The Shyft Group, Inc.

NASDAQ:SHYF

11.69 (USD) • At close December 24, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 6.46436.55870.15533.166-12.42615.01215.9348.603-17.481.029-5.969-2.4570.7737.23511.77242.71424.50416.8288.2925.8824.4411.4356.015-5.61-1.43.5-13.12.33.410.610.59.26.52.51.22.30.70.3
Afschrijvingen & Amortisatie 16.95314.77411.35614.18711.1810.379.9377.9037.4378.3789.2388.9910.0110.7187.7656.0594.0632.8632.7242.312.0231.8852.2052.2393.92.61.91.921.60.90.70.40.40.3000
Uitgestelde Inkomstenbelasting -6.911-5.510.8819.79-18.225-0.755-3.974-2.6665.147-2.265-1.69-2.771-0.266-0.4162.5290.383-3.488-0.7750.3731.134-0.1790.1960.246-1.72-1.30.9-1.30-0.300-0.5000000
Aandelen Gebaseerde Vergoedingen 7.8347.6198.7457.8485.2814.0273.5361.5361.1981.6241.6241.6451.782.4052.33201,434.3581,434.35876.906518.62-1,485.8962,491.45107.4460481.4090000000000000
Verandering in Werkkapitaal 31.515-73.11-17.017-16.424-5.599-15.254-1.3654.9116.986-2.8235.778-7.53715.71818.20213.4243.913-30.097-39.792-6.729-10.7265.222-0.00113.53211.9062.7-23.112.4-3.2-0.5-4.3-10.5-4.9-8.3-2.20.8000
Vorderingen 72.857-93.989-34.522-6.03722.812-22.49-18.576-8.824-8.255-0.802-0.421-7.09713.118-7.56837.3590-25,603.578-25,603.578-4,657.599-12,754.8929,219.127-3,048.3086,296.0105,344.5930000000000000
Voorraden -4.975-32.977-20.75612.834-14.783-24.3442.921.66210.60510.256-13.828-0.6-5.47836.169-0.89616.428-38.903-19.908-11.824-5.854-1.383-1.6186.859.195-1.7-9.33.40.1-1.51.5-12.9-1-1.6-4.70.8000
Crediteuren -27.96341.30234.954-10.674-20.40435.2975.3664.0184.556-7.7637.5251.353.51-1.553-8.84109,957.9479,957.9471,497.654,181.358-873.3232,089.682-5,332.1501,122.3830000000000000
Overig Werkkapitaal -8.40412.5543.307-12.5476.776-3.721-31.0758.0550.08-4.51412.502-1.194.568-8.846-14.199-12.51515,654.43715,625.7473,165.0438,568.661-8,339.2960.243-957.1782.71-6,462.576-13.89-3.31-5.82.4-3.9-6.72.5-0.8000
Overige Niet-Contante Posten 0.3890.826-0.115.76553.97-5.374-2.0523.1649.6120.5634.0658.4972.122-4.3990.3023.324-1,436.034-1,434.033-76.766-517.9551,488.682-2,489.267-109.3860.072-481.8095.1-0.23.70.2-0.1-0.210.1-0.2-0.8-2.3-0.7-0.3
Kasstroom uit Operationele Activiteiten 56.244-18.84374.00964.33234.1818.02622.01623.45112.96.50613.0466.36730.13733.74538.12456.451-6.694-20.5514.799-0.73614.29215.69820.0596.8883.5-1115.14.74.77.80.75.6-1.30.51.52.30.70.3
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -20.733-20.564-23.002-14.534-10.042-8.985-5.34-13.41-4.895-3.463-3.526-12.468-5.255-3.869-5.814-16.29-31.182-14.435-2.932-5.863-2.152-5.758-2.516-1.282-2.5-2.7-1.6-1.4-6.4-4.7-4.1-2.4-1.7-0.5-1000
Netto Overnames -0.50.1480.90429.45-88.938-5.2-28.9030.0250.208000-4.746-0.014-42.31800000000000.200.100.100000000
Aankoop van Beleggingen 000000000000000000-2-4.31400000-0.3-2.7-4.10-9.2-11.70000000
Verkoop/verval van Beleggingen 00000000002.5000001,989.191.9891.4882.800000.52.78.72.88.87.91.60000000
Overige Investeringsactiviteiten 0.1190.1480.02247.50.01500.0130.0250.2080.6480.180.0750.84211.1520.1440.061-1,989.1710.4570.050.0220.0060.0020.0310.0372-0.6-19.510.3-0.80.2-1.5000000
Kasstroom uit Investeringsactiviteiten -21.114-20.416-22.07614.916-98.965-14.185-34.23-13.385-4.687-2.815-0.846-12.393-9.1597.269-47.989-16.229-31.163-11.989-3.394-7.355-2.146-5.756-2.485-1.2450.1-0.7-15.1-1.62.7-6.7-14-3.9-1.7-0.5-1000
Financieringsactiviteiten:
Schuldaflossingen -656-23.76-6561.8257.61817.849-5.048-0.075-0.080.0520.15-0.085-40.89618.826-36.02337.47924.3691.2250.1450-11.405-14.0441.7721.21511.9292.6-0.4-0.41.61.8-1.9-3.3-0.2-0.7000
Uitgifte van Gewone Aandelen 000000000000000.7103.62712.8080.9263.6131.227.1890.864000.0630.20.20.10.41.212.67.300000
Terugkoop van Gewone Aandelen -19.083-26.789-3.348-7.503-0.793-0.6560-20-200-0.2220-0.435-0.627-2.7690-1.05-0.948-0.49800-6.121-1.095-0.3-2.1-2.5-4.3-0.70-1000000
Uitgekeerde Dividenden -7.109-7.148-3.551-3.565-3.572-3.516-3.508-3.444-3.426-3.427-3.414-3.383-3.348-3.301-4.236-3.25-4.343-3.646-3.267-2.737-2.469-1.837-0.736-0.811-0.9-0.9-0.9-0.6-0.6-0.7-0.7-0.4-0.2-0.2-0.2000
Overige Financieringsactiviteiten -4.529-8.414-5.111-1.534-0.766-3.371-0.645-0.111-0.581-0.3210.121-0.67-0.153-0.785-0.265-0.1093.5563.141000000.015873.70100.1-0.1-0.10.100000000
Kasstroom uit Financieringsactiviteiten -36.72113.649-35.77-77.60256.6940.07513.696-10.603-4.082-5.828-3.241-3.903-3.808-44.98214.6-40.00937.5536.672-2.1660.074-1.747-6.053-13.916-5.144-3.66.9-0.1-3.4-5.30.72.39.33.8-0.4-0.9000
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 000000000000000000000000011.70-3.10.1-1.113.3-1.730-0.5000
Netto Kasstroomverandering -1.591-25.6116.1631.646-8.09-6.0841.482-0.664.131-2.1378.959-9.92917.17-3.9684.7340.213-0.3074.133-0.761-8.01710.3993.8893.6580.499-1.8486.9-0.1-3.42.20.72.39.33.8-0.4-0.92.30.70.3
Kaspositie aan het Einde van de Periode 9.95711.54837.15820.99519.34927.43933.52332.04132.70128.5730.70721.74831.67714.50718.47513.74113.52813.8359.70210.46318.4818.0824.1930.53535.79711.74.81.85.21.814.410.240.102.30.70.3