Preformed Line Products Company

NASDAQ:PLPC

124.19 (USD) • At close December 20, 2024
Overview | Financials

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000
Operationele Activiteiten:
Nettowinst 63.33754.39935.72129.76123.33626.58112.65415.2556.67512.86120.58729.28630.98423.00822.83317.62314.15912.0611.98613.0374.383-1.145.17611.051
Afschrijvingen & Amortisatie 18.91416.4315.56413.83813.74812.44412.7911.99611.53212.85712.08811.56410.5259.3947.2498.5498.0797.5387.2147.3858.3299.01810.3211.411
Uitgestelde Inkomstenbelasting -2.232-2.6566.544-3.38-1.2740.3142.4362.249-0.944-1.697-1.105-2.927-0.688-0.90.682-0.845-0.036-0.658-0.838-0.5311.901-2.124-0.263-0.838
Aandelen Gebaseerde Vergoedingen 4.9484.5964.1634.0894.3964.2363.0551.3660.2481.5423.0573.082.9332.9661.9620.5070.2370.24000000
Verandering in Werkkapitaal 14.696-51.512-34.813-7.538-16.706-18.9030.152-10.331-1.17-3.806-17.0566.322-29.319-6.763.278-9.642-8.888-4.2072.75-6.7676.3785.302-0.0971.733
Vorderingen 16.969-28.049-11.576-10.539-9.777-4.499-9.205-2.292-2.965-2.435-10.2735.047-16.061-4.977-0.5940.5861.055-2.471-4.53-4.530000
Voorraden -4.952-36.979-24.1540.08-9.455-13.703-2.208-6.354-2.297-5.7043.041.29-21.197-8.2680.922-9.499-4.942-1.688-1.728-3.7034.4832.4023.0230.561
Crediteuren 2.3026.70711.5586.9526.0873.0484.7323.2795.6526.716-3.906-3.1963.753.753.755.6633.628-0.6863.0633.0630000
Overig Werkkapitaal 0.3776.809-10.641-4.031-3.561-3.7496.833-4.964-1.56-2.383-5.9173.1814.1892.735-0.8-6.392-8.6290.6385.945-1.5971.8952.9-3.121.172
Overige Niet-Contante Posten 7.9794.8966.4194.8723.717-1.6962.7435.4393.8883.4993.9683.062.6140.98-6.9892.0771.119-0.2160.4530.232-0.2357.5252.6680.147
Kasstroom uit Operationele Activiteiten 107.64226.15333.59841.64227.21722.97633.8325.97420.22925.25621.53950.38517.04928.68829.01518.26914.6714.75721.56512.86920.73218.58117.1823.504
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -35.332-40.598-18.384-24.569-29.467-9.528-11.233-24.725-10.754-17.663-21.034-21.043-18.912-12.274-10.667-10.011-9.639-10.198-7.737-6.187-4.018-4.706-6.196-14.388
Netto Overnames -12.089-16.2350.14110.525-18.8949.5280.1420.070.929-14.9750-5.173-9.087-14.324-13.199-3.839-8.4380-0.456-0.456-0.472-0.039-1.058-5.724
Aankoop van Beleggingen 0000-0.496-4.690-3.8140-0.7970000-3.082000-1.3430.4030000
Verkoop/verval van Beleggingen 00002.3092.9530000.93900000.4220001.9251.9250000
Overige Investeringsactiviteiten 2.63110.0780.14110.525-2.255-12.2869.3330.07-0.108-0.797-3.111.9659.2230.7573.8329.670.3990.32-0.1490.5817.161.2840.7571.887
Kasstroom uit Investeringsactiviteiten -44.79-46.755-18.243-14.044-48.803-14.023-1.9-28.469-10.862-33.293-24.144-24.251-18.776-25.841-22.694-4.18-17.678-9.878-7.76-3.7342.67-3.461-6.497-18.225
Financieringsactiviteiten:
Schuldaflossingen -28.08831.301-14.242-19.23628.557-1.02-8.93713.383-0.77319.5924.676-20.73619.062.1350.801-1.865-0.6051.3731.561-1.203-4.414-7.853-4.9783.018
Uitgifte van Gewone Aandelen 2.1640.8080.4090.2520.2130.2221.9620.2480.080.1661.5190.5491.0640.2850.3520.4520.7350.1020.7890.0840.620.27100
Terugkoop van Gewone Aandelen -18.892-5.467-5.269-9.462-6.826-4.165-8.477-5.07-7.553-2.234-6.911-2.79-3.522-1.081-0.168-7.457-0.651-12.14-0.7-2.97700-0.155-0.935
Uitgekeerde Dividenden -4.106-4.099-4.128-4.184-4.23-4.088-4.099-4.17-4.391-4.412-2.305-6.492-4.381-4.344-4.271-4.247-4.295-4.508-4.577-4.593-4.623-4.615-4.03-3.479
Overige Financieringsactiviteiten 0009.465000-0.002-0.020.097-0.156-0.9510.2030.0730.1220.0560.2530000-0.004-0.5030
Kasstroom uit Financieringsactiviteiten -48.92222.543-23.23-23.16517.714-9.051-19.5514.389-12.65713.209-3.177-30.4212.424-2.932-3.164-13.061-4.563-15.173-2.927-8.689-8.417-12.197-9.666-1.396
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 2.438-1.108-0.8941.479-0.775-1.5911.242-1.554.040.181.9530.28-1.226-1.3571.071-4.5511.0140.651-1.031.0891.5950.297-2.078-1.32
Netto Kasstroomverandering 16.3680.833-8.7695.912-4.647-1.68913.6210.3440.755.352-3.829-4.0069.471-1.4424.228-3.523-6.557-9.6439.8481.53516.583.22-1.0612.563
Kaspositie aan het Einde van de Periode 53.60737.23936.40645.17539.26343.9144.35830.73730.39329.64324.29128.1232.12622.65524.09719.86923.39229.94939.59229.74428.20911.6298.4099.47