Rieter Holding AG

SIX:RIEN.SW

100.2 (CHF) • At close September 19, 2024
Overview | Financials

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002
Operationele Activiteiten:
Nettowinst 7412.131.7-89.852.43213.342.749.852.937.426.511941.6-217.5-396.7301.4225.1205.621411683.8
Afschrijvingen & Amortisatie 52.752.837.437.738.240.948.939.342.840.83533.233.9124.8140.9259.5158.3145130.4132.6130.3121.6
Uitgestelde Inkomstenbelasting -12.1-7.1-4.4-2.6-3-3.6-14000000000000000
Aandelen Gebaseerde Vergoedingen 1.40.921.11.71.71.921.61.60.900000000000
Verandering in Werkkapitaal 7.6-131.182.112.4-49.45.7-30.624.25.4-13.246.1-5.8-17.5-64.391.4157.15.2-88.6-14.156.3129.691.9
Vorderingen 64.5-87.9-99.219.325.218.6-31.23.57.420.4-12.700000000000
Voorraden 49.7-105.2-38.9-160.20.2-4.826.443.5-14.3-9.99.2-55.2-93.596100-21.5-74.9-19.519.350.84.7
Crediteuren -52.747.167.9-19.4-26.411.5-3.5-5.800000000000000
Overig Werkkapitaal -53.914.9152.328.5-48.4-24.68.90.1-38.11.156-1537.729.2-4.657.126.7-13.75.43778.887.2
Overige Niet-Contante Posten -9-1014.5-10.1-86.9-0.23-4-99.1-10.8-44.6-125.34-16.437.3-78.8-35.6-79.1-64.8-178.4-56.9
Kasstroom uit Operationele Activiteiten 69.3-76.2165.7-49.8-45.778.420.6102.28989.6107.79.310.1106.1-1.657.2386.1245.9242.8338.1197.5240.4
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -42.7-46.7-38.6-28.6-31.6-29.2-29.4-30.9-31.6-42.2-55-81.6-57.3-98.2-61.7-140.9-165.1-152-144.2-107.7-128.4-133.6
Netto Overnames 91.9-7.8-315.31.5109.9-10.2-100.23.5170017.24.9-5.222.133.20-6.2-76.7-8.4612.6
Aankoop van Beleggingen -87.60-0.1-1.6-110.3-10.2-7.2-5.2000-1.83.76.1-15.90-12.2-6.6-10.2-16.1-21.6-29.2
Verkoop/verval van Beleggingen 0.200.10.10.40.77.21.700.62.217.847.94.70072.581.44.19.324.422.5
Overige Investeringsactiviteiten 87.624.313.6119.623.90.5-0.27.61.16.26.8-20.70.122.371.9-4.95.2-95.82.7249.1208.2
Kasstroom uit Investeringsactiviteiten 49.4-30.2-352.9-2588-25-121.9-25.9-7-40.5-46.6-41.6-21.5-92.5-33.2-35.8-109.7-78.2-322.8-120.2129.580.5
Financieringsactiviteiten:
Schuldaflossingen -139.4-2.7-152.3-104.3-12.5-6.6-4-13.4-178.1-67.9-36.5-7.6-26.6-113.4-107.4-12.7-219.4-8.8-38.9-11.900
Uitgifte van Gewone Aandelen 03.31.56.32.87.10.20000000560008.575.400
Terugkoop van Gewone Aandelen 0-3.30-6.3-15.3-7.1-0.2-0.6-10.6-1.7-4.401.1-9.800-14109.1000
Uitgekeerde Dividenden -6.7-180-20.1-22.5-22.6-22.6-20.4-20.6-16-11.6-27.7000-57.1-62.1-41.5-41.5-34.5-35-14.6
Overige Financieringsactiviteiten -5.555.6302.2202.437.7-7.170113.96.68.13.596.7252.523.678.6113-17.2-60.2-8.7110.6149.8
Kasstroom uit Financieringsactiviteiten -151.634.9151.478-9.8-36.3-19.4-34.4-84.8-77.3-40-31.871.2129.3-27.88.8-309.5-67.5-12320.375.6135.2
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -7.2-1.52.2-5-4.6-4.2-1.6-2.8-7.64.3-2.9-1.6-3.4-8.7-2.3-5.1-7.8-0.3-4.1-7.69.89.4
Netto Kasstroomverandering -40.1-73-33.6-1.827.912.9-122.339.1-10.4-23.918.2-65.756.4134.2-64.925.1-40.999.9-207.1230.6-17.434.1
Kaspositie aan het Einde van de Periode 135.6175.7248.7282.3284.1256.2243.3365.6326.5336.9360.8342.6408.3351.9217.7282.6257.5298.4198.5405.6175192.4