The Shyft Group, Inc.

NASDAQ:SHYF

14.45 (USD) • At close November 12, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 9.95711.54837.15820.99519.34927.43933.52332.04132.70128.5730.70721.74831.67714.50718.47513.74113.52813.8359.70210.46318.4818.0824.1930.535004.84.95.22.91.112.10.90.20.50.90.20.20.3
Kortetermijnbeleggingen 0000000000000000001.9881.5070000000000000000000
Liquide middelen en kortetermijnbeleggingen 9.95711.54837.15820.99519.34927.43933.52332.04132.70128.5730.70721.74831.67714.50718.47513.74113.52813.83511.6911.9718.4818.0824.1930.535004.84.95.22.91.112.10.90.20.50.90.20.20.3
Nettovorderingen 164.374222.279118.67180.61277.934142.82883.14766.72858.37250.05849.20150.1541.52155.43250.58975.935132.90762.6238.00634.31519.60428.82325.77537.76837.843.127.426.320.223.317.320.213.486.25.23.32.81.8
Voorraad 105.135100.16167.18446.42859.45669.99277.69258.89660.55871.16381.41967.59166.99160.161102.40286.648103.07664.17344.26532.44226.58825.20523.58830.43847.147.22724.324.423.426.113.212.210.65.96.75.531.9
Overige vlottende activa 7.46211.77910.8138.1725.3445.074.4254.5263.5063.6612.2916.0272.4543.636106.0658.0641.97812.7821.9491.5492.3991.5943.1578.75163.86.412.410.715.911.71.40.80.40.30.40.30.10.1
Totaal vlottende activa 286.928345.767233.826156.207252.808245.329198.787162.191158.301161.251172.197152.523149.068139.954182.113191.464258.413157.97799.65683.21570.39867.16860.4977.49290.994.165.667.960.565.556.246.927.319.212.913.29.36.14.1
Niet-vlottende activa:
Materiële vaste activa, netto 129.264124.139104.37389.16472.22156.56755.17753.11647.3250.41754.27859.12265.39971.26880.22866.78656.67329.65918.47818.23914.78415.15511.28810.59622.623.411.911.412.312.910.57.35.84.54.43.72.51.30.6
Goodwill 48.8848.8848.8849.48143.63233.82327.41715.96115.96115.96115.96120.81520.81618.41818.4042.4572.4572.4574,543.4224,543.4224,543.4224,543.4224.5430000000000000000
Immateriële activa 45.26849.07852.98156.38654.0618.6119.4276.3857.0938.95810.09411.05211.94310.94611.4910004.5434.5434.5434.54304.967.57.33.4000000000000
Goodwill en immateriële activa 94.14897.958101.861105.86797.69342.43436.84422.34623.05424.91926.05531.86732.75929.36429.8952.4572.4572.4574.5434.5434.5434.5434.5434.967.57.33.4000000000000
Langetermijnbeleggingen 00000000-3.164-7.799-6.736-6.291-6.425-6.218-6,983.60500-4,566.657-3,745.396000-3,777.2690000000000000000
Belastingvorderingen 17.310.394.885.75925.527.1417.2843.313.1647.7996.7366.2916.4256.2186,983.6050.2410.7754,566.6573,745.3960.871.6171.3023,777.2690000000000000000
Overige niet-vlottende activa 2.4092.2272.9272.0522.2952.3133.0722.3311.9962.2262.2221.6391.3831.1631.0410.1930.3450.5550.5310.0450.0390.1441.295.2581.71.10.30.42.42.74.62.21.60-0.10000
Totaal niet-vlottende activa 243.121234.714214.041202.842197.729108.455102.37781.10372.3777.56282.55592.62899.541101.795111.16469.67760.25132.67123.55223.69720.98421.14517.12220.81431.831.815.611.814.715.615.19.57.44.54.33.72.51.30.6
Totaal activa 530.049580.481447.867359.049450.537353.784301.164243.294230.671238.813254.752245.151248.609241.749293.277261.14318.664190.648123.208106.91391.38288.31377.61298.305122.7125.981.279.775.281.171.356.434.723.717.216.911.87.44.7
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 99.855124.30982.44247.48754.71376.39940.64331.33627.31822.76230.5252321.64917.9720.13121.77690.7730.70320.74619.24815.06715.9413.8519.18225.124126.33.87.16.454.15.11.60000
Kortlopende schulden 45.49830.62118.11214.23213.5010.060.0640.0650.0630.0590.0790.0820.0554.00411.14610.640.5230.5210.0530.006-6,790.644-4,098.2112.0050.9457.98.100.60.40.40.30.31.45.94.94.91.31.30.1
