PotlatchDeltic Corporation

NASDAQ:PCH

42.33 (USD) • At close November 8, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 62.101333.9423.86166.8355.661122.8886.45310.93831.71489.9170.58142.59440.26640.27581.43168.84256.432139.1132.964271.24950.727-234.381-79.445-33.21440.937.236.161.5108.54938.378.955.898.6136.7
Afschrijvingen & Amortisatie 119.51898.234126.864169.887100.87273.16129.91234.1938.10526.74926.96226.24729.09231.20430.15330.15380.08491.02189.38688.319104.859115.469169.388161.847150.3150.3149.8141.5137138.3123.5107.296.986.277.3
Uitgestelde Inkomstenbelasting -9.269-5.2570.025-14.61-11.04512.16115.3641.853-5.696-1.616-2.46715.9924.2185.427-21.037-17.894-3.003-70.572-2.01830.28915.503-153.956-83.35118.3172216.813.524.629.212.818.17.33.96.725.2
Aandelen Gebaseerde Vergoedingen 9.11518.4978.6078.0637.2728.2064.7224.394.7584.1374.3774.0674.4043.9524.324.325.8044.09600000000000000000
Verandering in Werkkapitaal -4.6289.411-33.19923.0721.564-12.28613.377-13.768-4.8197.165-17.6941.244-0.6072.04910.952-20.62-0.8839.33-51.396-177.6719.132-49.61573.37-50.909-5.316.3-38.6-3.6-25.9-151.7-19.4-12.534.3-15.1
Vorderingen 0.9219.418-4.404-12.43911.4152.8223.602-3.712-3.8647.016-5.9042.865-49.505-98.424-53.54687.529-28.93-181.216-264.2830000000000000000
Voorraden -10.7064.41-10.3333.745-3.5190.2732.49-17.46-3.6724.785-7.347-0.325-4.228-0.3855.223-10.215-2.81440.88-42.681-26.6640.12-52.08538.635-26.4733.5-18-5.414.2-38.93.3-3.9-3.91.2-16-9.8
Crediteuren -12.5580.097-17.62625.848-11.415-141.29511.5917.2320.267-2.388-3.4680.163-4.1165.096-3.95-6.567-18.38819.411-0.030000000000000000
Overig Werkkapitaal 17.715-4.514-0.8365.9185.083125.914-4.3060.1722.45-2.248-0.975-1.45957.24295.76263.225-91.36749.252160.255255.598-151.0079.0122.4734.735-24.436-8.834.3-33.2-17.813-18.35.6-15.5-13.750.3-5.3
Overige Niet-Contante Posten 6.03137.116-21.271-17.979-15.256-25.22812.83164.5149.9525.02710.493-10.163-0.25842.3376.226-29.577.337-21-2.22349.9577.926742.2495.114-2.129-0.1-3.1-5.90.10.1-0.1-0.1-27.2-1.34.21.4
Kasstroom uit Operationele Activiteiten 182.868491.901504.886335.263139.068178.894162.659102.11774.014131.37292.25279.98177.115125.244112.04535.231145.774181.98566.716562.143184.957419.76685.07693.912204.6217.5154.9224.8247.6182.9172.2146.8142.8230225.5
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -121.613-184.804-75.414-45.785-57.474-52.135-50.105-20.532-42.962-413.184-23.653-29.188-5.338-5.215-15.697-64.079-90.072-53.684-105.574-48.9-79.686-51.614-50.918-166.422-247.7-137.2-149.3-231.4-160.2-95.3-201.7-179.5-267-317.7-142.7
Netto Overnames 023.571151.3761.1823.4190111.460000000000000010.3951.87733.12.95.100037.2000
Aankoop van Beleggingen 00000000000000-31.8430000-71.884-38.0910-35.284-4.493-51.7-13.2-13.6-48-100.40-19-9.9-1.10-140.7
Verkoop/verval van Beleggingen 00000000000000037.3217.30536.13654.2750028.52.3561.557.513.813.5167011.9010220.50
Overige Investeringsactiviteiten 2.55213.7131.2692.2230.8090.8070.085113.88328.70730.5019.64920.5419.841-36.430.821-20.677-100.737-5.27-6.425-7.301-13.6188.895-99.665-0.00650.1-13.1-64.2-32.4-7.7-8.33.6-20.36-15.2-32.9
Kasstroom uit Investeringsactiviteiten -119.061-147.52-59.145-42.1924.517-47.909-50.0293.351-14.255-382.683-14.004-8.6474.503-41.645-46.719-47.435-183.504-22.818-57.724-128.085-131.38765.781-173.116-167.544-188.8-146.6-210.7-139.7-268.3-91.7-217.1-171.5-262.1-112.4-316.3
Financieringsactiviteiten:
Schuldaflossingen -40-343-46.366-46-190-220.25-11-20.1-22.5-310-36.663-21.662-5.011-0.011-129.432-8.33800-7.602-287.84500-141.389-157.647000-28.3-77.6000000
Uitgifte van Gewone Aandelen 40004619000000.3981.9041.0751.432.1561.8393.9029.959.01616.13757.5476.8568.1465.6270.8611.30.630.70.20.51.22.41.31.61.6
Terugkoop van Gewone Aandelen -25.011-54.5490-15.364-25.17300-5.95600-1.738120.1572.178-81.13298.92900-1.868-75.35200-10.453-25.8920-3.30-5-11.3000-38.9-35.6-0.4
Uitgekeerde Dividenden -143.595-208.133-388.241-107.853-107.722-146.768-61.931-60.842-61.017-57.848-51.868-50.041-73.921-81.578-81.132-80.674-77.46-165.116-17.503-92.426-17.217-17.071-33.108-49.698-50.4-50.5-49.5-48.3-47.1-45.9-44.2-41.500-30.7
Overige Financieringsactiviteiten -3.104310.1233.298-1.768-5.877195.017-1.835-33.91127307.819-3.02-3.54-2.047-2.283225.178-9.777106.528-1.441-0.669-34.526-44.992-475.124263.478306.12933.2-15.1103.6-4155.1-43.67656.3176.2-82.5116.1
Kasstroom uit Financieringsactiviteiten -171.71-295.562-401.309-124.985-138.772-172.001-74.766-120.809-56.517250.369-89.647-62.168-79.392-79.538-64.6794.04239.018-157.541-11.505-432.602-55.353-484.04984.15573.753-15.9-68.357.1-84.919.3-893317.2138.6-116.586.6
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -5.78800000000000000000000000-0.10.10-0.120.7-91.244.924.7119.3-117.690.8
Netto Kasstroomverandering -113.69148.81944.432168.0864.813-41.01637.87374.6593.242-0.942-11.3999.1662.2264.0610.647-8.1621.2881.626-2.5131.456-1.7831.498-3.8850.121-0.22.71.30.119.3-893317.2138.6-116.586.6
Kaspositie aan het Einde van de Periode 230.118345.591296.772252.3484.25479.441120.45782.5847.8864.6445.58616.9857.8195.5931.5320.8859.0477.7596.1338.6467.198.9737.76711.65211.511.797.728.3-82.232.824.5126.7-129.577.7