Stepan Company

NYSE:SCL

65.26 (USD) • At close December 27, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 40.204147.153137.895127.656103.101112.7591.54786.19876.03757.08172.33779.68772.60265.59163.10337.17215.1186.6713.15910.3244.91120.12916.07215.00822.123.520.419.116.113.810.810.412.5
Afschrijvingen & Amortisatie 105.33894.6590.87681.8678.70181.11579.02274.96766.98563.80456.451.29447.09940.35137.17136.92837.17638.38438.76939.16941.42640.11739.97239.27739.537.335.332.130.428.927.723.921.1
Uitgestelde Inkomstenbelasting 18.303-27.452-33.605-4.506-5.01610.8640.55-8.4263.0015.3060.2590.1345.0565.3658.191.2784.701-10.143-5.406-4.31-5.77-0.466-2.431-3.9053.74.31.1-1.72.40.42.72.4-1.2
Aandelen Gebaseerde Vergoedingen 5.74113.85111.71610.088.8726.8377.15112.6184.374-0.0682.7833.1223.6763.7894.7543.700000000000000000
Verandering in Werkkapitaal -1.928-68.964-141.51110.21319.345-45.69415.05722.81823.009-39.6447.835-29.578-54.757-50.72845.35-36.506-13.383-0.557-6.851-0.1820.868-12.105-0.5741.409-4.51.44.9-2.2-10.4-5.5-6.1-3.8-2.2
Vorderingen 32.007-54.173-104.231-23.4174.8945.196-16.358-17.184.16-21.229-12.7493.906000000000000000000000
Voorraden 144.846-99.394-79.258-15.35828.46-26.8325.655-3.7742.851-18.521-3.794-50.26-12.854-16.97531.819-24.044-0.71-4.613-1.516-4.009-2.563-8.655-0.167-8.2830.6-2.81.24.1-8.93.5-1.1-3.8-4.1
Crediteuren -158.92454.17344.41438.791-13.245-18.19128.84544.29316.4113.54719.95321.779000000000000000000000
Overig Werkkapitaal -19.85730.43-2.43610.197-0.764-5.867-3.085-0.521-0.413-3.4414.425-5.003-41.903-33.75313.531-12.462-12.6734.056-5.3353.8273.431-3.45-0.4079.692-5.14.23.7-6.3-1.5-9-501.9
Overige Niet-Contante Posten 7.2181.5256.7649.91313.4255.2595.53623.9879.867-4.52410.74.313.7011.7587.873-13.4427.6534.4742.421-1.1381.467-1.460.526-1.5650.1-0.21.90.6-3.513.40.2-0.6-0.3
Kasstroom uit Operationele Activiteiten 174.876160.76372.135235.216218.428171.131198.863212.162183.27381.955150.314108.96977.37766.126166.44129.1347.07538.82842.09243.86345.56846.06753.42653.53250.658.862.965.8355135.338.829.9
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -260.335-301.553-194.482-125.792-105.572-86.647-78.613-103.076-119.349-101.819-92.865-83.159-83.166-73.748-42.631-49.778-39.815-45.97-41.519-33.766-32.872-36.135-34.014-28.442-33.2-44.1-35.6-44.9-39.2-42.9-25.4-34.4-33.7
Netto Overnames 0-9.693-184.473-13.519-9-22.852-4.339-23.51-1.8710-68.2120-13.562-20.23508.915.850000-2.185-24.640000000000
Aankoop van Beleggingen 000000000000000-8.4770000000000-50-7.5-2.3000
Verkoop/verval van Beleggingen 000000000.9010.9080.6980.5371.6150.783.5948.63400000000000000000
Overige Investeringsactiviteiten 1.6693.1562.1260.2771.9051.6840.269-3.935-5.651-8.31-7.179-4.827-6.274-4.0514.295-2.335-1.353-2.524-0.0375.68-1.3182.8331.891-1.122-0.5-19.60.4-3.6-0.1-0.7-2.4-2-3.1
Kasstroom uit Investeringsactiviteiten -258.666-308.09-376.829-139.034-112.667-107.815-82.683-130.521-125.97-109.221-167.558-87.449-101.387-97.254-34.742-43.046-35.318-48.494-41.556-28.086-34.19-35.487-56.763-29.564-33.7-63.7-40.2-48.5-46.8-45.9-27.8-36.4-36.8
Financieringsactiviteiten:
Schuldaflossingen 66.859223.694165.003-23.571-53.924-14.669-26.722-13.77760.6856.48687.202-17.6919.34252.871-38.99517.399-5.5012.73117.525-6.709-2.017-2.64214.281-9.0310.613.5-8.5-6.318.21.8-3.34.512.3
Uitgifte van Gewone Aandelen 2.7950000000000000001.8253.2970.5060.6852.2562.5993.1511.3971.12.52.3000000
Terugkoop van Gewone Aandelen 0-24.949-16.969-15.253-13.184-15.5-6-2.408-2-7.924-2.275-2.098-1.508-4.906-1.9270000-0.03-2.706-2.023-4.588-8.732-8.3-8.4-8.9-3.5-0.1-0.3-0.2-2-1.3
Uitgekeerde Dividenden -32.868-30.573-28.083-25.405-23.097-20.857-18.907-17.329-16.3-15.387-14.474-12.757-11.513-10.57-9.557-8.863-8.431-8.149-7.869-7.731-7.579-7.339-7.056-7.004-6.7-6.4-6.1-5.8-5.5-5.3-5.1-4.2-3.6
Overige Financieringsactiviteiten -0.707-1.963-2.618-0.705-0.289-0.6221.1323.7420.1041.3335.83.07-8.4254.9788.5198.5710.2570.37-0.38-0.302-0.026-0.4520.25-1.031-0.6-0.9-0.70-0.1-0.4-0.3-0.10.1
Kasstroom uit Financieringsactiviteiten 33.284166.209117.333-64.934-90.494-51.648-50.497-29.77242.931-14.85276.253-29.475-2.10442.373-41.9617.107-11.85-1.7519.782-14.087-10.072-9.8575.744-24.401-13.90.3-21.9-15.612.5-4.2-8.9-1.87.5
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 6.579-4.318-3.3913.307-0.078-10.3687.468-2.269-9.306-6.014-2.5370.731-0.9851.4350.521-0.6720.4630.1450.0620.336-0.259-1.759-1.719004.9-22.7-17.311.80-7.5-2.46.9
Netto Kasstroomverandering -43.92714.564-190.75234.55515.1891.373.15149.690.928-48.13256.472-7.224-27.09912.6890.262.5190.37-11.27210.382.0261.047-1.0360.688-0.43330.3-21.9-15.612.50.9-8.9-1.87.5
Kaspositie aan het Einde van de Periode 129.823173.75159.186349.938315.383300.194298.894225.743176.14385.215133.34776.87584.099111.19898.5188.2585.7395.36916.6416.2614.2353.1884.2243.53645.8-17.1-12.5152.4-60.59.1