Sinclair Broadcast Group, Inc.

NASDAQ:SBGI

15.91 (USD) • At close November 8, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst -2912,701-326-2,429105345.998594.104250.762176.099215.11575.817144.95376.17775.048-138.029-241.49122.69953.977187.3124.02224.392-564.494-127.72277.365167.7-5.8-4.51.15-3.5
Afschrijvingen & Amortisatie 3516472,9411,7521,061280.088275.925282.324264.887228.787141.37487.54251.38255.39765.57263.367165.233160.325142.398168.854175.469197.822279.6259.187250.9201.7152.1121.880.455.6
Uitgestelde Inkomstenbelasting -358906-92-604-5-102.621-159.4626.118-28.446-0.81822.5188.31343.97238.636-24.949-116.19839.84217.65680.61216.95317.258.174-10.5956.41825.230.720.62.3-5.1-9.2
Aandelen Gebaseerde Vergoedingen 455060523326.51615.88616.93918.31514.29610.5735.90006.083000001.55900000000
Verandering in Werkkapitaal 384-53-31190156-82.199-171.304-105.293-166.128-78.585-189.267-83.7523.245-49.913-67.66854.454-63.428-75.335-107.899-97.308-49.196-115.991-148.142-110.144-6-79.9-78-55.6-27.4-22.1
Vorderingen -820-1877070-36.68-41.908-71.718-38.666-44.253-90.635-23.225-11.61600.82322.884000000-601.4660000000
Voorraden 00-185150-121-117.888-120.879-112.475-112.5310-90.408-92.47100000000001,005.3750000000
Crediteuren 512-14113-333423.66634.85760.086-18.13453.3127.95435.8850-14.49100000000209.6770000000
Overig Werkkapitaal -120-59-52-127-12748.703-43.37418.8143.203-87.644-16.178-3.94114.861-35.422-68.49131.57-63.428-75.335-107.899-97.308-49.196-115.991-761.728-110.144-6-79.9-78-55.6-27.4-22.1
Overige Niet-Contante Posten 104-3,452-1,9452,687-434179.636-124.045140.916135.96851.65977.08680.084-87.072-34.835-26.864444.918-13.4077.569-247.8727.592-19.162622.54565.747-163.6990.114.90.20.1-0.20.1
Kasstroom uit Operationele Activiteiten 2357993271,548916647.418431.104591.766400.695430.454160.577237.475148.513154.961105.436211.133146.214155.33354.549120.113148.753149.61558.88869.127130.2150.596.66952.713.7
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -92-105-80-157-156-105.061-83.812-94.465-108.432-1,566.497-1,049.532-1,179.334-47.757-21.80-42.292-23.226-16.923-16.673-44.881-69.531-84.087-29.017-33.256-268.1-2,077.4-110-12.6-1.7-2.4
Netto Overnames 1-315-4-16-8,999-35.805-326.402-477.104-44.715-8.104-10.767-24.05254.63518.937-10.601-52.159-39.075-1.71-15.540-180-0.49-89.936000000
Aankoop van Beleggingen -72-75-256-139-452-35.80512.918-19.5-44.715-8.104-11.604-1.493-16.894-7.360-41.97100-0.97-5.549-5.699000-14.200000
Verkoop/verval van Beleggingen 20699007019.526.28673.103-1,300.26-951.1480.1831.1660.1170136.422000.06200.13800000.70.4000
Overige Investeringsactiviteiten 915941537022.655179.771-41.22-26.5521,485.609971.8155.412-103.39842.041-83.245-142.3225.9283.489317.94832.7280.095136.909-3.831333.012735.3264-109.4-999.3-117.5-248.5
Kasstroom uit Investeringsactiviteiten 52-381-246-159-9,530-118.211-198.025-606.003-151.311-1,397.356-1,051.241-1,149.284-112.24831.935-93.846-142.322-56.373-15.144284.827-17.702-92.99752.822-33.338209.82453-1,812.7-219-1,011.9-119.2-250.9
Financieringsactiviteiten:
Schuldaflossingen -85-863-601-1,739-1,236-166.785-336.501-671.215-395.147-582.764-1,522.219-182.238-153.657-430.544-934.43-258.923000-92.093-15.2110-36.312-178.079-557.2-1,231.5-57.2000
Uitgifte van Gewone Aandelen 003571,81910,9414.317487.8831,024.912382.8871,500.72483.82101.8080951.922355.44213.3791.0650.1781.1521.4312.8070.5830.0531.8336.23180111.50
Terugkoop van Gewone Aandelen -343-120-61-890-442-220.889-30.287-136.283-28.823-133.1572,278.2930190.2050-1.454-29.8360-36.0620-14.302-1.5440-4.397-107.322-5-26.7-4.6-0.700
Uitgekeerde Dividenden -65-77-65-99-73-74.566-71.364-65.909-62.733-61.103-56.767-123.852-38.356-34.225-16.038-66.683-49.490-24.205-14.454-10.35-10.35-10.35-10.35-10.4-10.4-2.4000
Overige Financieringsactiviteiten -16707-154-551-270-6.894138.532-27.256-13.278-19.216-35.2251,227.797-45.272276.623-4.836-73.321-100.158-47.439-316.185-0.953-6.679-221.6352.8984.4340.82,458.55.6833.565221.6
Kasstroom uit Financieringsactiviteiten -509-353-524-1,4608,887-464.817188.263124.249-117.094704.481,147.903921.707-45.272-188.146-4.836-73.321-136.269-82.436-340.212-120.65-32.353-229.1732.422-291.264-5701,526.1259.4832.8176.5221.6
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 000000000000000000000000-0.100000
Netto Kasstroomverandering -22265-443-7127364.39421.342110.012132.29-262.422257.2399.898-9.007-1.256.754-4.51-46.42857.753-0.836-18.23923.403-26.73627.972-12.31713.1-136.1137-110.1110-15.6
Kaspositie aan het Einde van de Periode 6628848191,2621,3331,060.33681.326259.984149.97217.682280.10422.86512.96721.97423.22416.4720.9867.4089.65510.49128.735.32732.0634.09116.43.2139.32.4112.42.4