Plexus Corp.

NASDAQ:PLXS

148.09 (USD) • At close November 4, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 139.094138.243138.912117.479108.61613.04112.06276.42794.33287.21382.25962.08989.25689.53346.32784.14465.718100.025-12.417-31.58-67.978-4.07339.1540.19620.31119.23516.47.4316.33.12.65.13.6
Afschrijvingen & Amortisatie 69.75862.68961.01456.6952.20648.29645.3347.41448.37847.86449.47649.21447.02640.15234.46829.21926.58823.3123.8925.44927.13536.60429.8916.3079.9936.5824.4873.6533.23.12.62.42.1
Uitgestelde Inkomstenbelasting -22.438-10.8-3.388-3.583-9.76420.388-0.366-0.33-0.597-1.653-1.77323.758-3.028-3.189-1.1730.56214.155-18.0390.00446.946-27.006-4.352-1.287-1.924-1.778-1.071-0.481-0.9060.1-0.2-0.20-0.1
Aandelen Gebaseerde Vergoedingen 21.323.33624.76324.2821.33517.98117.41119.34113.25212.9711.78212.53511.0419.5369.421000000000000000000
Verandering in Werkkapitaal -41.313-240.68-78.1748.687-57.297-32.678-2.852-16.734-78.916-61.30565.79911.2617.563-133.83475.559-60.045-73.762-26.27938.179-65.781-8.53283.5173.806-125.943-16.6992.835-1.67816.92-5.5-17.2-14.6-5.1-6.7
Vorderingen 81.542-230.022-33.4778.796-96.694-30.70653.705-36.99-64.876-19.42619.657-38.57728.551-117.44959.137000000000000000000
Voorraden 48.613-652.989-206.51-56.4218.798-140.615-86.072-0.785-48.202-122.61155.19324.10538.152-169.46916.904-64.159-50.235-42.712-6.569-35.7-48.86934.41478.455-118.102-25.271.7044.298-7.37711.1-10.6-19.9-2.6-7.3
Crediteuren -170.685176.037111.78165.097-56.72493.3426.8945.8395.28390.32-28.4934.314-60.705122.2264.63000000000000000000
Overig Werkkapitaal -0.783466.29450.032-8.78677.32345.30122.62115.20228.879-9.58819.439-8.58211.56530.858-5.1124.114-23.52716.43344.748-30.08140.33749.103-74.649-7.8418.5711.131-5.97624.297-16.6-6.65.3-2.50.6
Overige Niet-Contante Posten -0.5790.972-0.556.8150.204-0.1960.1491.620.1233.3430.104-1.353-0.175-0.2365.69410.346.1663.56232.3113.614-1.6244.8925.00419.9723.332.1641.6332.1450.100.1-0.10
Kasstroom uit Operationele Activiteiten 165.822-26.24142.577210.368115.366.831171.734127.73876.57288.432207.647157.503161.6831.962170.29664.18138.51383.08481.967-21.352-19.953130.45596.563-51.39215.15729.74520.36129.2434.2-11.2-9.52.3-1.1
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -104.049-101.612-57.099-50.088-90.6-62.78-38.538-31.123-35.076-65.284-108.122-63.697-74.051-74.674-57.427-54.329-47.837-34.865-21.707-18.086-22.372-30.76-54.56-44.228-18.196-9.376-10.738-4.144-2.1-5.3-8.2-2-3.4
Netto Overnames 0000.4371.18-12.3790.7044.607000-34.155000000000-41.985-32.6-73.388000000000
Aankoop van Beleggingen 000000000000000-53.4-63.05-32.5-19.5-86.903-105.236-52.55-57.475-48.042-244.44900000000
Verkoop/verval van Beleggingen 000000000002000106.438.0512.513.505102.599138.5620.336.765.266232.74200000000
Overige Investeringsactiviteiten 10.7450.0510.126-0.20.0610.5380.7044.6070.4072.7170.8733.672.1450.280.3420.2394.460.6080.20202.6650.5610.0480.0520.2130.1140.7240.00809.1000
Kasstroom uit Investeringsactiviteiten -93.304-101.561-56.973-49.851-89.359-74.621-37.834-26.516-34.669-62.567-107.249-92.182-71.906-74.394-57.085-1.09-68.377-54.257-27.5-2.3913.617-104.434-107.887-100.34-29.69-9.262-10.014-4.136-2.13.8-8.2-2-3.4
Financieringsactiviteiten:
Schuldaflossingen -787.785-556.726-466.063-638.298-993.588-970.258-302.88-629.571-487.811-285.263-41.018-107.354-17.42-20.899-20.726000000000000000000
Uitgifte van Gewone Aandelen 0.0080.483.55512.8272.61413.69913.36816.40700000005.5952.19535.9755.55.2093.713.67169.3828.34710.0275.9633.5040.0930.3700.40
Terugkoop van Gewone Aandelen -40.946-50.392-108.452-41.392-182.109-137.034-34.136-30-30-30-49.8580-20000-200.1100000000-1.16-3.4420000000
Uitgekeerde Dividenden 00000000000000000000000000-0.338-0.516-0.50000
Overige Financieringsactiviteiten 735.998745.933367.075665.4051,075.864841.829338.321638.28491.608294.30433.42896.543180.46623.1553.847144.86613.937-0.481-1.268-1.001-2.749-52.36-78.741133.064-4.561-3.464-11.705-26.4060.60.617.7-0.23.5
Kasstroom uit Financieringsactiviteiten -92.725139.295-203.885-1.458-97.219-265.4631.305-21.291-26.203-20.959-57.448-10.811-36.9542.256-16.879-49.64916.13235.4944.2324.2080.961-48.6990.641141.4114.306-0.943-8.539-26.8290.47.617.70.23.5
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 1.391-6.5370.92.581-0.1541.6851.085-4.073-5.185-0.181.2961.0021.040.038-3.92-1.5812.9291.864-0.8961.4651.0211.425-0.019-0.2920000-2.17.40-0.34.5
Netto Kasstroomverandering -18.8164.957-117.381161.64-71.432-271.568136.2975.85810.5154.72644.24655.51253.863-70.13892.41211.861-10.80366.18557.803-18.069-4.354-21.24479.298-10.613-10.22719.541.808-1.7220.47.600.23.5
Kaspositie aan het Einde van de Periode 256.654275.47270.513387.894226.254297.686569.254432.964357.106346.591341.865297.619242.107188.244258.382165.97154.109164.91298.72740.92458.99363.34784.5915.29315.90623.1953.6551.8471.58.40.90.54.8