Pool Corporation

NASDAQ:POOL

372.58 (USD) • At close November 8, 2024
Overview | Financials

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994
Operationele Activiteiten:
Nettowinst 520.458748.462650.624366.738261.575234.461191.339148.603128.224111.0397.3381.97271.99357.63819.20256.95669.39495.02483.62166.94150.84841.30335.44428.07621.613.77.14.52.31.1
Afschrijvingen & Amortisatie 40.1439.02530.02629.39829.27427.91525.72521.97717.38815.88214.59612.87611.30511.32811.54513.45413.98312.9049.79810.2758.946.8428.1075.1314.63.32.62.52.11.6
Uitgestelde Inkomstenbelasting 10.35915.1694.65-2.5423.7234.661-4.6363.7494.1986.9860.7073.1682.605-0.56-2.198-2.198-3.747-4.521-5.0960.7037.4565.9371.38-0.9880.1-0.61.310.90.3
Aandelen Gebaseerde Vergoedingen 19.58214.87915.18714.51613.47212.87412.4829.9029.5439.0658.158.4658.2337.796.4296.7097.3987.204000000000000
Verandering in Werkkapitaal 291.349-342.375-392.343-21.072-14.181-165.84-49.949-16.119-6.794-14.856-9.98110.358-17.09323.46452.85112.998-11.052-26.564-47.768-21.18510.0015.306-17.14-15.2510.51.9-4.5-1-6.3-3.5
Vorderingen 10.10819.6851.134-0.664-0.71-626.737-0.154-0.1550.197-0.539-0.93-0.422-1.202-2.7624.6194.6195.0471.217-0.332-0.7740.5440.522-0.071-0.2210.21800000
Voorraden 231.24-263.567-525.207-42.447-14.165-142.17-35.783-8.05-10.848-30.409-27.291-9.232-35.33915.95156.676-11.098-48.0015.882-103.579-2.6812.0316.635-34.912-23.195-3.1-8.8-7.14.9-3.7-5.6
Crediteuren 96.1287.597114.893-9.21216.86-6.5675.077-17.8969.95620.0914.00720.2536.402-14.417-1.815-24.91616.505-5.26941.932-6.8816.322-18.30615.20311.81616.2900000
Overig Werkkapitaal -46.127-106.0916.83731.251-16.166609.634-19.0899.982-6.099-3.9984.233-0.24113.04624.692-6.62944.39315.397-28.39414.211-10.85-8.8956.4552.64-3.65-2.90810.72.6-5.9-2.62.1
Overige Niet-Contante Posten 6.3419.6945.34610.5434.9134.5850.35-2.734-6.509-6.292-5.7142.239-1.94-5.70125.4215.363-4.332-15.037-2.47-0.7820.889-0.229-1.0381.3341-0.1-0.20.10.10.1
Kasstroom uit Operationele Activiteiten 888.229484.854313.49397.581298.776118.656175.311165.378146.05121.815105.088119.07875.10393.959113.2593.28271.64469.0138.08555.95278.13459.15926.75318.30337.319.47.37.60.80.4
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -60.096-43.619-37.658-21.702-33.362-31.58-39.39-34.352-29.095-17.328-18.742-16.271-19.454-8.078-7.168-7.003-10.626-14.777-8.361-6.063-8.351-6.43-6.325-4.289-29.6-31.7-1.1-0.8-0.9-0.4
Netto Overnames -11.533-9.264-811.956-124.587-8.901-2.578-12.834-19.73-4.483-10.648-1.244-4.699-5.934-6.173-10.937-34.301-2.087-26.662-89.963-0.644-21.772-45.35-50.684-24.879-26.38300000
Aankoop van Beleggingen -0.032-2.0130000000000-0.1900000-3.539-6.9610000000000
Verkoop/verval van Beleggingen 0.0322.01300000000000.190000.07503.5396.9610000000000
Overige Investeringsactiviteiten 0.0322.013-811.956-124.587-8.901-2.5780.004-1.561-4.2150.1650.125-0.238-0.1901.1651.16500-3.539-6.96100.0140.0520.02727.0830.90.1-1.6-10.9-2.1
Kasstroom uit Investeringsactiviteiten -71.597-50.87-849.614-146.289-42.263-34.158-52.22-55.643-37.793-27.811-19.861-21.208-25.578-14.251-18.105-41.304-12.638-41.439-101.863-13.668-30.123-51.766-56.957-29.141-28.9-30.8-1-2.4-11.8-2.5
Financieringsactiviteiten:
Schuldaflossingen -334.216-2,007.313-993.133-1,168.564-1,444.274-1,017.296-1,029.58-1,091.594-898.354-766.504-715.41-624.363-700.898-506.793-583.491-24.053-83.831-68.915-100.3920-2.697000000000
Uitgifte van Gewone Aandelen 10.4558.9341,714.8841,087.61418.57413.56911.46611.75218.26913.5321.40920.20513.0856.2934.2836.4237.2927.2219.3226.9174.3221.1113.1251.7992.80.222.7020.50
Terugkoop van Gewone Aandelen -306.359-471.229-138.039-76.199-23.188-187.469-146.006-178.414-99.219-136.466-96.179-81.761-76.564-13.683-1.171-7.718-139.676-111.112-32.091-40.823-3.336-47.505-16.958-4.377-6.200000
Uitgekeerde Dividenden -167.461-150.624-119.581-91.929-83.772-69.43-58.029-49.749-43.117-37.6-33.808-29.135-26.47-25.746-25.31-24.431-22.734-21.08-17.862-10.7060000000000
Overige Financieringsactiviteiten -0.5512,208.574624.7071,288.1741,163.0551,107.71,208.333914.617845.057734.503612.41750.293454.771506.3455.053174.992152.301200.5419.67442.41840.17544.113.225-6-6.2-11.3-2.7-8.22
Kasstroom uit Financieringsactiviteiten -798.132-411.658526.131-244.371-244.486-97.571-114.449-99.672-107.804-81.983-89.485-102.644-40.554-85.158-99.344-44.726-63.957-41.58669.518-34.938-42.351-6.21930.26710.647-9.4-611.4-2.712.32
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 2.449-1.0560.186-1.3760.198-0.509-0.658-1.344-2.046-5.197-0.199-0.25-1.205-0.6724.28-7.3154.0423.883-0.6361.6042.020.4340.03-0.3360.111.4-6.3-5.2112.1
Netto Kasstroomverandering 20.94921.27-9.8075.54512.225-13.5827.9848.719-1.5936.824-4.457-5.0247.766-6.1220.081-0.063-0.909-10.1325.1048.957.681.6080.093-0.527-0.9-611.4-2.712.32
Kaspositie aan het Einde van de Periode 66.5445.59124.32134.12828.58316.35829.9421.95613.23714.838.00612.46317.4879.72115.84315.76215.82516.73426.86621.76212.8125.1323.5243.431416.316-0.713.12.9