Royal Caribbean Cruises Ltd.

NYSE:RCL

168.55 (USD) • At close September 18, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 1,697-2,155.962-5,260.499-5,775.131,907.61,815.7921,625.1331,283.388665.783764.146473.69218.287607.421547.467162.421573.722603.405633.922715.956474.691280.664351.284254.457445.363383.853330.77177.5150.9149142.3106.760.64.3
Afschrijvingen & Amortisatie 1,4551,406.6891,292.8781,279.2541,245.9421,033.697951.194894.915827.008772.445754.711730.493702.426643.716568.214520.353483.066421.645402.069394.136362.695339.1301.174231.048197.909194.614-143.8-91.2-80.1-77.9-86.5-78-57.6
Uitgestelde Inkomstenbelasting -8-21.576-42.979-8.7917.745-2.6791.732.608-10.001-44.437028.4880000000000-42.9790000000000
Aandelen Gebaseerde Vergoedingen 126366439.7875.9346.06169.45932.65936.07326.11621.17824.153000000000063.6380000000000
Verandering in Werkkapitaal 1,189973.2861,481.612-1,331.268444.688434.245338.243261.354-7.918158.274114.402162.376125.399321.25864.508-19.13180.413-124.96344.315155.602165.57133.29-32.73326.9051.5960.47115.265.212.4-5.32436.717.2
Vorderingen 99-234.348-99.026419.0397.801-19.63324.33444.837109.012157.78662.68923.68696.111221.06427.3411,655.576-122.682-38.855-19.349-3.25610.011-7.339-18.587-0.15-16.9-13.90.1-3.4-2.8-23.5-1.3-1.9
Voorraden -24-73.792-34.52727.077-8.533-23.8492.424-1.6791.19726.254-4.321-1.645-18.423-20.274-11.295-0.14-19.424-7.4412.457-6.813-15.978-3.806-3.378-3.7175.4365.44-1.9-5.8-3.3-3.22.5-1.1-2.3
Crediteuren 12474.657188.518-133.81575.28191.73736.7829.564-25.278-40.65118.95736.60228.229-15.50716.42422.32223.398-29.671-3.741-25.98719.75627.083-14.07355.102-12.87.32-2.48.30.263.49.9
Overig Werkkapitaal 9901,206.7691,426.647-1,643.56280.139385.99274.705188.632-92.84914.88537.077103.73319.482135.97532.038-1,696.888299.121-48.99664.948191.658151.781117.3523.305-24.3325.861.6311576.810.2-0.31235.711.5
Overige Niet-Contante Posten 18243.304587.5352,064.50334.461152.023-111.19341.766-32.27321.47969.26343.49420.493150.57849.738-3.691.8117.902-50.9852.56248.87446.79690.132001.004285.2174.6143.3158.4173.1153.2114.8
Kasstroom uit Operationele Activiteiten 4,477481.857-1,877.815-3,731.6533,716.3663,479.1392,874.5662,516.691,946.3661,743.7591,412.0681,381.7341,455.7391,663.019844.8811,071.2551,268.694948.5061,111.361,076.991857.803870.47633.689703.316583.358526.858434.1299.5224.6217.5217.3172.578.7
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -3,897-2,710.063-2,229.704-1,965.131-3,024.663-3,660.028-564.138-2,494.363-1,613.34-1,811.398-763.777-1,291.499-1,173.626-2,187.189-2,477.549-2,223.534-1,317.381-1,180.579-429.898-630.67-1,029.53-689.991-1,737.471-1,285.649-972.481-651.453-1,258.6-722.4-427.5-145.5-80.5-268.2-397.6
Netto Overnames 2220.421-70.228-100.609-25.569-930.092-10.396-9.155-56.163-188.595-70.6260-110.660109.245-0.9230-653.312000000000000000
Aankoop van Beleggingen -117-355.909-74.249-161.335-68.836-98.074230-213.202-178.597-68.098-17.338-10.886-110.66-91.3250000-56.5-732.1650000000000000
Verkoop/verval van Beleggingen 7552.5544.49215.8747.62176.52963.22438.21302200016.3070110.83269.8150056.5732.1650000000000000
Overige Investeringsactiviteiten 325.235184.9532.63520.041122.50767.718-8.172105.12577.71327.20339.062454.074-9.404-16.983-22.607146.823-15.187340.872-1.84-73.114-6.275-46.501-278.781-14.963189.24788.13453.7-0.30.421.715.6
Kasstroom uit Investeringsactiviteiten -3,714-2,987.766-2,144.739-2,178.566-3,091.406-4,489.158-213.592-2,724.892-1,742.975-1,770.378-824.538-1,263.323-924.565-2,287.918-2,274.457-1,977.249-1,170.558-1,849.078-89.026-632.51-1,102.644-696.266-1,783.972-1,564.43-987.444-462.206-1,170.5-688.4-373.8-145.8-80.1-246.5-382
Financieringsactiviteiten:
Schuldaflossingen -2,199-7,777.935-2,806.932-9,702.056-29,673.355-1,627.229-7,835.087-6,365.57-4,118.553-3,724.218-407.017-2,216.701-2,179.046-1,691.047-1,009.624-1,011.419-1,815.944-1,795.777-1,564.715-361.386-231.1-603.27-45.553-128.086-127.919-395.144-367.4-22-369.6-694.5-331.6-254.6-177.4
Uitgifte van Gewone Aandelen 001,621.861,431.37529,767.8464.2645,869.4917,340.8184,410.7534,224.83700000019.63223.02621.99698.3160000487.399165.532531.6000193.400
Terugkoop van Gewone Aandelen 0000-99.582-575.039-224.998-299.959-200-236.075000000-164.582-164.582-249.122586.38600000296.141695.20008.700
Uitgekeerde Dividenden 000-326.421-602.674-527.494-437.455-346.487-280.212-198.952-143.629-117.707-21.70700-128.045-98.298-124.46-118.764-104.521-98.32-100.127-99.955-94.418-81.568-67.734-50-34.4-30.5-25.4-32.100
Overige Financieringsactiviteiten -39,518.9084,225.649-25.847-62.606673.377-47.747-84.993-65.5-48.112-25.982,154.7911,524.2382,448.0072,321.832,222.852,095.8032,941.5385.078-364.784661.76344.5991,845.1591,197.95816.723-1.319-2.7454.5556.6639.80.2357.8472.7
Kasstroom uit Financieringsactiviteiten -2,2021,740.9733,040.5779,349.788-670.3711,198.073-2,675.796243.809-253.51217.48-576.626-179.617-676.515756.961,312.2061,083.38636.611879.707-1,525.527-145.989332.343-658.7981,699.651975.454294.635-2.524806.7398.1156.5-80.1-161.4103.2295.3
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 1-1.829-0.7271.1671.297-20.3142.331-24.569-17.555-6.307-1.072-6.125-12.4023.249-0.889-5.298-8.4830000000000.1-0.10.10-137.274303.3
Netto Kasstroomverandering -1,438.005-766.765-982.7043,440.736-44.114167.74-12.49111.038-67.676-15.4469.832-67.331-157.743135.31-118.259172.094126.264-20.865-503.193298.49287.502-484.594549.368114.34-109.45162.12870.49.17.4-8.4-161.4103.2295.3
Kaspositie aan het Einde van de Periode 4971,935.0052,701.773,684.474243.738287.852120.112132.603121.565189.241204.687194.855262.186419.929284.619402.878230.784104.52125.385628.578330.086242.584727.178177.8163.47172.921110.840.431.323.9-104.9130.6330.7