Photronics, Inc.

NASDAQ:PLAB

24.19 (USD) • At close December 24, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 183.848199.634179.24278.81640.34340.49161.23621.28955.67656.85932.03519.57629.85520.20825.082-41.91-210.76524.52329.33238.65324.466-48.162-4.857-4.02610.17610.720.525.62118.610.14.94.46.840.9
Afschrijvingen & Amortisatie 82.80580.83580.3390.39693.81483.87984.33386.57382.84182.41380.13672.94285.20986.66181.37490.47495.93198.01890.67887.84888.1385.09783.18772.97556.86840.73420.913.29.785.65.24.13.12.6
Uitgestelde Inkomstenbelasting 0-0.9270.809-2.11-0.445-3.662-0.2731.633-3.8163.4014.215-0.266-0.615-0.2240.168-2.943-1.944-0.9610.9654.6360.845-2.661-0.938-6.0311.2517.20.311-0.80.80.3-0.10.41.40.3
Aandelen Gebaseerde Vergoedingen 13.898.0016.3085.3484.9273.683.183.6273.8273.6894.0713.9753.162.4581.8832.13602.89000000000000000000
Verandering in Werkkapitaal -19.09914.6339.307-23.7884.407-56.21-15.002-11.029-7.44-6.0770.5626.88317.223-6.748-16.4559.97-9.0579.938-27.9779.75311.5274.69645.67913.192-32.175-1.8-12.80.22.89.31.8-0.7-0.4-1.4-0.60.1
Vorderingen 04.026-51.233-36.626.986-12.321-18.553-9.62518.807-21.8155.2712.411.19-1.806-13.3522.709-7.3118.3703.55304.7169.9960000000000000
Voorraden 01.236-2.0392.987-6.938-23.088-6.162-0.6022.268-2.893-2.552-0.8914.683-6.544-0.0843.111-2.6222.0083.302-1.672-1.2486.1962.1941.3530.5960.1-2.4-3.2-1.2-2.90.4-0.3-0.2-0.4-0.2-0.1
Crediteuren -9.643-0.29460.56625.427-3.49-11.96218.537-7.189-36.46214.098-12.2244.409-1.1161.37901.0635.285-17.96807.1040-16.03545.0510000000000000
Overig Werkkapitaal -9.4569.6652.013-15.5827.849-8.839-8.8246.3877.9474.53310.0670.9652.4660.223-3.0193.087-4.417.528-31.2790.76812.7759.819-11.56211.839-32.771-1.9-10.43.4412.21.4-0.4-0.2-1-0.40.2
Overige Niet-Contante Posten 00-0.8092.11202.523.662-2.907-5.26-8.951-7.09-24.658-3.709-2.28334.1983.86710.421215.2930.2851.971.6771.2482.26213.33137.46913.468-0.1-0.1-1.20.60.50.90.40.1-0.2-0.1-0.1
Kasstroom uit Operationele Activiteiten 261.444302.176275.187150.772143.04671.84130.56796.833122.137133.19596.36199.401132.549136.55395.91968.14892.08134.693116.199142.567126.21683.232136.402113.57949.58855.345.146.538.633.62110.59.28.87.83.8
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -130.942-131.295-112.338-109.269-70.974-177.191-92.585-91.965-50.147-104.033-91.085-63.792-96.978-82.121-71.381-34.995-105.125-94.132-94.646-121.354-80.136-47.022-126.462-48.67-43.599-72.4-98.9-96.3-55.8-35.5-6.2-15.5-11.7-6.4-6.1-3
Netto Overnames 0024.995017.59629.39417.996-5.4-0.96604.5080018.61605-2.4025.784-8.432000-0.732-48.864-37.31200000.1000000
Aankoop van Beleggingen -100.558-20.192-38.854000000000-13.397-18.6160-0.162-2.925-7.65-203.087-94.55-92.424-0.93-150000-20.30-13.7000-10.5-2.5-0.1
Verkoop/verval van Beleggingen 72.83647.537-24.99500000.167101.8530000-0.3450.2895.4798.81566.304104.96288.62924.932-0.930.73206.7061.621.61.98.35.81.73.56.8000
Overige Investeringsactiviteiten 2.1992.4053.4355.775-12.333-7.0631.856-0.8680.584-0.2723.6-2.445-1.568-18.27112.889.3212.4022.2850-58.24800.930.732-1.026-0.135-0.32.21.1-10.7-10.6-0.40.4-1.2-0.900.3
Kasstroom uit Investeringsactiviteiten -156.465-101.545-147.757-103.494-65.711-154.86-90.729-98.06652.29-104.305-87.485-66.237-111.943-100.737-58.212-24.678-99.235-29.694-201.203-185.523-147.628-47.952-140.73-98.56-74.34-71.1-75.1-113.6-58.2-53.9-4.9-11.6-6.1-17.8-8.6-2.8
Financieringsactiviteiten:
Schuldaflossingen -6.621-18.439-65.440.50612.948-6.686-4.639-5.428-57.609-9.571-29.782-8.31419.70767.893-31.252-35.768-36.369-82.78111.737-72.117-55.33258.63578.063-24.82810.37627.9-0.399.50-0.5-0.7-0.6-0.7-0.8-5.20.5
Uitgifte van Gewone Aandelen 01.248000002.833.4630000005.3200.9881.809170.66725.5014.597.76532.4245.14.16.12.831.41.50.30.310.19.70
Terugkoop van Gewone Aandelen 00-2.522-48.249-34.394-21.696-23.11100000-15.598-9.87800000000000-6.9-6.8000000000
Uitgekeerde Dividenden 0000-16.151-45.05-8.166-8.298-11.89000000000000000000000000000
Overige Financieringsactiviteiten -1.109-0.05429.273-6.165.436-13.67713.945-5.5-9.4132.4720.241-31.530.455-3.49-1.204-4.734-11.29-8.027000000.0520-0.100-0.10-0.100000
Kasstroom uit Financieringsactiviteiten -7.73-18.493-38.689-53.903-16.01-42.059-13.805-10.928-67.022-7.099-29.541-39.8444.56454.525-32.456-40.502-47.659-89.8213.54698.55-53.33264.13682.653-17.01142.88.2-3105.62.730.90.7-0.3-0.49.34.50.5
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 2.127-2.68-46.0124.70310.9862.381-4.7776.1080.802-8.853-2.0214.2522.9450.6425.1551.808-7.4721.4454.834-1.8452.2671.4170.935-1.5060.4930.1-10.5-18.7-35.7-25-8.3-9.7-7-6.7-3
Netto Kasstroomverandering 99.376179.45842.729-1.92272.311-122.69821.256-6.053108.20712.938-22.686-2.42828.11590.98310.4064.776-62.28616.624-66.62453.749-72.477100.83379.26-3.49818.541-7.5-3439-35.6-25.1-8.2-9.7-7-6.7-3-1.5
Kaspositie aan het Einde van de Periode 601.243501.867322.409279.68281.602209.291329.277308.021314.074205.867192.929215.615218.043189.92898.94588.53983.763146.049129.425196.049142.3214.777113.94434.68438.18216.323.857.800000000