Park Aerospace Corp.

NYSE:PKE

14.57 (USD) • At close November 7, 2024
Overzicht | Financiële gegevens

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989198819871986
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 6.567105.44110.361116.542122.355151.62418.254238.59237.425272.133133.15275.216129.503112.195134.0340.79100.159119.051108.02786.071129.989111.03699.492123.72653.15336.745.142.37630.814.19.2813.85560.556.556.217.6
Kortetermijnbeleggingen 70.644101.20397.5574.947116.94580.61789.977136.152139.668130.595137.20689.099139.282138.249103.81184.504113.81989.72491.625103.50759.19751.89951.91732.01778.3090113.4102.267.215.123.900000000
Liquide middelen en kortetermijnbeleggingen 77.211105.44110.361116.542122.355151.624108.231238.59237.425272.133270.356275.216268.785250.444237.84225.294213.978208.775199.652189.578189.186162.935151.409155.743131.46236.745.142.37630.814.19.2813.85560.556.556.217.6
Nettovorderingen 12.3819.9898.3397.63310.9259.35219.76217.23822.58321.43122.88125.87823.53329.82231.69822.43337.46639.41835.96435.72236.14930.27233.62871.10568.33556.953.550.342.848.352.85128.326.525.522.92518.814.4
Voorraad 6.4046.7684.6574.7946.3795.26711.15611.10510.21414.43913.87112.91815.82312.88811.97310.67714.04915.0915.02215.41811.70712.68813.24232.30727.36825.72720.527.716.216.113.813.317.413.912.411.5109.1
Overige vlottende activa 2.8492.8443.0823.3725.5351.692.1192.1971.9635.2564.1326.662272.2343.8051.1675.5275.5463.0493.0232.9443.044.6912.29.59.614110.9121.8107.371.332.81.931.631.42.62.91.62.11.5
Totaal vlottende activa 98.845125.041126.439132.341145.194167.933141.268269.13272.185313.259311.24320.674311.59296.959282.678263.931271.039266.332253.661243.662240.082210.585210.361268.611236.779230.2247.4220.4217.898.385.875.981.289.19798.794.687.142.6
Niet-vlottende activa:
Materiële vaste activa, netto 23.59424.40124.53621.23316.5210.79116.53218.63821.51226.53729.67432.18738.69541.29244.90548.77747.18849.89554.3763.25170.56990.503149.81159.309125.977118108.183.476.461.451.450.547.744.635.534.229.226.623.8
Goodwill 9.7769.7769.7769.7769.7769.7769.7769.7769.7769.7769.7769.7767.57605.376000000000000000000000000
Immateriële activa 00.0070.0140.0210.0280.0350.0420.0490.0570.0640.0710.0780.08500.106000000000000000000000000
Goodwill en immateriële activa 9.7769.7839.799.7979.8049.8119.8189.8259.8339.849.8479.8547.66105.4820000000-13.083-12.683-11.89100000000000000
Langetermijnbeleggingen -12.9980-1.671-0.778-0.8340-0.628-51.913-53.77-13.774-58.124-10.666-8.7230-1.3980000000-0.017-0.017-0.00900000000000000
Belastingvorderingen 3.2221.9951.6710.7780.83400.62842.08843.9373.93458.1240.8121.0621.461.3983.927005.19300013.112.711.908.886.35.24.800000000
Overige niet-vlottende activa 9.87-1.8870.1220.1410.2680.3161.40520.8121.0810.88626.33216.79715.70314.09710.03910.9449.185.695-1.9120.3980.4190.4540.4732.6612.4963.5-5-3.9-1.5-2.8-1.23.52.52.32.52.22.62.61
Totaal niet-vlottende activa 33.46434.29234.44831.17126.59220.91827.75539.44842.59237.42365.85348.98454.39856.84960.42663.64856.36855.5957.65163.64970.98890.957150.283161.97128.473121.5111.987.581.263.8555450.246.93836.431.829.224.8
Totaal activa 132.309159.333160.887163.512171.786188.851169.023308.578314.777350.682377.093369.658365.988353.808343.104327.579327.407321.922311.312307.311311.07301.542360.644430.581365.252351.7359.3307.9299162.1140.8129.9131.4136135135.1126.4116.367.4
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 3.5144.5452.5343.34.7353.1694.0254.1836.1556.8826.1096.4858.4279.94410.2018.4812.82813.58913.25915.12114.91315.14514.09829.48124.9643137.432.935.924.624.418.718.319.900000
