Patrick Industries, Inc.

NASDAQ:PATK

146.42 (USD) • At close September 19, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Operationele Activiteiten:
Nettowinst 142.897328.196224.91597.06189.566119.83285.71855.57742.21930.67424.0428.0958.471.226-4.521-71.507-5.8432.6291.4240.601-0.0550.095-5.771-4.5347.4049.38.310.810.18.95.81.3-0.20.20.5
Afschrijvingen & Amortisatie 144.543130.757104.80873.2762.79555.05233.54124.36216.77510.4337.2975.5864.9164.975.2718.0736.7484.0864.4124.9425.8976.2957.5128.2378.9047.65.84.53.62.92.62.52.52.52.4
Uitgestelde Inkomstenbelasting -0.591-9.349-3.9438.0915.5930.759-6.477-0.56-1.7991.6523.983-8.4010.0180.0170.152-13.69-0.1440.1561.0120.249-0.0680.473-1.163-2.670.2260.6-0.2-0.100000.100.2
Aandelen Gebaseerde Vergoedingen 19.42921.75122.88715.9615.43613.98110.4116.474.6663.2821.3120.8020.3330.210.0980.7260000000000000000000
Verandering in Werkkapitaal 98.895-60.693-110.078-45.40713.666.782-24.90610.032.978-0.498-14.183-8.007-4.6542.5061.04615.44819.533-8.435-1.776-7.7266.429-1.8781.6078.0122.03-8.55.72.3-5.8-7.5-11.6-0.5-0.7-0.81.2
Vorderingen 8.92326.056-149.851-20.7515.76826.117-12.34411.3249.017-1.942-1.4771.034-3.3343.456-5.4143.8040000000000000000000
Voorraden 162.181-11.896-232.465-34.55419.6820.092-35.27-12.4613.042-1.66-7.482-14.182-3.874-1.9564.70316.52317.252-9.3630.408-11.3019.05-3.4662.31211.1011.459-8.36.3-3.91-6.6-12.5-1.9-1.80.40.9
Crediteuren -68.278-94.976149.85120.7511.079-246.83930.30812.796-9.5464.6255.1882.4672.4671.4021.363-10.0150000000000000000000
Overig Werkkapitaal -3.93120.123122.387-10.853-12.869227.412-7.6-1.6290.465-1.521-10.4122.6740.087-0.3960.3945.1362.2810.928-2.1843.575-2.6211.589-0.705-3.0890.57-0.2-0.66.2-6.8-0.90.91.41.1-1.20.3
Overige Niet-Contante Posten 3.4991.07613.54111.1785.363.6071.6141.2680.7910.198-0.0182.9222.732-1.171.66362.6592.9090.4770.3890.187-0.6340.3713.2646.533-0.480.1-0.10.50.2-0.300.10.1-0.50
Kasstroom uit Operationele Activiteiten 408.672411.738252.13160.153192.41200.01399.90197.14765.6345.74122.43120.99711.8157.7593.7091.70922.972-1.0895.461-1.74811.5685.3685.4515.57818.0849.519.2188.14-3.23.41.81.44.3
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -58.987-79.883-64.804-32.1-27.661-34.486-22.497-15.406-7.958-6.542-8.669-7.895-2.436-1.356-0.309-4.218-2.453-7.48-8.503-10.605-5.293-4.187-1.817-3.807-7.505-10.8-18.9-9.8-11.9-5.8-4.1-2.2-2-2.4-3.6
Netto Overnames -25.859-241.584-509.93-305.784-55.953-343.347-251.851-138.844-140.176-72.094-16.511-29.262-7.314-5.7761.6970-85.873000000000000000000
Aankoop van Beleggingen 00000000000000-0.054000000000000-4.40000000
Verkoop/verval van Beleggingen 000000000000000.067000000000004.400000000
Overige Investeringsactiviteiten -1.6997.315-1.8030.2114.4026.4631.2110.2520.7470.0150.924-0.0650.018.31911.8246.081.5330.4910.1291.3981.3161.0220.5170.8530.481-0.30.1-0.31-5.50.2-0.10.20.9-0.1
Kasstroom uit Investeringsactiviteiten -86.545-321.467-574.734-337.884-79.212-371.37-273.137-153.998-147.387-78.621-24.256-37.222-9.741.18713.2251.862-86.793-6.989-8.374-9.208-3.977-3.165-1.3-2.954-7.025-11.1-14.4-14.5-10.9-11.3-3.9-2.2-1.8-1.5-3.7
Financieringsactiviteiten:
Schuldaflossingen -260.288-901.647-979.375-104.277-916.711-1,114.219-592.626-382.586-294.171-0.148-0.153-1-2.563-12.507-19.67000000000-3.986-3.90-0.90000000
Uitgifte van Gewone Aandelen 1.4130.1951,548.627235.536957.24918.1593.3061.8651.86100000020.82511.210.3860.2960.6810.1290.192000.0270.100.50.2011.50000
Terugkoop van Gewone Aandelen -18.808-77.117-48.94-23.106-3.815-107.567-4.821-5.214-22.637-13.928-6.07800000000000-0.422-7.987-3.054-1.3-0.9-1.50-2.200-0.1-0.2-0.1
Uitgekeerde Dividenden -42.14-32.869-27.024-23.63-5.798000000000000000-0.183-0.727-0.731-0.851-0.919-0.9-0.9-1-0.7000000
Overige Financieringsactiviteiten -13.742821.165-92.602-1.415-11.6281,397.271668.874451.013398.52947.0457.65617.109-0.9195.4580.124-21.87552.4056.9723.6113.279-4.011-4.03-3.798-3.756-0.1457.6-1.20.149.7-4.2-1.500.5-1.2
Kasstroom uit Financieringsactiviteiten -333.565-190.273400.68683.10819.297175.485169.55463.21381.72132.9691.42516.109-3.482-7.049-19.546-1.0563.6157.3583.9073.961-4.066-4.565-4.951-12.594-8.0781.6-3-2.83.57.57.3-1.5-0.10.3-1.3
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 406.8360000000000000000000000000-4.8-3.52.87.37.1-1.200.1-0.6
Netto Kasstroomverandering -11.438-100.00278.082-94.623132.4954.128-3.6826.362-0.0360.089-0.4-0.116-1.4071.897-2.6122.521-0.206-0.720.994-6.9953.525-2.362-0.8020.032.9810-3-2.83.57.57.3-1.5-0.10.3-1.3
Kaspositie aan het Einde van de Periode 11.40922.847122.84944.767139.396.8952.7676.4490.0870.1230.0340.4340.551.9570.062.6720.1510.3571.0770.0837.0773.5525.9146.7166.6863.8-1-1.54.287.5-1.10.40.8-0.2