
Kasstroom uit Financieringsactiviteiten -161.172-11.527-38.175-35.848-41.298-56.765-64.71227.367-91.466-47.6196.938-10.948-57.216-11.223-65.026-79.7028.962-10.826-97.99874.909-7.363184.997-4.55-69.335-28.389-11.2-1.6-30.7-28.952.5-10.76.1-9.9-22.1-6.2
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -0.3531.6310.5870.2020.926-0.2310.4070.5681.081-0.6370.4240.1550.0790.031-0.233-1.044-0.2510.774-0.2030.163000000000000000
Netto Kasstroomverandering -1.222-36.033-21.15413.55344.1331.9840.0110.0091.042-3.2020.966-5.856-30.72135.8064.998-11.622-21.9726.4033.98-41.0723.4786.57.4061.56-2.45216.82.3-1.2-10-5.1-10.816.7-7.7
Kaspositie aan het Einde van de Periode 7.6048.82644.85966.01352.468.3276.3436.3326.3235.2818.4837.51713.37344.0948.2883.2914.91236.88210.4796.49947.56924.09117.59110.1858.62511.110.13.312.23.33.38.419.22.4