PROG Holdings, Inc.

NYSE:PRG

48.82 (USD) • At close September 19, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989198819871986
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 155.416131.88170.15936.64557.75515.27851.037308.56114.9428.534231.091129.534176.25772.022109.6857.3765.2498.8076.9735.8650.0950.0960.0930.0950.0990.0950.0960.0840.10.10.10.10.10.10000
Kortetermijnbeleggingen 00000020.38520.51922.22600098.1320000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 155.416131.88170.15936.64557.75515.27851.037308.56114.9428.534231.091129.534274.38972.022109.6857.3765.2498.8076.9735.8650.0950.0960.0930.0950.0990.0950.0960.0840.10.10.10.10.10.10000
Nettovorderingen 227.62214.351199.937140.402198.102203.46286.022192.465378.408231.47868.68474.15787.47169.66266.09559.51352.02543.49542.81232.73630.87826.97325.41123.63721.0316.22611.79410.4918.185.86.36.24.10000
Voorraad 633.427648.043714.055610.2631,433.4171,318.471,152.135999.3811,138.9381,087.032869.725964.067862.276814.484682.402681.086623.452612.149550.932000000000001.51.923.80000
Overige vlottende activa 36.33648.48148.19739.554114.27165.378.36284.35163.13865.91671.27688.491-862.276-814.48400000425.567343.013317.287258.932000000000-0.100000
Totaal vlottende activa 1,052.7991,042.7551,132.348826.8641,803.5451,602.5081,567.5561,584.7581,595.4261,387.9751,240.7761,256.249361.86141.684858.182747.975680.726664.451600.717464.168373.986344.356284.43623.73221.12916.32111.8910.5758.28.17.48.38.280000
Niet-vlottende activa:
Materiële vaste activa, netto 33.37535.72743.13647.318566.877229.492207.687211.271225.836219.417231.293230.5981,088.8951,019.396910.018224.431247.038170.294133.759111.11899.58487.09477.282330.887275.749244.276216.725183.251145.8132.498.389.188.991.10000
Goodwill 296.061296.061306.212288.801736.582733.17622.948526.723539.475530.67239.181234.195219.342202.379194.376185.965143.282115.43600000000000000000000
Immateriële activa 91.664114.411137.305154.421190.796228.6235.551247.672275.912297.4713.5356.0266.0663.8325.27.4964.8140101.08574.87455.48525.98522.096000000000000000
Goodwill en immateriële activa 387.725410.472443.517443.222927.378961.77858.499774.395815.387828.141242.716240.221225.408206.211199.576193.461148.096115.436101.08574.87455.48525.98522.096000000000000000
Langetermijnbeleggingen 7.192-6.464-7.446-166.492-32.71329.14820.38520.51922.22621.311112.39185.86100000000000000000000000000
Belastingvorderingen 2.9812.9552.76126.9380.8268.76111.5895.912-56.162-59.56-55.436-77.38700000000000000000000000000
Overige niet-vlottende activa 7.1836.4647.44639.55431.887-4.98726.54818.88156.16259.5655.43677.38757.888141.204-646.3267.40337.31629.42522.95450.12826.23726.21313.38225.7621.5311.57710.7674.2774.64.42.53.73.62.9106.698.285.989
Totaal niet-vlottende activa 438.456449.154489.413490.541,494.2551,224.1841,124.7081,030.9781,063.4491,068.869586.4556.681,372.1911,366.811463.274485.295432.45315.155257.798236.12181.306139.292112.76356.647297.279255.853227.492187.528150.4136.8100.892.892.594106.698.285.989
Totaal activa 1,491.2551,491.9091,621.7611,317.4043,297.82,826.6922,687.12,615.7362,658.8752,465.7321,827.1761,817.6321,734.0511,508.4951,321.4561,233.271,113.176979.606858.515700.288555.292483.648397.196380.379318.408272.174239.382198.103158.6144.9108.2101.1100.7102106.698.285.989
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 20.23714.38613.74178.249272.81688.36980.82171.941300.356270.421243.91225.532-426.0860177.284173.926141.03121.018112.81793.56583.85464.13165.34434.69336.94133.46131.07124.99919.320.914.211.711.39.60000
Kortlopende schulden 00050369.38683.77897.192146.51551.07511.84114.45413.2781370000000000000055.3650000000000
Belastingschulden 67.83265.91466.08431.11632.76330.33231.05432.98632.95200000000000000000000000000000
