Rayonier Inc.

NYSE:RYN

31.58 (USD) • At close September 18, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199519941993
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 207.7114.3362.284.668.7148.4112.785.951.8161.6199.6280.678.6349.57561.685181.08140.171146.22784.11721.39718.92414.1239.82412.36.610.73.410.99.26
Kortetermijnbeleggingen 7.2590.0910.7216.4940.5750.3692.8841.75600000000000000000000000
Liquide middelen en kortetermijnbeleggingen 207.7114.3362.284.668.7148.4112.785.951.8161.6199.6280.678.6349.57561.685181.08140.171146.22784.11721.39718.92414.1239.82412.36.610.73.410.99.26
Nettovorderingen 40.16942.53830.01849.08227.12726.15127.69320.66420.22224.01894.956100.35996.953104.374192.472.54981.068100.30988.37891.47691.41297.927101.48117.114103.5118.8115.7123.4128.5103.982.7
Voorraad 31.01723.72928.52310.59414.51815.70324.14121.37915.3519.042138.818127.966121.998110.03588.50496.67884.29175.59385.54590.94294.86185.07191.0197.106105.198.9114.1154.9170.1119.7133.6
Overige vlottende activa -207.787.377.982.557.359.570.955.853.952.8280.5285.7265.9259.7242.339.97149.7882.48133.94834.16336.89426.92328.44746.55450.757.57067.980.164.477
Totaal vlottende activa 316.958202.3451.5173.5127.2216183.6164.9105.7214.4519.2566.3344.5609.2509.7326.9396.22298.554354.098300.698244.564228.845235.06270.598271.6281.8310.5349.6389.6297.2299.3
Niet-vlottende activa:
Materiële vaste activa, netto 122.5124.4131.4139.4122.222.823.3146.76.7860.8709.3461.61,523.21,533.51,605.71,462.9741,481.2931,288.329463.316502.232541.0381,712.5041,822.2121,923.71,232.21,2011,174.8705.3671.6668.9
Goodwill 7.8227.8638.4578.9438.6118.3078.7768.6798.4789.69410.17900000038.70000000000000
Immateriële activa 5.4275.79511.57412.59412.2163.7764.0924.13.94.288.200000000005.1200000000
Goodwill en immateriële activa 13.24913.6588.4578.9438.6118.3078.77612.77912.37813.89418.1798.20000038.700005.1200000000
Langetermijnbeleggingen 0.7115.097106.878108.51881.79185.60980.79789.27200-18.17972.469.268.5510000000000000000
Belastingvorderingen 2,987.3783,789.371-106.878-108.518-81.791-8.316-8.773-102.0510039.1-8.200005,2530050,646121,814110.16000000000
Overige niet-vlottende activa 206.8-455.4263,045.0433,406.8572,602.9892,456.32,570.82,506.92,201.7222,218.1062,269.11,775.91,693.3164.4159.7157.9-5,033.153144.335196.637-49,476.128-120,722.1161,007.15372.32869.46484.986.984.173.3553542.4506.6
Totaal niet-vlottende activa 3,330.6273,587.13,184.93,555.22,733.82,564.72,674.92,520.92,220.82,238.73,1692,557.62,224.11,756.11,744.21,763.61,682.8211,664.3281,484.9661,633.1881,594.1161,658.3511,789.9521,891.6762,008.61,319.11,285.11,248.11,258.31,2141,175.5
Totaal activa 3,647.63,789.43,636.43,728.72,8612,780.72,858.52,685.82,326.52,453.13,688.23,123.92,568.62,365.32,253.92,090.52,079.0411,962.8821,839.0641,933.8861,838.681,887.1962,025.0122,162.2742,280.21,600.91,595.61,597.71,647.91,511.21,474.8
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 26.56122.123.44724.7918.1618.01925.14822.33721.47920.21169.29370.38172.87357.98558.58470.01166.22473.75866.36276.26265.31266.7765.24787.4017465.874.387.6102.983.767.8
Kortlopende schulden 64.295124.965125-35.90282-28.4663.431.70129.7112.515028.193.0574.650.6255.5853.553.3148.5753.5453.527.62.5653.24.102.230.3182
Belastingschulden 4.3943.73412.4467.3473.0323.1783.7812.6573.68511.4058.55113.824010.33711.99410.631000000000000000
