Select Medical Holdings Corporation

NYSE:SEM

36.51 (USD) • At close November 4, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 84.00697.90674.31577.061335.882175.178122.54999.02914.4353.3544.31940.14412.0434.36583.6864.264.52981.635.861
Kortetermijnbeleggingen 58.96274.857000000000000000013.876
Liquide middelen en kortetermijnbeleggingen 142.96897.90674.31577.061335.882175.178122.54999.02914.4353.3544.31940.14412.0434.36583.6864.264.52981.649.737
Nettovorderingen 940.335941.312889.303896.763762.677706.676691.732573.752603.558444.269391.319359.929413.743353.432307.079312.418271.406199.927256.798
Voorraad 22.726-74.85705.686000-627.616-589.305-431.632-378.014-378.30130.54443.35359.71469.28757.1546.94869.59
Overige vlottende activa 151.617232.095175.826114.49114.433110.67106.545762.903720.466511.653436.778431.89127.0828.17624.2420.89722.50716.76219.725
Totaal vlottende activa 1,257.6461,271.3131,139.4391,5941,212.992992.524920.826808.068749.154527.644454.402453.663483.41429.326474.713466.862355.592345.237395.85
Niet-vlottende activa:
Materiële vaste activa, netto 2,212.1772,171.182,040.2211,975.6372,002.392979.81912.591892.217864.124542.31509.102501.552510.028532.1466.131471.065487.026356.336248.541
Goodwill 3,513.173,484.23,448.9123,379.0143,391.9553,320.7262,782.8122,7512,314.6241,642.0831,642.6331,640.5341,631.7161,631.2521,548.2691,506.6611,499.4851,323.5721,305.21
Immateriële activa 329.916351.662374.879387.541409.068437.693326.519340.562318.67572.51971.90771.74572.12380.11965.29774.07879.17279.2386.789
Goodwill en immateriële activa 3,843.0863,835.8623,823.7913,766.5553,801.0233,758.4193,109.3313,091.5622,633.2991,714.6021,714.541,712.2791,703.8391,711.3711,613.5661,580.7391,578.6571,402.8021,391.999
Langetermijnbeleggingen 31645.218.0552.528.7146.9114.2-4,028.944-3,526.111-2,272.903-2,241.266-2,231.708-18.305-30.654-48.53500-42.6130
Belastingvorderingen 21.0880-18.055-2.5-28.7-146.9-114.245.16528.68815.99117.62417.87718.30530.65448.5350042.6130
Overige niet-vlottende activa 39.634341.738356.72319.207323.881233.512184.4184,136.3273,677.5122,397.1652,363.222,307.69874.8749.28947.82360.80373.77178.149131.995
Totaal niet-vlottende activa 6,431.9856,393.986,220.7326,061.3996,127.2964,971.7414,206.344,136.3273,677.5122,397.1652,363.222,307.6982,288.7372,292.762,127.522,112.6072,139.4541,837.2871,772.535
Totaal activa 7,689.6317,665.2937,360.1717,655.3997,340.2885,964.2655,127.1664,944.3954,426.6662,924.8092,817.6222,761.3612,772.1472,722.0862,602.2332,579.4692,495.0462,182.5242,168.385
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 174.312186.729233.844177.087145.731146.693128.194126.558137.409108.53288.28589.54795.61874.19373.43472.49673.84772.59760.528
Kortlopende schulden 346.003281.135246.906233.034233.11743.86522.18753.018262.18532.6230.07129.48210.848149.3794.14530.17628.87343.40151.613
Belastingschulden 1.4990.481.4377.9562.6383.6719.07112.42316.69417.8880.6223.8959.49712.69911.179001.9370
Uitgestelde opbrengsten -7.548083.883404.414025.08329.463378.403104.525242.398235.603257.78816.60918.79200000
Overige kortlopende verplichtingen 735.698687.287708.444623.831535.432489.545425.55913.656233.5710.87417.56511.646260.863257.194226.362245.82238.142201.335206.153
Totaal kortlopende verplichtingen 1,248.4651,155.1511,273.0771,438.366914.28705.186605.403571.635737.689394.424371.524388.463383.938499.558303.941348.492340.862317.333318.294
Langlopende verplichtingen:
Langetermijnschulden 4,613.5424,843.6054,472.9254,264.7654,272.843,249.5162,677.7152,685.3332,190.3141,542.1021,427.711,458.5971,385.951,281.391,401.4261,770.8791,747.8861,532.2941,622.373
Uitgestelde opbrengsten niet-vlottend 0039.033398.171974.541-3,187.77640.818-2,486.021-2,170.798-1,640.32-1,512.413-1,537.296000515.872491.194-1,448.371444.765
Uitgestelde belastingverplichtingen niet-vlottend 143.306169.793142.792132.421148.258153.895124.917222.847218.705109.20396.28789.5182.02859.07466.76842.91822.96632.07519.438
Overige niet-vlottende verplichtingen 110.303140.18106.442168.703101.3344,127.198145.7093,044.72,542.2391,744.161,615.8721,616.60964.90566.6560.54367.70952.2661,915.7663.817
Totaal niet-vlottende verplichtingen 4,867.1515,153.5784,761.1924,964.065,496.9734,342.8393,589.1593,466.8592,780.461,755.1451,627.4561,627.421,532.8831,407.1141,528.7372,397.3782,314.3122,031.7642,090.393
Totaal passiva 6,115.6166,308.7296,034.2696,402.4266,411.2535,048.0254,194.5624,038.4943,518.1492,149.5691,998.982,015.8831,916.8211,906.6721,832.6782,745.872,655.1742,349.0972,408.687
Eigen vermogen:
Preferente aandelen 00000113.198109.23690.17649.26435.72532.40828.4332.47131.53430.56700467.3950
Gewone aandelen 0.1280.1270.1340.1350.1340.1350.1340.1320.1310.1310.140.1410.1450.1550.160.2050.2050.2050.205
Ingehouden winsten 751.856581.01593.251553.244279.8320.351359.735371.685434.616325.678311.365243.21328.882248.097169.094128.185130.716121.02448.808
Overige gereserveerde algehele resultaten 42.90788.60212.282-2.027-0-764.581-630.664-512.751-448.723-395.35-357.193-316.672-276.375-226.141-8.914-13.212-5.5634.8885.357
Overige totale aandeelhoudersvermogen 493.413647.792720.235509.128649.1011,247.1371,094.163956.659873.229809.056831.922790.369770.203761.769578.648-289.382-291.247-762.651-299.028
Totaal eigen vermogen van aandeelhouders 1,288.3041,317.5311,325.9021,060.48929.035916.24932.604905.901908.517775.24818.642745.478855.326815.414769.555-174.204-165.889-169.139-244.658
Totaal eigen vermogen 1,574.0151,586.2161,580.8561,252.9731,087.0981,029.4381,041.84996.077957.781810.965851.05773.908887.797846.948800.122-166.401-160.128-166.573-240.302
Totaal passiva en aandeelhoudersvermogen 7,689.6317,894.9457,360.1717,655.3997,340.2885,964.2655,127.1664,944.3954,426.6662,924.8092,817.6222,761.3612,772.1472,722.0862,602.2332,579.4692,495.0462,182.5242,168.385