Uitgestelde opbrengsten 35.71337.07445.0746.56591.91480.57968.0662.42769.23361.06945.24146.02244.571000000000000007.140000000000
Overige kortlopende verplichtingen 131.022120.639122.213-50-194.386177.514194.077193.9664.73727.228.40423.235440.652163.67182.98383.16294.49875.896000000003.2640000.200.80000
Totaal kortlopende verplichtingen 186.972172.099181.024124.814539.73430.24440.15474.849425.401370.531332.005284.832178.72440.652340.954356.909224.192215.516188.71393.56583.85464.13165.34434.69336.94133.46131.07190.76819.320.914.211.911.310.40000
Langlopende verplichtingen:
Langetermijnschulden 608.114612.088615.06479.516710.416340.974271.606351.314559.375594.241128.25128.25153.78941.7936114.817185.832129.974211.873116.65579.5773.26577.713104.76972.7651.72776.486037.553.133.134.135.53440.437.126.631.3
Uitgestelde opbrengsten niet-vlottend -35.713-37.074-45.0746.56591.91480.57968.0662.42769.23361.06945.24146.022040.213000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 104.838137.261146.265126.938310.395267.5222.592276.116307.481268.551226.958263.721000000095.17355.2950.51720.96320.98614.417.8116.68703.85.25.14.366.70000
Overige niet-vlottende verplichtingen 35.71337.07445.07-46.565-91.914-53.309-38.148-30.568-69.233-61.069-45.241-46.022424.988057.242029.77227.10123.45819.71716.39215.1913.20911.39310.57910.3048.68387.5046.95.93.64.13.94.321.519.919.218.9
Totaal niet-vlottende verplichtingen 712.952749.349761.329206.4541,020.811635.744524.11659.289866.856862.792355.208391.971578.77782.00393.242114.817215.604157.075235.331231.545151.252138.972111.885137.14897.74969.84291.85687.50448.264.241.842.545.44561.95745.850.2
Totaal passiva 899.924921.448942.353331.2681,560.5411,065.984959.0961,134.1381,292.2571,242.211685.848681.506757.497529.078434.196471.726439.796372.591424.044325.11235.106203.103177.229171.841134.69103.303122.92790.76867.585.15654.456.755.461.95745.850.2
Eigen vermogen:
Preferente aandelen 00000000001.365000000000000000000000000000
Gewone aandelen 41.03941.03941.03945.37645.37645.37645.37645.37645.37645.37645.37645.37645.37645.37630.25230.25230.25230.25228.52728.52719.01812.67911.81611.81611.81611.81610.76610.7660000000000
Ingehouden winsten 1,293.0731,154.2351,055.5261,236.3782,029.6132,005.3441,819.5241,534.9831,403.121,274.2331,202.2191,087.032918.699809.084694.689585.827499.109424.991349.377294.077252.924223.928197.321185.782159.313134.511113.86496.22686.466.658.452.850.249.646.842.337.332.7
Overige gereserveerde algehele resultaten 00-00-0.019-1.0870.774-0.531-0.517-0.09-0.064-0.0690.2740.846-0.101-1.447-0.082-77.782-0.014-0.539-52.428-1.868-1.954-36.449-132-112.8-69.5-60.5320-54-29.3-36.8-32.9-29.90000
Overige totale aandeelhoudersvermogen -742.781-624.813-417.157-295.618-337.711-288.925-137.67-98.23-81.361-95.998-107.5683.78712.205124.111162.42146.912144.101229.55456.58153.113100.67245.80612.78447.389144.589135.34461.32560.8754.747.223.130.726.726.9-2.1-1.12.86.1
Totaal eigen vermogen van aandeelhouders 591.331570.461679.408986.1361,737.2591,760.7081,728.0041,481.5981,366.6181,223.5211,141.3281,136.126976.554979.417887.26761.544673.38607.015434.471375.178320.186280.545219.967208.538183.718168.871116.455107.33591.159.852.246.74446.644.741.240.138.8
Totaal eigen vermogen 591.331570.461679.408986.1361,737.2591,760.7081,728.0041,481.5981,366.6181,223.5211,141.3281,136.126976.554979.417887.26761.544673.38607.015434.471375.178320.186280.545219.967208.538183.718168.871116.455107.33591.159.852.246.74446.644.741.240.138.8
Totaal passiva en aandeelhoudersvermogen 1,491.2551,491.9091,621.7611,317.4043,297.82,826.6922,687.12,615.7362,658.8752,465.7321,827.1761,817.6321,734.0511,508.4951,321.4561,233.271,113.176979.606858.515700.288555.292483.648397.196380.379318.408272.174239.382198.103158.6144.9108.2101.1100.7102106.698.285.989