Uitgestelde opbrengsten 19.01222.76217.80211.11211.4410.4479.721-22.3370-20.211-181.793-70.381-72.87383.158101.51848.33853.07570.2254.02583.9244.37867.82847.40300000000
Overige kortlopende verplichtingen 30.409-74.52765.45198.239.663.530.23160.345.22172.3163.8157.7150.511.510.64843.93143.52945.80946.37333.76934.05133.63632.67105.801116.7102.9132.213197.894.988
Totaal kortlopende verplichtingen 140.27795.3231.798.2151.263.568.59266.7202163.8307.7178.6245.7175.4162.9218.413193.337170.07242.526147.286171.754152.92195.767193.9172.8206.5220.8203.7178.9337.8
Langlopende verplichtingen:
Langetermijnschulden 1,365.81,603.51,336.21,460.81,063.6972.61,0221,030.2833.9621.81,574.21,120.1819.2675.1695770.3694.259655.447555.213610.29614.935649.628842.205970.4151,132.9485.9421.3430.7446.7482.9316.1
Uitgestelde opbrengsten niet-vlottend 11.29422.76217.80211.11211.4410.4479.7219.09900000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 87.657-22.762-17.802-11.112-11.44-10.447-9.721-9.099000000000032.23650.646121.814110.16131.723130.333123.5115.4113.489.5160.6127.6126.2
Overige niet-vlottende verplichtingen 83.304104.1119.1177108.6907566.764.254.1204.5261.3246.5192.5238.2233.4185.272197.836196.693234.036243.539245.942189.37185.658177187.8204.7214.448.744.151.8
Totaal niet-vlottende verplichtingen 1,548.0551,707.61,455.31,637.81,172.21,062.61,0971,096.9898.1675.91,778.71,381.41,065.7867.6933.21,003.7879.531853.283784.142894.972980.2881,005.731,163.2981,286.4061,433.4789.1739.4734.6656654.6494.1
Totaal passiva 1,688.3321,802.91,6871,7361,323.41,126.11,165.51,188.9964.8877.91,942.51,689.11,244.31,113.31,108.61,166.61,097.9441,046.62954.2121,137.4981,127.5741,177.4841,316.2181,482.1731,627.3961.9945.9955.4859.7833.5831.9
Eigen vermogen:
Preferente aandelen 338.244366.637402.307446.267583.006672.371707.3780.23400001.6750.77600.339000000000000000
Gewone aandelen 1,497.71,462.9451,389.0731,101.675888.177884.263872.228709.867708.827702.598692.1670.749630.286602.882561.962508.059487.407450.636422.364393.513364.8176.61359.72148.71760.5000000
Ingehouden winsten 338.2366.637402.307446.267583.006672.371707.378700.887612.76790.6971,015.209876.634806.235717.058663.986514.094519.328494.272454.884401.479355.956664.037649.775631.384592.4559.4530.5477.7610.3497.6448.9
Overige gereserveerde algehele resultaten 24.65135.813-19.604-73.885-31.2020.23913.4170.856-33.503-4.825-46.139-109.379-113.448-68.358-79.742-98.296-25.638-28.6467.6041.396-9.66-30.938-0.702-730.472-657.6-616.2-562.5-506.3-586.8-530.90
Overige totale aandeelhoudersvermogen -338.295-366.632-402.283-446.224-582.987-672.344-707.301-0.1440.0160.03-9.57-3.204-0.448-0.358-0.906-0.2960000000730.472657.6695.8664.7652745.9688.5157.4
Totaal eigen vermogen van aandeelhouders 1,860.51,865.41,771.81,474.11,4401,556.91,593.11,411.71,288.11,488.51,651.61,434.81,324.31,2521,145.3923.9981.097916.262884.852796.388711.106709.712708.794680.101652.9639632.7623.4769.4655.2606.3
Totaal eigen vermogen 1,959.31,986.51,949.41,992.71,537.61,654.61,6931,496.91,361.71,575.21,745.71,434.81,324.31,2521,145.3923.9981.097916.262884.852796.388711.106709.712708.794680.101652.9639649.7642.3788.2677.7642.9
Totaal passiva en aandeelhoudersvermogen 3,647.63,789.43,636.43,728.72,8612,780.72,858.52,685.82,326.52,453.13,688.23,123.92,568.62,365.32,253.92,090.52,079.0411,962.8821,839.0641,933.8861,838.681,887.1962,025.0122,162.2742,280.21,600.91,595.61,597.71,647.91,511.21,474.8