Repligen Corporation

NASDAQ:RGEN

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

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

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Operationele Activiteiten:
Nettowinst 41.577185.959128.29159.92621.41116.61728.35311.6819.3458.1716.09314.156-0.044-4.0645.74637.107-0.8890.697-2.984-9.551-4.537-4.461-5.279-3.816-2.5-0.8-0.5-11.5-32-19.5-11.3-12.8-5.7
Afschrijvingen & Amortisatie 68.08550.98538.44727.06720.86815.77810.5075.3344.5944.0193.1143.5091.6751.3791.0770.8250.5390.3980.7560.8870.8020.2580.2770.3240.30.20.21.42.62.41.71.10.9
Uitgestelde Inkomstenbelasting 2.317-1.3526.517-3.992-0.6240.071-24.679-4.092-0.1180.2952.788-3.1430.04900-524.3770-20.65-23.60300000000000000
Aandelen Gebaseerde Vergoedingen 25.57527.31627.517.00712.84710.1926.7474.5953.5981.7671.061.0241.0031.0070.823524.387524.38720.6523.60323.6030000000000000
Verandering in Werkkapitaal -8.637-63.811-102.128-48.62-1.135-14.133-7.518-15.505-6.452.0432.782-2.3960.592-0.771-1.346-0.298-0.081-0.81.4280.363-1.614-0.551-0.0210.1690.1-0.2-3.4-1.99.6-7.87.3-2.9-0.9
Vorderingen -3.312-3.596-46.523-21.02-7.726-6.101-6.888-3.222-3.729-1.597-0.774-1.211-0.69-0.0290.52117.89317.893175.507228.017228.0170000000000000
Voorraden 40.973-57.204-89.781-29.26-9.314-4.0420.605-6.163-6.149-0.86-0.6262.7340.2470.2120.391-1.29-0.049-0.8320.2460.0110.026-0.281-0.0870.0830-0.20.20.50.10.6-1.5-0.1-0.2
Crediteuren -9.803-8.19719.5232.4620.6622.2660.807-1.8023.0242.288-0.7341.002-0.06-0.932-0.7991,560.4051,560.40549.487302.667302.6670000000000000
Overig Werkkapitaal -36.4955.18614.653-0.80215.243-6.256-2.042-4.3180.4042.2124.916-4.921.095-0.022-1.458-1,577.307-0.032-224.961-529.5020.352-1.64-0.270.0660.0860.10-3.6-2.49.5-8.48.8-2.8-0.7
Overige Niet-Contante Posten -14.999-27.01420.38911.23713.8494.2454.0415.5084.0842.1070.0930.29-0.0440.0010.0060.8240.8370.120.0042.5830.09100.4020.1880.90.10.52.75.20.10.460
Kasstroom uit Operationele Activiteiten 113.918172.083119.01662.62567.21632.7717.4517.52115.05318.40125.9313.443.232-2.4486.30738.4670.4050.415-0.795-5.718-5.258-4.754-4.62-3.135-1.2-0.7-3.2-9.3-14.6-24.8-1.9-8.6-5.7
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -38.988-133.346-71.276-26.344-23.154-14.037-5.454-4.325-2.628-5.603-4.635-1.264-0.525-0.597-1.34-1.103-1.327-0.735-0.053-0.308-1.084-0.308-0.185-0.217-0.3-0.1-0.4-0.5-0.60-18.2-1.3-1.1
Netto Overnames -186.6420-149.893-175.041-182.1540-112.795-44.614-27.587-21.236-29,208.818-43,214.487-0.3-1.78-25,973.235-41,671.877-1.775-13,583-17,301.99100000000000000
Aankoop van Beleggingen 0-1000000-0.047-23.7-20.168-27.508-42.48-39.11-84.33-47.038-56.865-54.798-13.974-11.384-17.222-20.96-8.33-22.801-49.96-8.80600000-3.8-5.900
Verkoop/verval van Beleggingen 102.3230000019.623.427.58734.80429.20943.21483.6559.33725.97341.67217.07513.58317.30212.85711.78320.88245000.10.21.207.92.70.22.4
Overige Investeringsactiviteiten 0.0320.11-4.187-3.889-4.65-3.4020.450.04527.587-0.2529,208.81843,214.4870-1.50425,973.23541,671.8771.77513,58317,301.99117,301.9910.3-0.50.0250.0070005.90.6-0.10.6-6.10
Kasstroom uit Investeringsactiviteiten -123.275-233.236-221.169-201.385-205.308-14.037-98.246-49.1944.791-19.792-17.9062.841-1.5049.921-32.232-14.2291.7751.4640.028-8.4112.67-2.727-5.12-9.017-0.30-0.26.6-0.64-20.8-7.21.3
Financieringsactiviteiten:
Schuldaflossingen -282.841-0.026-0.0210-114.989-0.0110-111.070000-0.057-0.042-0.043000000000000000000
Uitgifte van Gewone Aandelen 1.0763.70782.968297.775320.7133.418129.3091.8410.8660000000.6380.1580.340.03111.9800.0140.67734.1270200.40.417.48.924.611.4
Terugkoop van Gewone Aandelen -14.386-17.018-2.897-0.01-0.490-1.7150000000-1.954-1,954.45600000000000000000
Uitgekeerde Dividenden 000000000000000000000000000000000
Overige Financieringsactiviteiten -26.74717.018-76.1928.151280.1233.4180.636112.1130.7671.682.5221.1590.0070.0540.402-0.04-0.04-0.008-0.00525.6990000000-4.60.40.51300
Kasstroom uit Financieringsactiviteiten 248.961-13.3370.961305.916484.8673.407129.945112.1130.7671.682.5221.159-0.050.012-1.5960.5980.1180.3330.02611.9800.0140.67734.127020-4.20.817.921.924.611.4
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -11.739-5.866-12.28612.729-3.19-2.0772.376-2.299-1.882-4.7560.0740.60300000000000-0000000000
Netto Kasstroomverandering 227.865-80.356-113.478179.885343.58520.06351.52668.14118.729-4.46710.6218.0421.6787.485-27.52124.8362.2982.212-0.742-2.149-2.588-7.467-9.06321.976-1.51.3-3.4-6.9-14.4-2.9-0.88.87
Kaspositie aan het Einde van de Periode 751.323523.458603.814717.292537.407193.822173.759122.23354.09235.36339.8329.2114.20412.5265.04132.5627.7275.4283.2173.9596.1088.69616.16425.2273.24.83.56.913.327.730.631.422.6