Standard Motor Products, Inc.

NYSE:SMP

34.36 (USD) • At close September 19, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Operationele Activiteiten:
Nettowinst 34.35255.43590.95457.39357.91743.00337.97660.4346.01843.02951.4541.3531.92621.963.483-22.8942.2759.411-3.545-14.38-1.518-30.556-2.48510.238.722.3-34.514.716.123.718.68.96.77.713.1
Afschrijvingen & Amortisatie 29.02228.29827.24326.32325.80924.10423.91620.45717.63717.29517.59516.46614.14513.57414.35414.715.18115.48617.35619.01317.09216.12818.90918.92217.217.31916.313.71110.59.78.987.3
Uitgestelde Inkomstenbelasting -6.952-0.713-1.335-7.475.094-10.04619.059-0.691-1.494-5.309-0.5275.46211.9718.541-2.335-3.894-3.20.328-4.76-6.425-1.6322.55-3.628-0.897-4.63-2.4-0.1-1.7-1.4-5.50000
Aandelen Gebaseerde Vergoedingen 6.5988.1789.4798.1016.9177.9987.6386.1275.3794.8433.6682.3582.0251.4940.91400000000000000000000
Verandering in Werkkapitaal 44.172-149.023-48.556-20.142-34.385-12.425-35.8265.413-9.358-26.485-24.20220.2052.293-22.88570.07730.334-33.132-4.099-24.147-8.91413.86731.21923.969-29.803-4.764.367.2-52.5-27.2-10.7-4.612.934.210-47.2
Vorderingen 7.9656.91628.464-71.93317.929-13.699-5.1-8.826-1.9961.755-27.27815.3939.59519.33640.8700000000000000000000
Voorraden 29.494-67.495-107.60917.984-17.901-30.199-13.901-20.155-12.503-6.712-6.094-1.5562.5-47.95229.8318.24-24.15-0.70110.058-3.8633.5117.99656.966-44.666-5.927.742.5-13.3-17.7-26-11.125.435.8-31.6-20.9
Crediteuren 19.645-48.60433.0467.428-1.9516.894-7.1867.3451.882-4.32912.4973.287-3.105-1.542-12.95200000000000000000000
Overig Werkkapitaal -12.932-39.84-2.45726.379-32.46314.579-9.63927.0493.259-17.199-3.3273.081-6.6977.27312.32912.094-8.982-3.398-34.205-5.05110.35623.223-32.99714.8631.236.624.7-39.2-9.515.36.5-12.5-1.641.6-26.3
Overige Niet-Contante Posten 37.06830.2927.77933.69115.57617.62411.8546.0696.98913.6149.6327.71642.9475.39415.80348.0248.83410.44612.85814.1723.65440.8423.4241.09610.50.1-4.80.40.1-1.6-0.10.10.61.20.4
Kasstroom uit Operationele Activiteiten 144.26-27.53385.56497.89676.92870.25864.61797.80565.17146.98757.61693.5675.30728.078102.29644.933-7.79633.689-2.2383.46631.46360.18340.189-0.95326108.771.7-21.20.821.120.131.650.426.9-26.4
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -28.633-25.956-25.875-17.82-16.185-20.141-24.442-20.921-18.047-13.904-11.41-11.811-11.037-10.806-7.174-10.5-13.995-10.08-9.957-9.774-8.926-7.598-13.74-16.652-31.8-29.3-15.6-21.4-25.6-12.6-12.3-15.3-12-16.2-23.2
Netto Overnames 2.825-1.934-125.4190-43.49-9.852-6.808-67.2890-37.726-12.76-38.594-64.8980.348-7.946-4.85-3.75930-2.906-100.249-19.855-1.069-2.71800000000.1000
Aankoop van Beleggingen 000000000000007.1200000100.249000000-0.20-13.6-18-23.4-3.2-30.4-56.9
Verkoop/verval van Beleggingen 000000000000003.896000007.20000006.36.45.818.323.57.93463.4
Overige Investeringsactiviteiten 0.1080.0730.0450.0214.8630.1070.0220.1920.0360.43-0.5920.4930.0452.57-7.04737.4144.3211.1142.1641.734-100.1620.520.6520.6578.47.5-16.3-45.1-7.80.10.10.10.20.70
Kasstroom uit Investeringsactiviteiten -25.7-27.817-151.249-17.799-54.812-29.886-31.228-88.018-18.011-51.2-24.762-49.912-75.89-7.888-11.15122.064-13.433-5.966-7.793-10.946-101.888-26.933-14.157-18.713-23.4-21.8-31.9-60.4-27-20.3-11.9-15-7.1-11.9-16.7
Financieringsactiviteiten:
Schuldaflossingen -5.058-108.584-118.346-46.816-7.953-12.196-5.719-0.089-0.17-0.182-0.12-32.652-12.41-15.09-124.7880-15.9150-25.16500000-26.1-78.6-23.5-79.70-4-9.2000-58.4
Uitgifte van Gewone Aandelen 00046.816-7.9530000.1090000.0360.03627.50904.1850.7380.1690.97255.8350.5890.47301.81.60.20.20.10.55.1001.82.4
Terugkoop van Gewone Aandelen 0-29.656-26.862-13.482-10.738-14.886-24.376-0.377-19.623-10-6.864-4.999-4.1360.01600-4.9970-11.8990000-14.345-9.8-2.6-1.5-0.10-4.3-4.5000-16.8
Uitgekeerde Dividenden -25.164-23.428-22.179-11.218-20.593-18.854-17.287-15.447-13.697-11.905-10.107-8.215-6.381-4.5080-6.653-6.683-6.579-7.024-6.955-5.615-4.29-4.236-4.324-4.5-2.1-4.2-4.3-4.2-4.2-4.2-4.2-4.2-4.2-4.2
Overige Financieringsactiviteiten -79.389-2.128-0.293-46.81623.859-0.1855.7197.979-7.66537.221-22.2043.07923.4570.1335.802-59.51632.733-14.36853.6187.2124.817-29.008-21.6667.16652.31.61.6159.338.31.7-0.1-19.3-25.8-6116.7
Kasstroom uit Financieringsactiviteiten -109.61155.569.012-71.516-23.378-46.121-35.944-7.756-41.15515.316-39.295-42.7870.566-19.413-91.477-66.1699.323-20.2099.6991.22775.037-32.709-25.429-11.50313.7-80.1-27.475.434.2-10.3-12.9-23.5-30-8.439.7
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 2.427-0.755-1.060.5350.496-0.4360.082-1.035-0.933-2.934-1.0741.342-1.2470.744.342-7.4812.8190.788-0.5561.545.3451.653-0.806-1.5120.6-0.1-0.3-0.10000000
Netto Kasstroomverandering 11.376-0.6052.2679.116-0.766-6.185-2.4730.9965.0728.169-7.5152.203-1.2641.5174.01-6.653-9.0888.302-0.888-4.7139.9572.194-0.203-32.68116.96.712.1-6.38-9.5-4.7-6.913.36.6-3.4
Kaspositie aan het Einde van de Periode 32.52621.1521.75519.48810.37211.13817.32319.79618.813.7285.55913.07410.87112.13510.6186.60813.26122.34814.04614.93419.6479.697.4967.69940.423.516.84.610.82.812.317.12410.64