Steelcase Inc.

NYSE:SCS

13.31 (USD) • At close September 19, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 7835.3426.1199.712680.7124.6170.386.187.738.856.720.4-13.6-0.7133.2106.948.912.7-23.2-266.11193.7184.2221.421727.7
Afschrijvingen & Amortisatie 83.69083.285.285.681.665.960.365.759.96058.356.464.474.287.392.4101.4119.4127.6141.4157172.4162.5141.810795.393.4
Uitgestelde Inkomstenbelasting -119.9-1-14.115.912.1-0.852.926.8-68.30.414.1-8.113.60.1-18.2-4.811.330.90.2-13.7-30.5-31.2-16.5-19-4.5-2.7-4.71.8
Aandelen Gebaseerde Vergoedingen 2621.816.120.916.717.719.119.82118.416.89.611.641.7-620000000000000
Verandering in Werkkapitaal 121.4-58.2-171.7-11566.2-63.234.8-52.29.7-82.1-17.4-5.5-66.7-5.8-71.6-96.5-7.623.1-8.9-25.3-18-56.168.4-139-21.8-31.89.3-70.3
Vorderingen 15.5-43.7-74.9120.97.2-66.418.511.90.7-43.7-15.7-12.88-60.66270.2-20.224.3-1.4-5.743.435.3274.600000
Voorraden 88.312-133.427.1-6.2-24-8.5-5.16.8-27.2-13.12.1-17.1-28.533.93.67.85.4-17-15.819.424.846.9-19.3-21.29.32.231.5
Crediteuren 9.9-39.362.9-6910.88.5-0.79.5-4.112.612.73.4-234.2-16.7-50.5-0.623.416.97.9-2.9-32.3-81.800000
Overig Werkkapitaal 7.712.8-26.3-19454.418.725.5-68.56.3-23.8-1.31.8-55.649.1-150.8-119.85.4-30-7.4-11.7-77.9-83.9-171.3-119.7-0.6-41.17.1-101.8
Overige Niet-Contante Posten 119.61.5-20.131.7-19.5-30.1-26.4-8.6-121.517.694.230.1-52.280.237.223.56.815.913.418.2238.269.311.6613.816.528.2
Kasstroom uit Operationele Activiteiten 308.789.4-102.664.8360.8131.2227170.7186.484.2178.8187.3101.768.6-11103.7249.7280.5175.5114.787.941.8294.6209.8305.7307.7333.480.8
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -47.1-59.1-60.5-41.3-73.4-81.4-87.9-61.1-93.4-97.5-86.8-74-64.9-46-35.2-83-79.6-58.2-71.9-49.2-43-76.5-123-260.5-188.8-227.6-126.4-122
Netto Overnames 49.4-105.3-32.6-3.868.9-226.2-49.31.911.119.79.5-6.2-20.929.814.117.5-13.8-9.9-8.6-459.2-2.7-2.9-214.6-0.1-209.6000
Aankoop van Beleggingen 000073.40-52.1-112.6-105.7-91.4-146.7-78.6-195.8-312-4.7-15.2-42.2-33.147.919.800-9.5-1.5-5.9000
Verkoop/verval van Beleggingen 00002.20125.6126.695.1149.1122.362.1466.135.610.511.427.518.9131.6407.8000179.339.64.400
Overige Investeringsactiviteiten 3.829.627.614.5-66.63616.2-3.25.15.876.511.218.738.35.38.216.830.428.755.1145395.996.7-137.2-149.9-66.8-23.546.6
Kasstroom uit Investeringsactiviteiten 6.1-134.8-65.5-30.64.5-271.6-47.5-48.4-87.8-14.3-25.2-85.5203.2-254.3-10-61.1-91.3-51.9127.7-25.799.3316.5-250.4-220-514.6-290-149.9-75.4
Financieringsactiviteiten:
Schuldaflossingen -32.2-565.2-2.6-252.4-2.9-575.8-2.7-2.3-34.8-2.6-2.8-2.6-256.2-4.5-2.2-4.5-1.4-9.80000000000
Uitgifte van Gewone Aandelen 0002500773.10051.102.800.2254.5470.511.523.312.24.11.63.80.50.1024.801.4
Terugkoop van Gewone Aandelen -4.2-3.9-55.2-42.7-8.7-4.2-33.8-48.4-56.4-36.3-49.9-19.9-47.7-10.8-4.6-59.2-165.3-77.3-3.4000-4.4-56.6-36.7-15-43.50
Uitgekeerde Dividenden -47.6-57.3-62.6-43.5-69.1-64.3-61-58.5-57-52.5-50.2-45.8-31.7-21.6-26.9-71.3-333.7-67.2-49.2-35.6-35.5-35.4-57.5-65.9-67.3-63.1-210.9-41.8
Overige Financieringsactiviteiten -1.9563.5-2.20.8-1.2-6.5-53.43.371.6-1.54.11.1-3.5-0.22.84.53.9-61.2-28.8-22.9-269.949.581.9323.4000
Kasstroom uit Financieringsactiviteiten -85.9-62.9-120-87.8-81.9122.3-97.5-105.9-90.1-89.8-101.6-64.2-334.3214.113.1-131.7-484.4-127.1-101.6-60.3-56.8-301.5-11.9-40.5219.4-53.3-254.4-40.4
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -0.2-1.5-0.52.1-1.1-2.74-1.2-3.1-5.4-0.60.7-0.71.61.4-7.212.71.95.65.72.92.7-1.92.3-4.3-17.7-183.5-5.4
Netto Kasstroomverandering 228.2-109.8-288.6-51.5282.3-20.88615.25.4-25.351.438.3-30.130-6.5-96.3-313.3103.4207.234.4133.359.530.4-48.46.2-53.3-254.4-40.4
Kaspositie aan het Einde van de Periode 318.697.2207495.6547.1264.8283.1197.1181.9176.5201.8150.4112.1141.1111.1117.6213.9527.2423.8216.6262.2128.969.425.373.749.8-80.4168.6