Sonic Automotive, Inc.

NYSE:SAH

65.6 (USD) • At close November 13, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 178.288.5348.9-51.385144.13751.6592.98393.19386.31197.21781.61889.10176.25489.92931.548-685.92795.50281.11791.86186.07171.56106.56479.32974.17244.618.63.73
Afschrijvingen & Amortisatie 124.2113.993.887.57589.95494.23489.58778.18169.44259.41955.60847.47943.48535.29236.09136.37833.86126.36324.25418.17813.3419.75925.7922.71411.74.61.31.1
Uitgestelde Inkomstenbelasting -18.6-12.712.3-33.677-20.845-20.606-27.7614.46515.99628.4721.92422.49628.916-28.331-30.59-141.14324.02810.57230.73115.78118.6115.04811.78812.3842.12.2-0.3-0.2
Aandelen Gebaseerde Vergoedingen 23.320.51511.710.79711.85311.11911.1659.8147.6757.2080.1220.4380.5130.6032.2115.5896.8020.1145.275.396.815000000
Verandering in Werkkapitaal -390.8-120.4-179.50.422-7.99815.761-22.167.213-132.895-28.139-83.721-251.079-15.524128.288274.78228.286-134.478-214.542-67.74783.30911.7017.66530.808-3.391-12.74.12.8-1.5
Vorderingen -57-50.40.5-210.83444.44967.187-52.989-62.894172.828.152-9.092-42.093-103.836255.84923.424101.12618.7531.472-40.085-50.406-7.274-26.888000000
Voorraden -375.281.4252.4278.098-78.523-78.70157.2535.545-291.1-56.203-78.646-347.63340.201-121.935307.8035.204-17.003-20.04936.12328.055-122.789-27.254219.135-72.08-45.7121.4-14
Crediteuren 0.2-35.87.3-55.474-21.39615.98716.61214.9535.190.19-11.98421.63624.05715.6893.92-38.363-9.396-18.241-5.66190.98422.21619.271000000
Overig Werkkapitaal 41.2-115.6-439.7-11.36847.47211.288-43.03319.609-19.785-0.27816.001117.01124.054-21.315-60.365-39.681-126.832-177.724-58.12414.676119.54842.536-188.32768.68933-7.91.412.5
Overige Niet-Contante Posten 68316.315.8266.44-45.131-9.21719.11412.15120.823-3.99243.81124.50320.06129.34891.147880.8349.54927.8246.5471.14117.347-6.968-1.1610.3170.20.30.1-0.1
Kasstroom uit Operationele Activiteiten -15.7406.1306.3281.079170.914143.675162.883216.36869.491160.65126.448-67.378153.63255.039403.581120.63934.051-61.86485.76209.75137.949138.883146.554106.19646.129.87.72.1
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -203.6-227.1-298.2-127.183-125.576-163.619-234.245-206.232-173.249-146.432-157.617-95.376-158.716-85.194-43.277-137.094-78.295-99.848-81.638-104.377-96.075-92.516-43.6-73.171-382.2-76.5-87.7-1.9
Netto Overnames -15.1-102.3-1,012.3-10.106250.711128.734-38.46-15.8617.97823.956-88.18472.220.12900-22.945-149.59-110.371-138.76-194.017-68.814-202.365-120.158-91.5540000
Aankoop van Beleggingen 0-262.9-262.90-294.0950-210.914000-233.573-164.89600-244.258-24.2030000-192.39-32.74600000-0.2
Verkoop/verval van Beleggingen 00262.900.8050210.914000234.342165.64600068.3010000192.3932.74600000.80.5
Overige Investeringsactiviteiten -0292.613.137.105304.93619.5540.5961.3191.62214.5220.50.71.56526.534277.8520.632.26992.25988.50798.35176.359.89526.87855.09113.61.60.1-9.9
Kasstroom uit Investeringsactiviteiten -218.7-299.7-1,297.4-100.184136.781-15.331-272.109-220.774-163.649-107.954-244.532-21.706-157.022-58.66-9.683-115.341-195.616-117.96-131.891-200.043-88.589-234.986-136.88-109.634-368.6-74.9-86.8-11.5
Financieringsactiviteiten:
Schuldaflossingen 240.7119.21,247.251.9-230.5-78.421163.47868.243128.1035.429141.156179.14152.088-194.465-436.6325.037216.674197.79579.238-59.335.85128.20325.73267.064273.495.332.57.1
Uitgifte van Gewone Aandelen 12.78.77.700.060.3520.0450.0273.6623.2742.1712.3330.6451.741101.2655.14913.44419.2399.22915.78414.70212.2569.9822.619871.253.70
Terugkoop van Gewone Aandelen -177.6-261.9-93.3-71.721-2.4-24.11-37.347-99.971-34.483-53.046-17.067-82.924-10.987-1.113-0.061-28.648-48.865-15.056-5.584-20.917-24.307-33.78-26.77-40.031-6.4000
Uitgekeerde Dividenden -40-34.5-18.3-17.133-15.493-9.827-8.851-8.701-5.078-5.261-3.993-6.743-5.2860-4.86-19.106-20.931-20.406-20.077-17.365-4.0990000000
Overige Financieringsactiviteiten 110.6-15.4-278.3983.744-16.484-4.8144.3185.0591.348-2.3671.068-62.159-8.994-30.5482.7275.0613.382-19.10-0.619-0.69800-0.2-1.14.50
Kasstroom uit Financieringsactiviteiten 34.1-176.6624.8-39.685-284.446-128.842112.473.88993.601-51.53117.72990.542-16.537-204.572-370.834-14.841165.383184.95443.706-81.79822.146106.6798.94429.652353.878.690.77.1
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 00000000000000000000096.10300045.179.19.4
Netto Kasstroomverandering -200.3-70.2129.1141.2123.249-0.4983.244-0.517-0.5571.166-0.3551.458-19.929-8.19323.064-9.5433.8185.13-2.425-72.09171.506106.67918.61826.21431.378.690.77.1
Kaspositie aan het Einde van de Periode 28.9229.2299.4170.31329.1035.8546.3523.1083.6254.1823.0163.3711.91321.84230.0356.97116.51412.6967.5669.99182.08210.576127.943109.32583.196.997.416.1