Belastingschulden 0000000-2.35700000001,971.921551.0741,565.6290001,412.211,241.3250000000000000000
Uitgestelde opbrengsten 4.7565.2550.9880.7562.6422.63225.42216.14213.09511.52418.0066.3867.9023.90211,992.3169,922.2825,539.8247,465.42213,640.1978,588.1346,796.9494,098.2113,807.1852,458.5663,761.24900000000000000
Overige kortlopende verplichtingen -67.133-83.262-48.147-16.59932.39-37.3932.9611.2024.5793.513-8.9831.222-0.859-2.122-11,978.707-11,875.61-6,147.235-9,031.085-13,632.761-8,587.373-6.176-1,412.212-5,046.916-2,458.441-3,770.249-7.20.2-0.11.6-1.1-0.30.5-0.9-3.6-0.92.33.41.41
Totaal kortlopende verplichtingen 182.831201.232135.83793.363157.957138.097109.73287.72472.37360.6270.15253.6950.39641.72465.01772.784125.72561.89448.9839.26230.26231.87831.339.43549.148.924.213.19.613.512.810.88.712.57.27.24.72.71.1
Langlopende verplichtingen:
Langetermijnschulden 86.868100.52237.06760.08115.91125.54717.9250.0745.1245.2025.2615.2075.0845.12235.20416.55662.69525.2181.3170.14009.424.50428.830.29.65.25.86.24.72.93.72.53.54.21.61.10.7
Uitgestelde opbrengsten niet-vlottend -32.277-37.659-17.292-14.859-4.935-2.906000000000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 32.27737.65917.29214.8594.9352.906002.522.0084.6794.4547.3597.648.341000.3550.30900000000000000000000
Overige niet-vlottende verplichtingen 8.18410.0338.1085.4474.9224.0585.2382.5442.1632.3653.1093.0712.9324.2844.1951.1571.0250000003.7141.61.7-0.100-0.2000000000
Totaal niet-vlottende verplichtingen 95.052110.55545.17565.527120.83329.60523.1632.6189.8079.57513.04912.73215.37517.04647.7417.71363.7225.5731.6260.14009.428.21830.431.99.55.25.864.72.93.72.53.54.21.61.10.7
Totaal passiva 277.883311.787181.012158.89278.79167.702132.89590.34282.1870.19583.20166.42265.77158.77112.75790.497189.44687.46750.60639.40230.26231.87840.767.65379.580.833.718.315.419.517.513.712.41510.711.46.33.81.8
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000000000000
Gewone aandelen 93.70592.98295.37591.0440.3530.3530.3510.3440.3430.3410.3420.3390.3360.3320.3290.3260.3240.2110.1260.1250.1220.120.1070.1050.100000000000000
Ingehouden winsten 158.461175.611171.379109.28686.764103.57188.85576.42872.32692.72496.132105.517111.357113.932113.092105.71166.24648.6335.44831.18228.76925.53815.67110.27619.420.924.740.240.541.33222.114.27.87.76.74.72.92.2
Overige gereserveerde algehele resultaten 0000-0-95.058-85.722-76.972-77.396-72.049-66.761-60.128-54.594-47.44-40.404-33.615-27.884-24.173-0.858-0.007-18.363-16.101-14.557-12.986-16.1-14-9.7-8-6.3-4.7-3.5-2.6-2.2-1.8-1.4-1.1-0.8-0.6-0.5
Overige totale aandeelhoudersvermogen 000085.148177.874165.443153.809153.868147.744141.836133.001125.739116.155107.50398.22290.53278.51137.88636.21150.59246.87735.69133.25839.838.232.529.225.62525.323.210.32.70.2-0.11.61.31.2
Totaal eigen vermogen van aandeelhouders 252.166268.593266.754200.33172.265186.74168.927153.609149.141168.76171.549178.729182.838182.979180.52170.643129.218103.1872.60267.51161.1256.43436.91230.65343.245.147.561.459.861.653.842.722.38.76.55.55.53.62.9
Totaal eigen vermogen 252.166268.694266.855200.159171.747186.082168.269152.952148.491168.618171.551178.729182.838182.979180.52170.643129.218103.1872.60267.51161.1256.43436.91230.65343.245.147.561.459.861.653.842.722.38.76.55.55.53.62.9
Totaal passiva en aandeelhoudersvermogen 530.049580.481447.867359.049450.537353.784301.164243.294230.671238.813254.752245.151248.609241.749293.277261.14318.664190.648123.208106.91391.38288.31377.61298.305122.7125.981.279.775.281.171.356.434.723.717.216.911.87.44.7