Stagwell Inc.

NASDAQ:STGW

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

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

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Operationele Activiteiten:
Nettowinst 0.13465.84235.9271.46120.73-123.733241.848-45.839-31.076-24.057-148.863-85.439-84.674-15.44-18.3240.133-26.355-33.539-7.949-2.15711.04294.208-149.95227.53115.8839.155-14.5865.12.5993.102
Afschrijvingen & Amortisatie 142.831131.27377.50341.02535.72946.19643.47446.44652.22347.17239.646.41440.23634.48134.47135.75231.57626.9728.78819.95512.61716.18638.25235.03727.87416.90110.297.74.2991.201
Uitgestelde Inkomstenbelasting 19.443-18.319-20.139-5.463-0.5623.573-173.019-10.0381.82410.963-5.4278.42240.284-5.3736.972-0.965.2530.298-1.423-2.7125.46121.458-18.82-3.2835.1463.421-0.8990.40.2-0.701
Aandelen Gebaseerde Vergoedingen 57.17933.15275.03214.17931.0418.41624.3521.00317.79617.69622.438023.65716.50714.18614.4379.0887.363.2728.3880000000000
Verandering in Werkkapitaal -195.00436.82615.7568.763-8.696-60.435-56.413-115.93345.888-79.44736.867-98.794-25.341-62.395-28.06110.27382.675-5.104-64.063-76.02943.68-18.918-22.221-3.11411.6557.695-23.72239.6020.4955.004
Vorderingen -80.18137.78-35.669-26.805-41.68118.988-48.138-3.704-8.675-35.817.644-30.043-12.13-31.289-9.9530-12.712-18.605-0.4235.5860000000000
Voorraden 0021.75522.539-10.07200103.382197.537168.076179.8110122.93671.5613.3470142.83480.4040.433-2.5470000000000
Crediteuren 52.83798.871-46.3515.60632.757-18.22213.398-110.01876.52157.53929.2270-8.259-0.1198.6970-25.08338.136-7.96749.2390000000000
Overig Werkkapitaal -167.66-99.82576.0217.42310.3-61.201-21.673-2.211-21.958-269.262-189.815-68.751-127.888-102.547-40.15210.273-22.364-105.039-56.106-128.30743.68-18.918-22.221-3.11411.6557.695-23.72239.6020.4950
Overige Niet-Contante Posten 56.424100.044-13.49814.89115.779224.924141.965338.168130.546161.615114.684173.50410.38669.51750.659-2.189-98.10543.7246.04577.057-53.54-86.732245.38613.652-15.706-31.8421.924-49.803-11.0926.005
Kasstroom uit Operationele Activiteiten 81.007348.818170.574138.0864.84618.89976.1676.19162.805133.94259.29976.3044.54837.29759.90357.4464.13239.7054.6724.50219.2626.20392.64469.82244.8525.332-6.9933-3.4999.607
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -42.413-42.041-22.626-13.994-12.472-20.264-32.958-29.432-23.575-26.416-19.549-20.335-23.383-12.5-6.212-14.395-20.072-22.648-13.095-15.552-18.421-8.053-15.788-23.542-28.493-24.748-24.676-23.5-16.995-6.605
Netto Overnames 206.145-75.466153.739-14.732-5.615-30.63110.6313.197-16.147-68-1231-7-97-58-36-479-5500000000000
Aankoop van Beleggingen 00000-0.499-2.229-3.835-7.272-6.312-2.692-2.198-4.232-0.717-0.1630000000-15.8610000000
Verkoop/verval van Beleggingen 000000029.4322.10526.41619.54920.33523.38312.50.02000033.9910000000000
Overige Investeringsactiviteiten -7.781-6.60410.697-0.2950.484-0.5912.074-2.52817.101-23.266-15.421-20.972-18.567-31.826-1.8440.7566.1581.4730.839-46.09591.648162.142-19.876-57.859-91.883-118.813-24.975-58.301-14.196-45.636
Kasstroom uit Investeringsactiviteiten 155.951-117.507141.81-29.021-18.087-51.394-24.556-32.598-29.893-97.578-30.1137.83-29.799-129.543-66.199-49.639-60.914-12.175-67.256-27.65673.227154.088-51.525-81.401-120.376-143.561-49.651-81.802-31.191-52.241
Financieringsactiviteiten:
Schuldaflossingen -41.844-1,266-13.183-126.994-169.77-67.997-54.829-170.476-1.944-0.656-427.009-0.653-35.399-1.496-184.171000000000000000
Uitgifte van Gewone Aandelen 000098.62090.2200.2240000.080.2060.38304.8930.5620.0313.6393.03100.70104.60739.94018.13.1990
Terugkoop van Gewone Aandelen -223.835-70.269-0.8410-98.62-0.776-1.758-3.35-2.388-5.414-13.817-3.327-4.121-3.48-0.596-0.906-0.76900-12.476-13.6620-6.469-8.74100-1.798000
Uitgekeerde Dividenden 00-233.203-115.543-40.212-0.196-0.284-32.918-42.313000-16.436-9.7270000000000000000
Overige Financieringsactiviteiten -74.1851,149.533-80.827162.396174.963-45.591-65.948-143.465-143.59928.34473.365-5.84879.17566.898204.42124.41656.805-32.15952.285-25.53-53.312-180.828-36.72135.16282.718110.56328.67293.30222.69443.234
Kasstroom uit Financieringsactiviteiten -339.864-186.736-273.414-80.141-35.01921.434-32.599-9.257-190.02-15.42810.492-31.85823.29952.40120.03723.5160.929-31.59752.316-34.367-63.943-180.828-42.4926.42187.325150.50326.874111.40225.89343.234
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 2.054-7.9951.353-0.3210.343-0.1202.1285.218-1.0682.01-0.023-0.264-0.422-3.1460.151-0.328-0.1250.697-0.8985.5470.7370.2832.312-1.3400000
Netto Kasstroomverandering -100.85236.5891.55228.59712.083-19.93817.549-28.196-46.76817.7641.67752.234-2.853-40.97710.59530.9213.819-6.332-9.721-38.41934.0910.199-1.08717.15410.46112.274-29.77132.601-8.7970.6
Kaspositie aan het Einde van de Periode 119.737220.589184.00992.45763.8630.87350.81133.26266.58119.767102.00760.338.09610.94951.92641.33110.416.59112.92322.67371.87937.86737.2540.724.37911.469-0.89930.201-2.5996.105