Shenandoah Telecommunications Company

NASDAQ:SHEN

15.83 (USD) • At close September 19, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 139.25544.06184.344195.397101.65185.08678.58536.19376.81268.91738.31671.08615.87427.45312.0545.2417.24513.442.57214.17228.6962.2092.1733.1337.1564.8915.2044.9067.3497.2025.72.5
Kortetermijnbeleggingen 1.44300.80101.3824.932.4110000009.09000000000000.51.6222.1492.4893.2543.73.2
Liquide middelen en kortetermijnbeleggingen 139.25544.06184.344195.397101.65185.08678.58536.19376.81268.91738.31671.08615.87436.54312.0545.2417.24513.442.57214.17228.6962.2092.1733.1337.1565.3916.8267.0559.83710.4569.45.7
Nettovorderingen 24.47350.3752.19370.393118.69159.68971.49569.78937.47245.12342.429.97933.97823.2120.67728.72916.111.61112.65916.368.0147.5489.7037.4324.9184.2725.6834.2093.0682.882.32.2
Voorraad 9.83622.622-136.5371,062.9015.7285.2655.70439.0434.1838.79410.7159.7897.4696.366.0626.3764.6642.4992.7022.1082.0621.7872.9992.8564.093.4883.9692.8891.9221.5111.51.6
Overige vlottende activa 2.50711.509166.36780.024137.38125.11694.31125.27251.1355.4959.65845.34948.5943.34740.58128.313.1273.3132.8681.8772.1915.5481.1590.8540.5430.7780.2040.3990.0740.0810.40.5
Totaal vlottende activa 176.071128.562166.3671,408.715239.031210.202172.895161.465127.947128.32497.974116.43564.46479.8952.63572.42141.13630.86320.80134.51740.96320.49416.03414.27516.70713.92917.18914.55115.30915.16513.610
Niet-vlottende activa:
Materiële vaste activa, netto 930.139741.412610.576490.8141,092.703701.359686.327698.122410.018405.907408.963365.474310.754280.051202.302175.621155.424155.644162.238156.252127.686132.152128.104111.80874.54965.03457.06449.19336.82631.89631.530.7
Goodwill 3.2443.2443.2443.244149.07146.497146.497145.2560.01000.0110.96210.9624.4184.5479.8529.85210.1038.8635.1055.1050000000000
Immateriële activa 77.87978.27186.587103.515314.147366.029380.979454.53266.99368.2670.81674.93281.34690.3892.4173.1632.3312.7993.3463.401005.635.635.9810.653000000
Goodwill en immateriële activa 81.12381.51589.831106.759463.217512.526527.476599.78866.99368.2670.81674.93281.34690.3896.8357.7112.18312.65113.44912.2645.1055.1055.635.635.9810.6530.70200000
Langetermijnbeleggingen 13.19812.97113.66113.76912.38810.78811.47210.27610.67910.0899.3328.2148.3059.098.7058.388-20.97-22.515-24.5990000008.5998.8198.4747.7625.4034.54.2
Belastingvorderingen 6.75684.6-600.278150.652136.451127.453100.879151.83774.86876.77774.54757.89651.67535.90229.64930.40120.9722.51524.599000000000003.54
Overige niet-vlottende activa 6.942-71.341610.576-139.002-83.099-77.562-87.189-137.081-61.765-70.115-64.626-52.211-36.565-28.885-28.401-28.5612.7818.5628.4338.21411.616.25317.02918.6435.8145.235.6347.15600-3.4-4.1
Totaal niet-vlottende activa 1,038.158849.157724.366622.9921,621.661,274.5641,238.9651,322.942500.793490.918499.032454.305415.515386.547219.09193.56180.388176.857184.12176.73144.401143.51150.763136.078116.34479.51772.21964.82344.58837.29936.134.8
Totaal activa 1,214.229977.719890.7332,031.7071,860.6911,484.7661,411.861,484.407628.74619.242597.006570.74479.979466.437271.725265.981221.524207.72204.921211.247185.364164.004166.797150.353133.05193.44689.40879.37459.89752.46449.744.8
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 53.54649.17328.54219.59940.29535.98728.95372.8113.00911.15112.60431.72911.70812.2378.8045.60711.52812.3396.9286.0034.7295.0035.3947.7142.1961.1493.7442.0970.8140.3080.50.5
Kortlopende schulden 10.1763.4773.318690.43374.31120.61864.39732.04123235.751.97721.91314.8234.5614.3994.2484.1094.5264.3724.237.98510.5872.4031.3410.8640.5450.5290.4620.4230.90
