Steel Connect, Inc.

NASDAQ:STCN

12.5 (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 87.9815.609-9.256-44.391-5.284-66.72736.715-25.827-61.281-18.429-16.362-39.33-38.599-48.685-15.469-193.5789.12849.41114.94526.52586.975-134.682-524.918-5,377.58-1,364.693476.216.6-2214.33.11.8
Afschrijvingen & Amortisatie 5.382.7942.2243.54750.3352.50437.0768.2068.1199.33514.27615.25115.33622.23923.17525.49720.78119.84915.84521.0777.10411.257431.5055,012.7751,501.58322.76.85.32.80.60.9
Uitgestelde Inkomstenbelasting -68.479.0419.04126.15602.973-0.801-1.017-0.44210.4471.732.72029.76126.206180.427-20.046-33.6062.06300012.625-211.272-280.45312.4-0.8-0.98.3-0.20.1
Aandelen Gebaseerde Vergoedingen 0.6320.7650.7010.5910.721.26710.8010.6811.1261.7572.2542.3082.993.4814.1545.1035.5990.0026.417000000000000
Verandering in Werkkapitaal 0-11.178-12.984-19.32226.89931.231-62.213-7.77322.47126.0595.12323.083-9.405-16.3890.37118.105-43.14112.197-3.928-58.909-71.9114.07-15.21988.31533.1820.612.7116-0.2-1.6
Vorderingen -5.08911.342-5.25623.50520.305-14.0929.73531.10219.13-14.9717.6988.583-9.75520.059.60733.138-2.7850-9.601-18.5690.913-1.091000000000
Voorraden 1.608-0.1270.323-0.7228.512.48219.9716.8527.75211.839-4.40322.434-11.6040.364-7.60418.737-13.81220.9621.567-21.812-3.9851.632000-0.1-3.9000-0.1
Crediteuren -2.4770.8010.801-21.024-5.06842.005-39.945-4.245-4.245-4.322-2.513-5.8519.086-38.2771.807-38.327-14.35603.591-0.8-2.9131.091000000000
Overig Werkkapitaal 0-23.194-8.852-21.0813.1520.834-71.974-41.482-0.16633.512-5.659-2.0832.8681.474-3.4394.557-12.188-8.7650.515-17.728-65.9262.438-15.21988.31533.1820.716.61160-1.5
Overige Niet-Contante Posten -3.6740.4927.14416.486-1.041-0.399-9.811.28510.219-9.9752.7942.995-9.7614.6630.9880.38920.0275.046-21.26-3.961-40.88252.736-120.109-224.776-653.354-0.10.2-25.1-46.2-3.40.1
Kasstroom uit Operationele Activiteiten 21.84817.523-3.13423.06771.62420.84911.768-24.445-19.78819.1949.8157.027-39.439-4.9339.42535.943-7.65252.89914.082-15.268-18.714-66.619-216.116-712.538-763.734-90.4-71.7-41.7-4.8-0.11.3
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -3.965-2.118-1.485-3.615-12.07-14.539-18.423-4.73-7.936-8.518-4.489-7.296-11.564-8.968-9.194-11.06-26.057-23.962-16.498-13.836-6.205-3.973-31.769-122.38-177.637-16.3-8.2-6.9-7.1-0.7-1.1
Netto Overnames 00.16700.1820.0210.042-468.421.2780.7470.085-0.756-0.2362.9123.473-29.58-9.533-53.048-2.1653-68.07312.15566.62-40.646-14.432-185.12712.8000.700
Aankoop van Beleggingen -45.377-0.16700-0.021-0.0420-1.22-1.22-69.221-0.3950-2.912-3.473-3.402-100-1,328.978-101.2500.4440035.7790-133.3-39.5-25.8-25.500
Verkoop/verval van Beleggingen 157.91555.525000.1630.04213.7757.99859.3272.3250.7560.0960.0240.35311.31918.008111.851,300.40.069079.81734.41857.874989.9281,154.75684.712613.169.915.50
Overige Investeringsactiviteiten 0.0090.16700.1070.0210.01920.7482.3121.318-66.811-0.756-0.691-2.912-3.473-3.402-9.53315.44735.00838.8272.726-2.0970-4.816-75.78-299.6311.5-41.420.4-27.3-8.3-0.1
Kasstroom uit Investeringsactiviteiten 108.58253.574-1.485-3.326-11.886-14.478-452.325.63852.236-75.329-5.64-8.127-14.452-12.088-30.857-12.58548.192-19.697-75.852-79.18384.11497.065-19.357813.115492.361-50.636.90.810.76.5-1.2
Financieringsactiviteiten:
Schuldaflossingen 0-2.038-0.073-0.07-9.254-67.698389.348-1.934-20.485-4.669100.893-0.06-0.124-0.106-1.306-0.408-25.255-0.385-1.9288.0719.464-0.965-99.394-22.681178.112-12.37.327.90-0.1-2.6
Uitgifte van Gewone Aandelen 0000.0040.0190.0150.0080.0180.0510.1131.36827.6750.0910.2040.3310.1130.2841.0641.1826.0561.3011.1913.88826.626256.444561.926.78.248.40.16.3
Terugkoop van Gewone Aandelen 0-2.288000000-0.12700-0.158-0.188-1.633-13.521-7.137-35.61300000-100.3010000-1000
Uitgekeerde Dividenden -2.135-2.13-2.129-2.129-2.135-2.129-1.143000000-40.00100000000000000000
Overige Financieringsactiviteiten 0-0.149-0.0950-0.914633.666000-0.628-1.416000.0470.03900000-29.8550-33.484-20-1.22.62.1-0.40.1-0.8
Kasstroom uit Financieringsactiviteiten -2.135-6.605-2.297-2.195-12.284-63.812421.879-1.916-20.561-4.556101.63326.041-0.221-41.485-14.449-7.393-60.5840.679-0.74614.12710.765-29.629-195.807-29.539442.127548.436.637.2480.12.9
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -0.5080.866-1.3680.5971.124-0.3210.1410.603-0.528-3.393-0.2090.606-4.7448.364-1.522-5.50711.1483.8721.7610.90300000000000
Netto Kasstroomverandering 127.78765.358-8.28410.50148.578-57.762-18.532-20.1211.359-64.084105.59925.547-58.856-50.139-7.4038.182-8.89637.753-60.755-79.42176.1650.817-431.2871.038170.754407.41.8-3.753.96.53
Kaspositie aan het Einde van de Periode 251.19123.40358.045105.14394.64246.06492.138110.67130.79119.431183.51577.91652.369111.225161.364168.767160.585169.481131.728192.45271.871196.916257.21710.704639.666468.961.659.763.39.53