Robert Half International Inc.

NYSE:RHI

66 (USD) • At close September 19, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 411.146657.919598.6265,109454.433434.288290.584343.389357.796305.928252.195209.942149.92266.06937.263250.181296.212283.178237.87140.6046.392.168121.107186.103141.4131.693.761.140.326.111.74.44.18.913.5
Afschrijvingen & Amortisatie 54.24749.06554.45163.565.62565.94965.49364.31553.46549.68148.77248.72451.41555.95865.26673.2171.44161.08579.81472.30865.90472.30873.11656.63939.124.617.711.98.47.26.76.46.465.2
Uitgestelde Inkomstenbelasting -16.56810.81-21.133-13.146-9.473-15.88544.091-1.868-8.579-3.643-13.259-14.99317.1567.375.752-6.043-7.242-19.318-13.371-12.925-5.0190.567-11.419-16.156-6.91.9-5.1-1.7-0.71.11.11.91.91.32.6
Aandelen Gebaseerde Vergoedingen 61.13957.66355.93252.48648.344.95342.19142.69941.29240.82138.86741.46450.90657.11961.14868.6853.8340.83528.48523.19561.2512.7880000000000000
Verandering in Werkkapitaal 181.311-187.822-53.628264.857-22.4131.1032.61-13.824-8.981-54.74-16.7225.382-15.545-11.61476.31446.648-8.91535.154-32.682-71.09855.27579.42771.47215.804-26.1-23.8-34.7-22-6.2-9.2-4.5-1.15.3-2.6-16.3
Vorderingen 156.269-65.626-292.628127.74-48.461-86.217-17.039-15.888-75.745-134.917-47.699-21.354-81.314-68.008133.54167.283-54.723-75.442-76.897-153.386-16.17250.587117.483000000000000
Voorraden -51.0040102.592119.41365.593-626.469-712.156-622-681.6-691.484-644.054-552.9846.3681.49-50.802-12.94128.83966.166-5.64612.70600-497.352000000000000
Crediteuren -14.6983.73552.611.098-9.20489.71547.83219.72660.23271.7438.35616.67264.93241.626-5.238-5.23826.94449.54254.9774.06910.19716.052-58.018000000000000
Overig Werkkapitaal 90.744-125.93183.79816.606-30.338654.074683.973604.338688.132699.921636.675563.048-5.53113.278-1.187-2.456-9.975-5.112-5.109-4.48761.2512.788509.35915.804-26.1-23.8-34.7-22-6.2-9.200000
Overige Niet-Contante Posten -54.39496.115-31.112-4,880.169-16.84611.9148.0227.373.2432.651-261.081-1.3422.4620.981-5.5914.4495.898-24.71627.4129.749-59.921-1.67121.55424.67802110.45.10.40.2-0.1-0.1000
Kasstroom uit Operationele Activiteiten 636.881683.75603.136596.528519.629572.322452.991442.081438.236340.69848.772289.177256.316175.883240.153447.125411.224376.218327.528161.833123.879165.587275.83267.068147.5155.38254.442.225.414.911.517.713.65
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -45.874-61.12-36.611-33.377-59.464-42.484-40.753-82.956-75.057-62.83-53.15-50.056-56.535-35.673-41.248-73.685-103.301-92.404-61.751-32.867-36.492-48.3-84.695-73.992-52.6-71.4-32-18-8.4-4.7-2.3-1.1-0.8-3.3-3.9
Netto Overnames -1.035-18.98436.611-15.83600-1.16-2.2-14.66800-14.3930-0.585000000000-3.15300000000000
Aankoop van Beleggingen -102.969-67.388-85.432-64.35100000000000000-0.6020000000000000000
Verkoop/verval van Beleggingen 37.62830.86934.434123.0250000000000000092.1280000000000000000
Overige Investeringsactiviteiten -65.341-36.519-36.61158.674-42.674-46.025-36.584-27.079-28.225-25.811-44.052-8.577-6.867-2.839-4.719-21.116-12.949-3.618-7.439-2.139-19.654-40.5640000-3.3-4.6-1-4.5-11.2-6.4-0.7-5-9.2
Kasstroom uit Investeringsactiviteiten -112.25-116.623-87.6099.461-102.138-88.509-78.497-112.235-117.95-88.641-53.15-73.026-63.402-39.097-45.967-94.801-116.25-96.02222.336-35.006-56.146-88.864-84.695-77.145-52.6-71.4-35.3-22.6-9.4-9.2-13.5-7.5-1.5-8.3-13.1
Financieringsactiviteiten:
Schuldaflossingen 00-0.239-0.218-0.2-0.183-0.167-0.154-0.14-0.128-4.496-0.107-0.091-0.113-0.105-1.98-0.352-0.3480-0.07000000000000000
Uitgifte van Gewone Aandelen 03.3182.7962.5064.2535.61400.2231.52914.32433.28542.93918.30938.35524.95127.4852.386105.3737744.33125.25939.30336.3340042.226.916.710.317.57.92.11.92.60
Terugkoop van Gewone Aandelen -254.625-319.897-287.738-159.172-277.535-353.509-231.724-176.031-271.138-153.821-167.975-176.794-168.103-155.46-149.818-245.497-452.944-399.817-262.382-89.601-33.33-145.665-118.811-126.6230-89.2-20.9-5.4-3-2.1-1.4-0.70-3.2-7.4
Uitgekeerde Dividenden -205.91-189.286-170.612-155.935-145.631-136.423-121-114.164-107.561-97.604-89.187-84.129-80.303-76.591-72.149-68.608-65.52-54.403-47.781-31.095000000000000000
Overige Financieringsactiviteiten 0-3.318-2.796-2.506-4.253-5.614-0.1671.8228.7627.1748.1038.4754.2115.8144.7513.68814.6949.9290.711-0.001-0.066-0.202-1.08224.818-109.9-2.2-1.5-4.2-1.3-30.7-6.7-5.6-18.5-6.6-17.3
Kasstroom uit Financieringsactiviteiten -460.535-509.183-458.589-315.325-423.366-490.115-352.891-288.304-368.548-230.055-220.27-209.616-225.977-187.995-192.37-284.917-451.74-299.266-232.452-76.436-8.137-106.564-83.559-101.805-109.9-49.24.57.16-15.3-0.2-4.2-16.6-7.2-24.7
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 9.018-18.319-12.36313.284-0.226-11.87212.949-5.918-14.28-10.647-3.0411.764-2.7380.5529.222-22.65119.2878.191-4.3379.89500000-83.9-46.7-31.8-32.8-16.2-1.4-4-16.2-5.38.1
Netto Kasstroomverandering 73.11439.62544.575303.948-6.101-18.17434.55235.624-62.54211.355-11.8718.299-35.801-50.65711.03844.756-137.479-10.879113.07560.28659.596-29.841107.57688.118-15-49.24.57.16-15.3-0.2-4.2-16.6-7.2-24.7
Kaspositie aan het Einde van de Periode 731.74658.626619.001574.426270.478276.579294.753260.201224.577287.119275.764287.635279.336315.137365.794354.756310447.479458.358436.809376.523316.927346.768239.192151.182.184.748.48.6-13.50.4-3.4-15.4-4.111.1