Belastingschulden 001.0658.0233.7894.2813.8727.0631.055000000000.02300000000.2140.1540.1280.0860.0800
Uitgestelde opbrengsten 13.24112.42511.1288.5948.3587.91921.15320.42711.67412.37511.66111.1910.6478.0676.3495.1515.4554.9754.2477.9051.01500001.1050.1540.1281.1840.0800
Overige kortlopende verplichtingen 21.39235.1724.30237.23324.37224.01523.08138.98513.55412.62813.97911.267-10.602-5.0520.3539.2282.825-0.1437.043.5665.8226.9125.668.2827.4981.8992.6571.7981.7991.5752.52.2
Totaal kortlopende verplichtingen 98.355100.24567.29755.859147.33688.539137.584164.26361.23759.15443.99456.16333.66630.07520.06724.38524.05621.2822.74121.84615.79619.921.64118.39911.0355.0177.14.5524.2592.3863.92.7
Langlopende verplichtingen:
Langetermijnschulden 342.557124.78353.30647.587688.464749.624757.561797.224178.25201.25224.25232.177180.575195.11232.9636.9617.65924.43331.39247.91939.11647.56152.04953.08431.68928.39826.81624.17710.0979.5189.18.5
Uitgestelde opbrengsten niet-vlottend 18.19418.67919.74918.687-136.451-127.45314.038.933-74.86814.108-74.547-57.896-51.675-35.902-29.6493.1420000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 88.14784.686.014150.652136.451127.453100.879151.83774.86876.77774.54757.89651.67535.90229.64930.40120.9722.51524.59924.82620.81915.85914.4029.21816.0626.7415.9884.9083.9653.53500
Overige niet-vlottende verplichtingen 14.30611.40522.099476.528555.469204.35651.58466.25699.3159.60794.44774.55268.07950.94543.0263.4857.7154.3034.5892.8593.4252.4412.2651.6021.531.4771.10.8650.8051.1895.55
Totaal niet-vlottende verplichtingen 463.204239.467181.168693.4541,243.933953.98924.0541,024.25277.565301.742318.697306.729248.654246.05775.98673.98846.34451.25160.5875.60463.3665.86168.71663.90449.28136.61733.90329.9514.86814.24214.613.5
Totaal passiva 561.559339.712248.4581,449.3131,391.2691,042.5191,061.6381,188.513338.802360.896362.691362.892282.32276.13296.05398.37370.472.53183.32197.4579.15685.76190.35782.30360.31641.63441.00334.50319.12716.62818.516.2
Eigen vermogen:
Preferente aandelen 000000000000.86300000000000000000000
Gewone aandelen 00000044.78745.48232.77629.71226.75924.68822.04319.83317.8916.13914.69111.3228.1286.3195.7335.2464.954.8174.7344.7344.7414.7414.7414.7414.74.7
Ingehouden winsten 584.069580.554592.924539.783427.004386.511297.205243.624256.747227.512204.962184.023175.616170.472160.23154.002138.172125.69113.576107.413100.44971.33569.6155.87348.49944.17440.57937.71734.30229.87626.423.9
Overige gereserveerde algehele resultaten 1.66800-4.7060.3088.288.236.7880.4151.1222.594-0.863-237.9020-2.448-2.533-1.739-1.823-0.1040.0650.026-0.0040.0425.64517.0420.6391.191-21.6490.229-17.455-16.3-15.4
Overige totale aandeelhoudersvermogen 66.93357.45349.35147.31742.1147.45600000-0.863237.9020000000000000022.319017.45516.415.4
Totaal eigen vermogen van aandeelhouders 652.67638.007642.275582.394469.422442.247350.222295.894289.938258.346234.315207.848197.659190.305175.672167.608151.124135.189121.6113.797106.20876.57774.60266.33570.27549.54746.5143.12839.27134.61731.228.6
Totaal eigen vermogen 652.67638.007642.275582.394469.422442.247350.222295.894289.938258.346234.315207.848197.659190.305175.672167.608151.124135.189121.6113.797106.20878.24376.4468.0572.73551.81248.40544.87140.7735.83631.228.6
Totaal passiva en aandeelhoudersvermogen 1,214.229977.719890.7332,031.7071,860.6911,484.7661,411.861,484.407628.74619.242597.006570.74479.979466.437271.725265.981221.524207.72204.921211.247185.364164.004166.797150.353133.05193.44689.40879.37459.89752.46449.744.8