Steven Madden, Ltd.

NASDAQ:SHOO

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

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199519941993
Operationele Activiteiten:
Nettowinst 171.554217.217192.459-18.281141.722130.499119.138121.274113.655112.629133.285119.56497.20175.72550.10727.97635.6946.2519.212.27520.45419.84112.11616.04311.55.42.71.13.8-0.7-0.1
Afschrijvingen & Amortisatie 15.50120.57615.20817.3621.33722.48221.38921.10220.75715.07712.97912.64211.069.9999.569.1018.4356.7055.125.0634.7433.7063.4473.58631.40.80.40.10.10.2
Uitgestelde Inkomstenbelasting 6.1053.6011.28-8.3535.144-2.512-19.274-6.5885.8942.8757.1061.5281.452-0.798-1.9281.495-2.12-4.21-2.691-0.227-1.978-1.09-0.48-1.35-1.6-0.40.1-0.2-0.200
Aandelen Gebaseerde Vergoedingen 24.14824.39622.27822.63923.1721.07620.84719.50918.69819.2620.14117.43411.4048.2715.945.6564.43400000000000000
Verandering in Werkkapitaal 2.40610.551-79.26-41.9428.77-30.40717.72-5.083-13.4593.261-15.517-13.556-43.83-3.838-2.629-3.52516.027-13.8828.098-8.736-19.7553.024-10.743-11.4617.4-6.5-2.3-3.1-3.2-1.8-0.2
Vorderingen -19.955-9.683-0.58313.122-17.8374.96622.683-13.617-11.071-0.144-13.65519.669-16.543-8.266-5.1693.221-1.99200000000000000
Voorraden 25.30329.071-153.79335.4768.436-26.92321.135-17.744-9.403-1.841-10.013-1.819-9.21-8.8041.144-4.46.4630.6355.972-10.526-4.413-3.6270.006-5.666-2.2-2.7-2.3-1.4-0.5-0.70
Crediteuren 7.052-108.78864.118-83.47738.4221.2499.50115.324-8.6433.77720.70211.956-7.55119.57210.561-9.9419.44300000000000000
Overig Werkkapitaal -9.99499.95110.998-7.061-0.249-29.699-35.59910.95415.6581.469-12.551-43.362-10.526-6.34-9.1657.5952.113-14.5172.1261.79-15.3426.651-10.749-5.7959.6-3.80-1.7-2.7-1.1-0.2
Overige Niet-Contante Posten 9.523-8.4587.49872.78113.63713.238-1.8853.39-10.825-1.127-2.5416.602-2.319-2.4863.2921.076-2.5595.72113.0154.4884.4394.1125.0531.93-0.10.1-0.1-0.2-0.20.2-0.1
Kasstroom uit Operationele Activiteiten 229.237267.883159.46344.206233.78154.376157.935153.604134.72151.975155.453144.21474.96886.87364.34241.77959.90743.40842.74212.8637.90329.5939.3938.74822.91.12.4-0.9-1.3-2.2-0.2
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -19.47-18.351-6.608-6.562-18.311-12.45-14.775-15.897-19.459-18.341-20.746-19.952-15.477-3.424-3.399-8.314-12.965-9.511-5.822-7.387-6.061-5.072-3.415-7.933-5-4.3-3.7-1.2-0.5-0.20
Netto Overnames 4.4863.5176.6086.562-37.1730.189-16.795-3.759-9.129-81.885-44.758-29.367-89.73-40.602-5.776-4.923-9.08-15.3570000000000000
Aankoop van Beleggingen -25.688-45.13-68.471-73.792-67.935-77.262-61.209-40.451-48.891-137.348-19.635-17.375-17.968-42.571-67.265-31.005-66.505-44.69-17.252-27.779-47.059-26.349-0.0540-0.3-0.5-20000
Verkoop/verval van Beleggingen 25.87273.99863.86775.4795.671100.77717.93252.21543.353128.66343.67546.44767.88530.09217.54374.84476.19221.4349.1539.70836.7854.0410.1250.4870.5200000
Overige Investeringsactiviteiten -80.606-8.5171.392-6.56227.736-0.18961.430.2490.466-7.7921.083-71.8997.853-38.724-0.182-1.013-0.58900000000.10-0.2-1.7000
Kasstroom uit Investeringsactiviteiten -95.4065.517-3.212-4.884-27.74811.065-13.417-3.884-33.66-108.911-40.381-92.146-47.437-95.229-58.89730.602-12.358-48.124-13.921-25.458-16.335-27.38-3.344-7.446-4.7-2.8-5.9-2.9-0.5-0.20
Financieringsactiviteiten:
Schuldaflossingen 00-9.732-1.609-6.212000000000-30.168-0.018-0.01600000000000000
Uitgifte van Gewone Aandelen 1.2050.6029.7321.6096.21213.03616.43310.71321.3010000002.0515.6076.83716.4830.4544.8054.3648.9982.8075.313.31.36.33.400
Terugkoop van Gewone Aandelen -142.348-148.878-123.161-46.583-101.768-105.924-99.412-86.005-135.637-142.228-102.17200-4.5590-44.2-50.094-8.264-7.735-9.7000-6.076-0.7-0.80-0.5000
Uitgekeerde Dividenden -63.177-66.005-49.161-12.459-48.426-47.3160000000-0.002-0.001-0.018-0.016-21.106-13.813000000000000
Overige Financieringsactiviteiten -1.102-1.547-12.3311.9688.0167.439.074-9.44825.5410.339-1.40213.8799.1489.8024.40229.9467.2123.611-1.767-0.379-0.013-0.043-0.127-0.135-0.10.1-0.10000.2
Kasstroom uit Financieringsactiviteiten -205.422-215.828-184.653-57.074-142.178-145.81-90.338-95.453-110.096-141.889-103.57413.8799.1485.241-25.767-12.239-37.307-18.922-6.832-9.6254.7924.3218.871-3.4044.512.51.25.83.400.2
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 1.518-2.3580.0371.5150.216-0.8140.919-0.566-1.243-0.354000000000000000.1000000
Netto Kasstroomverandering -70.07355.214-28.365-16.23764.0718.81755.09953.701-9.036-98.82511.49865.94736.679-3.115-20.32260.14210.242-23.63821.989-22.22-3.646.53414.92-2.10222.810.8-2.321.6-2.40
Kaspositie aan het Einde van de Periode 204.64274.713219.499247.864264.101200.031181.214126.11572.41481.45180.275168.777102.8366.15169.26689.58829.44619.20452.84230.85353.07356.71350.17935.25937.414.73.96.14.12.50.1