PENN Entertainment, Inc.

NASDAQ:PENN

19.62 (USD) • At close September 18, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst -490221.7420.5-669.143.193.514473.463109.310.686-233.195-794.339211.971242.351-61.66-267.413-153.323160.053327.088120.9371.48451.47130.86323.75818.5756.77.53.85.552.71.3
Afschrijvingen & Amortisatie 435.1567.5344.5366.7414.2268.99267.062271.214259.461178.981298.326245.348211.476212.387194.436185.258160.926135.31278.22471.3173.25139.74934.53713.5948.75.741.40.90.70.6
Uitgestelde Inkomstenbelasting -32.7-150.7-4.5-118.321.1-26.68-517.9068.73657.236-72.278-224.98344.98321.56-2.204-146.408-91.09818.26514.394-28.67318.18431.76410.4546.9591.44410.4-0.10.200.50.1
Aandelen Gebaseerde Vergoedingen 85.958.135.114.514.912.0347.786.8718.22310.66622.80928.60924.3325.95428.3626.857000000000000000
Verandering in Werkkapitaal -390.6-161.4-89.4-174.3-63.8-50.067106.848-9.27717.161-11.08-46.881-34.52652.85954.544-17.368-31.764.774-46.196-7.436.319-9.4425.33121.1055.5537.2-2.220.72.10.10.4
Vorderingen -74.8-81.2-82.3-16.527-1.731-9.186-5.9110.7110.0465.0341.887-6.064-1.338-16.09112.8530000002.22600000000
Voorraden -257013.1-118.7-88-38.9495.928-14.97829.844-22.378-80.19449.1256.3658.9010.677-31.4300000043.34100000000
Crediteuren -8.6-13.4-30.4-6.64.4-6.08-0.342-7.52.1132.028-2.1751.3340.3970.477-5.292-0.35000000-2.47300000000
Overig Werkkapitaal -50.2-66.810.2-32.5-7.2-3.31620.44819.112-15.506-0.77630.454-86.8672.166-3.4963.338-12.77364.774-46.196-7.436.319-9.4425.331-21.9895.5537.2-2.220.72.10.10.4
Overige Niet-Contante Posten 848.2343189.9919.3274.455.003121.83217.96956.215346.9071,185.8710.80414.789264.157546.639484.46925.46542.58-12.57628.1577.89814.457-0.5269.476-1.10.12.50.1-2.10.10.2
Kasstroom uit Operationele Activiteiten 455.9878.2896.1338.8703.9352.794459.079404.823398.982220.001440.802507.189567.365493.178338.246420.463431.219281.809150.475195.454154.942100.85485.83342.05922.511.910.77.95.94.12.6
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -381.9-272.4-268.3-141.8-202.3-174.161-100.761-100.31-249.845-228.145-199.913-472.985-293.081-362.955-289.551-344.894-361.155-408.883-121.135-68.957-57.482-88.902-41.511-27.295-13.2-22.3-47.4-54.3-4-2.9-0.4
Netto Overnames -365.5-15-921-8.4-398.7-1,264.693-129.818-86.859-402.063-119.9634.248-745.458.874-281.574-21.895-0.384-265.4820-2,251.376-0.954-264.081-7.114-182.658-203.030000000
Aankoop van Beleggingen -21.4-15-26-135-5.10-0.50-2.55506.040-100.398-63.6322.628-47.286000000000000000
Verkoop/verval van Beleggingen 815268.3141.8202.318.89200006.87012.9661.62750.6020.384000000000000000
Overige Investeringsactiviteiten 18.228.8-274.8-90.3-203.715.758.971107.881-129.097-27.428-232.20229.94832.837-30.224-4.4430.68215.02106.542393.7114.5070.61-6.4177.8340.044-16.60-0.2-1.503.7-0.2
Kasstroom uit Investeringsactiviteiten -742.6-258.6-1,221.8-233.7-607.5-1,423.104-221.608-79.288-781.005-375.536-414.957-1,188.487-338.802-736.758-262.659-391.498-611.617-302.341-1,978.8-65.404-320.953-102.433-216.335-230.281-29.8-22.3-47.6-55.8-40.8-0.6
Financieringsactiviteiten:
Schuldaflossingen -108.1-1,774-125.9-11.3-79.7-665.86-1,668.23-471.982-165.387-64.541-4,151.059-494.891-1,941.216-396.897-879.193-1,024.643000000000000000
Uitgifte van Gewone Aandelen 5.36.910.81,351.51.97.37910.44711.6019.399000000024.91112.20110.8767.8162.332106.7232.9320.9570.50.123.71.60.2130
Terugkoop van Gewone Aandelen -149.8-601.100-24.9-50.046-24.796000-649.5180-105.206-47.0580-152.361000000000-2.400000
Uitgekeerde Dividenden 0000000000000000000000000000000
Overige Financieringsactiviteiten -101,522.14551,321.4-17.81,988.0361,503.998138.948575.746135.7544,807.261,198.2161,809.914220.802770.4461,719.945161.34444.2261,862.345-131.993215.127-88.411142.661201.1189.4-2.329.544.4-0.1-13.4-1.9
Kasstroom uit Financieringsactiviteiten -262.6-853339.91,310.1-122.41,272.13-189.028-333.034410.35971.2136.683703.325-236.508-223.153-108.747542.941186.25556.4271,873.221-124.177217.45918.312145.593202.0759.9-4.653.2460.1-0.4-1.9
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -0.4-2.5-4.50000000000000000.1040.180.40.01000000000
Netto Kasstroomverandering -548.5-235.99.71,415.2-26201.8248.443-7.49928.336-84.32232.52822.027-7.945-466.733-33.16571.9065.85735.895456.05351.84816.74315.09113.8532.6-1516.3-1.924.50.1
Kaspositie aan het Einde van de Periode 1,094.51,644.21,880.11,870.4455.2481.238277.953229.51237.009208.673292.995260.467238.44246.385713.118746.278174.372168.515132.6287.62106.96955.12138.37823.2879.46.921.95.67.55.51