Ralph Lauren Corporation

NYSE:RL

199.89 (USD) • At close November 4, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 646.3522.7600.1-121.1384.3430.9162.8-99.3396702776750681567.6479.5406419.8400.9308190.425170.954174.235172.559.262147.46490.6147.6117.3
Afschrijvingen & Amortisatie 229220.5229.7247.6269.5281.3295.2307.5310294258232.328.925.4181.2184.4201.3144.7127103.63383.18978.64583.91978.59966.2846.427.413.8
Uitgestelde Inkomstenbelasting -41.13.9-46.135.6-168.88.584.1-38.9-811114.4-15.147.3-0.2-35.1-7.7-112.435.510.103-4.2338.90121.216-23.436.761-25.8-280
Aandelen Gebaseerde Vergoedingen 99.575.581.772.7100.688.674.563.697819387.577.970.459.749.770.743.626.612.85100000000
Verandering in Werkkapitaal 115-424.6-169.675.973.9-77289233.6122-179-187-56.4-58.4-152.5162.685.41.1292.5-84.718.034-49.992-11.4745.478-69.80811.525-90-64.868.2
Vorderingen -15.3-52.632.4-14357.610.134.554.1129-96-10482.1-114-50.792.21.11026.4-19.26.022.6230000000
Voorraden 149.1-106.2-269.33.772.3-90.857.8120.4-91-97-77-67.5-148.3-173.529.1-10.581.8-32.23.8-23.5317.2276.36582.721-44.62653.325-76.4-48.946.7
Crediteuren 15.6-225194.6302-6.1-4.764.6112.9905043-57.1154.8109.241.329.5-14.941.739.1-6.632-2.2960000000
Overig Werkkapitaal -34.4-40.8-127.3-86.8-49.98.4132.1-53.8-6-36-49-13.949.1-37.519.365.3-75.8256.6-108.442.176-67.546-17.839-77.243-25.182-41.8-13.6-15.921.5
Overige Niet-Contante Posten 429.11320.170.295.151.569.5485.890-15-34-8.9171130.523.783.810.226.836.746.92610.68818.66710.64555.66310.659-0.10.14.3
Kasstroom uit Operationele Activiteiten 1,069.7411715.9380.9754.6783.8975.1952.31,0078949071,018.9885.3688.7906.5774.2695.4796.1449.1381.972210.606268.974293.758100.286242.68938.596.2203.6
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -164.8-217.5-166.9-107.8-270.3-197.7-161.6-284-418-391-390-276.5-272.2-255-201.3-185-217.1-184-158.6-174.138-123.026-98.664-88.008-105.17-122.01-148.7-71.6-35.3
Netto Overnames 000107.80.9-4.5-4.6-6.1-16-12-40-21.7-11.7-70.9-30.8-46.3-188.7-176.1-380.6-243.248-5.019-30.326-23.702-20.929-235.144000
Aankoop van Beleggingen -392.8-598.6-1,510.6-704.6-1,289.7-3,054.6-1,605.6-860.4-1,085-1,398-1,067-875.8-1,360.5-1,244.3-1,350.9-623.1-96.80000-47.6310-50.7210000
Verkoop/verval van Beleggingen 304.31,293.4964.61,010.92,240.42,357.51,582.7942.49421,1131,0111,058.11,393.51,242.31,072.4369.512.7000013.452000000
Overige Investeringsactiviteiten -3.5-5.8-5-111.320.820-22.90.3-6-1-22.81.328.56.226.9-15.1-74.500-4.657-3.1-4.242-5.15238.832-47.5-3.3-3.3
Kasstroom uit Investeringsactiviteiten -256.8471.5-717.9195702.1-879.3-189.1-207.8-583-689-488-113.1-249.6-299.4-504.4-458-505-434.6-539.2-417.386-132.702-166.269-115.952-181.972-318.322-196.2-74.9-38.6
Financieringsactiviteiten:
Schuldaflossingen -21.3-521.9-23.1-928-13.6-329.5-28.2-3,878.6-4,488-2,598-278-8.7-115.7-7.9-127.7-203.5-161.2-83.4-2.2-54.28100000000
Uitgifte van Gewone Aandelen 00515.70475419.90.13,740.24,6772,86035249.6169.288.350.52940.151.455.254.28140.4147.71824.48610.29700.1268.80
Terugkoop van Gewone Aandelen -449.7-488.6-492.6-37.7-694.8-502.6-17.1-215.2-500-532-558-547.3-419.4-594.6-231-169.8-475.4-231.3-3.8-1.052-1.047-4.682-2.067-13.833-41.262-16.100
Uitgekeerde Dividenden -194.6-198.3-150-49.8-203.9-190.7-162.4-164.8-170-158-149-127.8-74.3-38.5-24.7-19.9-20.5-20.9-20.8-21.718-14.84700000-44.9-90.3
Overige Financieringsactiviteiten 0-500-515.7-483.7-0.9-2.810.20.3873439.432.540.126.512.1356.51895.154.281-100.943-19.7-62.742-22.35242.852159.4-216.1-58.7
Kasstroom uit Financieringsactiviteiten -665.6-1,208.8-665.7356.8-438.2-605.7-197.5-518.1-473-421-599-594.8-407.7-512.6-306.4-352.1-260.5-95.233.531.511-76.423-16.664-40.323-25.886201.59143.47.8-149
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -13.6-8.8-48.325.5-15.2-27.855.2-14.45-813-8.9-9.413.2-13.8-34.457.711.9-8.22.053-1.6112.832-0.928-5.501-5.844000
Netto Kasstroomverandering 134.2-335.1-716958.21,003.3-729643.7212-44-297-177302.1218.6-110.181.9-70.3-12.4278.2-64.8-1.85-0.12998.873136.555-113.073120.113-14.329.116
Kaspositie aan het Einde van de Periode 1,6651,536.91,8722,5881,629.8626.51,355.5668.3456500797973.7671.6453563.1481.2551.5563.9285.7350.485343.477343.606238.77451.498164.57144.558.729.6