Kortlopende schulden 0.0530.0530.0530.0330.1520033101000000000000000000000.10.11.64.743.63.24.91.1
Belastingschulden 4.1052.1712.2112.9522.1115.0662.8213.0232.9434.1412.9954.1774.1985.8124.144.3810010.81700000000000000000000
Uitgestelde opbrengsten 4.1050000003.0232.9434.1412.9950000000000000000000000000000
Overige kortlopende verplichtingen 1.98623.9883.7054.663.827.9868.2023.4174.588.7015.13910.19313.01415.30911.44115.80619.15118.97625.46827.0427.71625.16629.26350.61935.70232.433.422.520.918.715.510.28.77.222.424.521.416.513.2
Totaal kortlopende verplichtingen 9.65828.5866.2927.9938.70711.15512.22713.62316.67829.72424.24316.67821.44125.25321.64224.28631.97932.56538.72742.16142.62940.31143.36180.160.66663.470.855.456.843.3402928.631.826.428.124.621.414.3
Langlopende verplichtingen:
Langetermijnschulden 0.0820.1290.1740.0860.2680069728494520000000000097.672100100100100100032.93433.433.435.135.435.637.12.2
Uitgestelde opbrengsten niet-vlottend 00014.30315.9860000000000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 4.3961.9951.6710.7780.83400.62842.08843.93754.15558.1240.8121.0621.461.3983.9274.8514.2945.1935.0425.1074.53913.05412.67911.9339.58.886.35.24.84.45.45.85.75.35.54.94.1
Overige niet-vlottende verplichtingen 5.25912.68917.1184.4114.31618.68520.9071.0411.2951.2040.1830.2460.2741.7873.9663.65721.40520.89621.96917.25119.43810.99111.68311.22413.53514.213.31.11.51.61.60.70.80.90.9-0.10.100
Totaal niet-vlottende verplichtingen 9.73714.81318.96319.57821.40418.68521.535112.129117.232139.359152.30753.0581.3363.2475.3647.58426.25625.1927.16222.29324.54515.5324.737121.575125.468123.7122.1109.1107.86.839.339.139.640.141.740.641.2426.3
Totaal passiva 19.39543.39925.25527.57130.11129.8433.762125.752133.91169.083176.5569.73622.77728.527.00631.8758.23557.75565.88964.45467.17455.84168.098201.675186.134187.1192.9164.5164.650.179.368.168.271.968.168.765.863.420.6
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000000000000
Gewone aandelen 2.0962.0962.0962.0962.0962.0962.0962.0962.0962.0962.0882.0832.0792.0722.0542.0472.0372.0372.0372.0372.0372.0372.0372.0371.35801.41.41.40.70.500000000
Ingehouden winsten -45.374-42.694-24.767-25.063-21.774-2.605-21.09927.11225.92216.04835.651138.514181.941166.795163.077145.107116.646118.961105.808105.45108.915117.506172.953203.15157.308142.3130.4108.893.972.257.151.450.450.14946.640.233.928.6
Overige gereserveerde algehele resultaten -2.271-4.244-1.965-0.3360.668-0.0220.1311.0261.4711.4681.2210.6292.0771.9831.6161.6227.4364.7642.4354.6053.734-2.432-7.89-5.764-5.291-105.5-1.2-82.4-72.30.5-54.5-46.8-41.4-35.8-29.4-24.4-20.1-16.8-13.4
Overige totale aandeelhoudersvermogen 158.463160.776160.268159.244160.685159.542154.133152.592151.378161.987161.583158.696157.114154.458149.351146.933143.053138.405135.143130.765129.21128.59125.44629.48325.743127.835.8115.6111.438.658.457.254.249.847.344.240.535.831.6
Totaal eigen vermogen van aandeelhouders 112.914115.934135.632135.941141.675159.011135.261182.826180.867181.599200.543299.922343.211325.308316.098295.709269.172264.167245.423242.857243.896245.701292.546228.906179.118164.6166.4143.4134.411261.561.863.264.166.966.460.652.946.8
Totaal eigen vermogen 112.914115.934135.632135.941141.675159.011135.261182.826180.867181.599200.543299.922343.211325.308316.098295.709269.172264.167245.423242.857243.896245.701292.546228.906179.118164.6166.4143.4134.411261.561.863.264.166.966.460.652.946.8
Totaal passiva en aandeelhoudersvermogen 132.309159.333160.887163.512171.786188.851169.023308.578314.777350.682377.093369.658365.988353.808343.104327.579327.407321.922311.312307.311311.07301.542360.644430.581365.252351.7359.3307.9299162.1140.8129.9131.4136135135.1126.4116.367.4