Patterson-UTI Energy, Inc.

NASDAQ:PTEN

8.95 (USD) • At close January 14, 2025
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 246.292154.658-654.545-803.692-425.703-321.4215.91-318.634-294.486162.664188.009299.477322.413116.942-38.29347.069438.639673.254372.74108.73355.3262.169164.16223.754-9.1-0.322.24.31.92.51.60.6
Afschrijvingen & Amortisatie 731.416483.945849.178670.911,003.873916.318783.341668.434864.759718.73597.469526.614437.279333.493322.987284.466249.206196.37159.218120.61797.99891.21686.15933.13328.228.117.5105.32.92.31.8
Uitgestelde Inkomstenbelasting 51.8666.998-62.98-125.283-103.202-41.185-330.346-157.028-101.23543.67350.569159.152158.967147.49101.44366.03938.271-3.70817.10123.47317.27423.54814.5615.941-7.16.52.5-2.4-0.2-0.400
Aandelen Gebaseerde Vergoedingen 46.7521.09921.55826.57239.32837.92544.48328.32428.5127.03225.89123.18520.90416.77918.21420.13119.36415.1792.8251.222000000000000
Verandering in Werkkapitaal -67.219-86.93-55.2984.061134.586-44.883-171.44296.381386.717-208.14230.22829.31-66.841-72.81245.384-48.66879.43-57.482-113.306-40.442-13.705-0.361-12.273-24.59411.5-7.6-9.6-7.3-1.5-0.7-1-0.6
Vorderingen 84.544-209.226-147.356173.862213.58823.515-239.48272.327440.884-214.05912.00752.612-183.165-178.444213.813-50.567112.353-67.417-208.248-50.682-55.79100000000000
Voorraden -30.793-14.154-5.8527.19229.394-1.47-23.4495.66440.238-5.7370.575.276-13.491-8.77214.1785.4924.853-47.406-9.402-13.556-0.196-0.222-3.32-1.52-0.7-1.3-0.1-2.5-0.7000
Crediteuren -69.72938.98650.941-48.602-77.686-69.453104.07212.024-131.64986.62111.331-25.19941.99549.576-52.67310.341-40.31727.18460.8612.86112.32200000000000
Overig Werkkapitaal -51.24197.46446.975-68.391-30.712.525-12.5836.36637.244-74.9676.32-3.37987.8264.828-129.934-13.9342.54130.15743.48410.93529.96-0.139-8.953-23.07412.2-6.3-9.5-4.8-0.8-0.7-1-0.6
Overige Niet-Contante Posten -3.191-13.582-2.425426.2947.321183.916-31.235-12.443115.172-15.231-3.295-32.398-4.125-16.1943.9395.967-12.68613.55721.9018.6864.62514.8611.3980.0010.53.31.80.1-0.1-0.2-0.2-0.5
Kasstroom uit Operationele Activiteiten 1,005.914566.18895.496278.858696.203730.67300.711305.034999.437728.726888.8711,005.34868.597525.698453.677675.004812.224837.17460.479222.289161.518131.433254.00649.005243034.44.75.14.12.71.3
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -615.69-436.797-166.32-145.481-347.512-641.458-567.087-119.799-743.776-1,052.341-662.461-973.988-1,011.578-738.09-452.646-448.893-607.686-597.919-380.094-191.56-117.095-83.843-172.85-57.153-19.1-79.6-84.3-24-16.5-9.4-3.8-2.2
Netto Overnames -396.00526.074-29.35820.929-0.013-14.211-501.9540.15520.814-176.301000-238.02200-290-73.577-32.514-40.8320-40.546-17.80700000000
Aankoop van Beleggingen 000000-2.5200000000000000-17.6590000000000
Verkoop/verval van Beleggingen 00000000000000000000000000.601.90000.2
Overige Investeringsactiviteiten -5.895-2.50464.084-0.42445.76171.11760.94521.88920.81433.23310.38666.02747.99572.0473.30511.61734.22410.93414.441.5374.5822.91-0.3591.755-1.21.94.21.20.30.30.21.2
Kasstroom uit Investeringsactiviteiten -1,017.59-413.227-131.594-124.976-301.764-584.552-1,010.616-97.755-722.962-1,195.409-652.075-907.961-963.583-904.065-449.341-437.276-602.462-586.985-439.231-222.537-153.345-98.592-213.755-73.205-19.1-77.1-80.1-20.9-16.2-9.1-3.6-0.8
Financieringsactiviteiten:
Schuldaflossingen 372.66-19.76-50-62.525-176.474253.194268-255-130.5293-6.25196.25103.75398.75-6.169-50-701200000-79.416-3.374-13.66532.5-2.511.774.4-1.9-0.2
Uitgifte van Gewone Aandelen 000000471.570000000002.051.94643.47424.51910.28615.7396.065105.7292.130.368.10.93.304.70
Terugkoop van Gewone Aandelen -200.71-70.07-6.328-21.179-255.467-161.737-6.809-3.61-8.01-13.554-73.51-170.292-4.314-1.853-1.623-70.818-70.85-450.011-12.153-1.482000-1.6500000.1000
Uitgekeerde Dividenden -100.034-43.096-15.605-18.862-32.428-30.589-16.315-23.579-58.775-58.288-29.112-30.302-31.045-30.796-30.681-92.865-68.561-45.825-27.339-10.021000-4000000000
Overige Financieringsactiviteiten -6.349-0.4550-0.584-0.852-4.0040.123-3.089-1.97939.57111.753-6.64723.204-10.2540.56941.8281.1050.7450-0.7800014.05800-0.1-0.1-0.200-0.1
Kasstroom uit Financieringsactiviteiten 65.567-133.381-71.933-103.15-465.22156.864716.569-285.278-199.264260.729-97.119-10.99191.595355.847-37.904-171.855-206.256-373.1453.98212.23610.28615.739-73.35174.763-5.132.865.512.510.24.42.8-0.3
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 1.2360.4490.64-0.002-0.062-0.7811.012-0.195-6.877-0.543-0.8910.389-0.2750.2552.222-2.0840.543-0.053-1.203-0.1-0.13-0.01-0.2320047.145.716.211.150.9-0.5
Netto Kasstroomverandering 55.12720.029-107.39150.73-70.844202.2017.676-78.19470.334-206.497138.78686.777-3.666-22.265-31.34663.7894.049-123.01324.02711.88818.32948.57-33.33250.563-0.232.865.512.510.24.42.8-0.3
Kaspositie aan het Einde van de Periode 192.68137.553117.524224.915174.185245.02942.82835.152113.34643.012249.509110.72323.94627.61249.87781.22317.43413.385136.398112.371100.48382.15433.58459.3558.856.16919.713.68.44.91.6