Superior Industries International, Inc.

NYSE:SUP

2.63 (USD) • At close November 4, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst -92.887373.8-243.6-96.526-6.00941.38123.9448.80322.82430.89167.16951.643-94.142-26.0539.292-9.321-5.83644.65573.7278.2555.35479.93770.852.355.446.953.156.345.228.618.212.316.213.18.57.2
Afschrijvingen & Amortisatie 92.99191.299.698.2100.795.169.33534.26134.5335.58228.46626.36227.53829.09330.77943.71242.92539.13746.46839.28133.57732.60528.38826.9228.526.726.927.327.726.621.721.512.411.57.45.400
Uitgestelde Inkomstenbelasting -27.307-9.3-27.5-3.5-1-3.395-4.669-9.531-5.7715.63-12.649-38.7048.62739.776-9.7055.893.009-22.8088.7811.409-4.7233.825-0.209-3.5-4.23.91.9-2.21.1-3.6-2.13.4-1.23.6-300
Aandelen Gebaseerde Vergoedingen 7.5429.6799.4792.3745.72.12.5763.6182.8072.3152.6852.0722.2512.3732.3800000000000000000000000
Verandering in Werkkapitaal -9.89815.8-6082.35024.4-7.2583.0883.511-34.36210.74219.3417.474-69.3235.36228.31912.659-11.80716.753-17.962-30.462-12.858-23.64-12.96-11.9-0.1-17.419.45.4-39.88.8-40.341.2-23.718.8-0.400
Vorderingen 18.85710.2-38.228.126.742.84.5998.043-14.03-16.1849.07421.428-11.016-22.1364.21200000000000000000000000
Voorraden 13.066-11.3-26.420.95.3-6.1-1.264-22.33911.509-9.2975.716-8.3454.609-25.83224.06430.14811.037-15.568-16.838-21.455-1.861-9.133-4.503-16.8521.915.36.1-9.1-18.1-2.13.610.3-6.52.3-5.100
Crediteuren -27.6195.1-1.724.57.5-9.11.41115.88-1.132-6.109-2.5492.68405.488-3.5300000000000000000000000
Overig Werkkapitaal -14.20211.86.38.810.5-3.2-12.0041.5047.164-2.772-1.4993.57413.881-26.843-19.384-1.8291.6223.76133.5913.493-28.601-3.725-19.1373.892-13.8-1.1-22.713.314.5-21.710.9-43.930.9-17.216.54.700
Overige Niet-Contante Posten 93.998.2-6203.3106.49.58.4610.8124.0885.06-1.095-0.2561.9328.16538.17231.5996.7412.4381.4943.534-4.3632.756-0.7231.966-0.2-0.21-0.1-1.54.70.60.51.54.8-0.41-8.5-7.2
Kasstroom uit Operationele Activiteiten 64.431152.644.9150.1162.8156.163.7178.49159.34911.62769.25265.76167.6630.57822.32767.87274.85836.1376.50177.11176.58296.0359.26395.65487.179.674.696.583.75072.79.175.73.745.618.300
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -41.16-57.2-64.1-45-64.3-77.7-70.937-39.575-39.543-112.556-67.98-23.145-16.961-9.313-8.484-13.227-37.639-73.062-100.8-54.579-64.576-47.876-37.222-82.032-33-36.7-13.3-13.5-25.9-60.2-53.8-28.1-25-18.6-63.6-17.200
Netto Overnames -4.4470.156.589-4.161-6.681-39.048-706.7334.3371.8151.8730.0161.9812.8670.445000000000000000000000000
Aankoop van Beleggingen 00000000-0.95-3.75-3.75-3.977-4.924-22.094-10.217000-229.607-149.67-41.188-114.86300-100-12.5-2.9-26.8-82.5-35.4-4.3-50-1.900
Verkoop/verval van Beleggingen 000000.600.23.753.753.975.13321.7236.1490014.9480228.40782.67299.95754.0200.93005.51.417.729.478.417.8120100
Overige Investeringsactiviteiten -4.4470.050.0114.96116.2810.60.0564.337-0.0180.2480.321.4760.979-0.0410.8851.9022.8191500000-1.4910.2-4.7-6.90.1-9.6-0.1-0.1-0.13.200-0.100
Kasstroom uit Investeringsactiviteiten -45.607-57-57.5-44.2-54.7-77.1-777.614-35.038-34.946-110.435-67.424-18.5323.6815.146-17.816-11.325-19.872-58.062-102-121.577-5.807-108.719-37.222-82.593-33.8-41.4-14.7-24.5-20.7-57.7-58-45.8-25.1-21.6-63.6-18.200
Financieringsactiviteiten:
Schuldaflossingen -17.17-355.5-6.3-343.6-160-7.9-434.704000000000000000000000-42.8000000000
Uitgifte van Gewone Aandelen 01.7881.5120.4580.1080.0681,197.3621.6417.26500000000.4300.1281.3897.88418.4874.3131.5460.63.21.50.62.91.62.114.32.40.50.3000
Terugkoop van Gewone Aandelen -3.307-1.788-1.512-0.458-0.108-0.606-5.014-20.719-19.638-21.79-8.1330000000-0.377-6.817-3.9630-2.143-18.979-22.8-19.5-13.3-19-19.8-17.1-3.2-6.90-1.6-1.7000
Uitgekeerde Dividenden -13.561-13.648-13.543-13.555-22.556-28.8-19.473-18.34-19.082-19.351-0.55-34.878-17.358-17.108-17.067-17.062-17.032-17.032-16.772-15.609-13.994-12.368-10.875-9.866-9.2-8.3-7.3-6.6-5.7-4.9-3.4-3-2.6-2.4-2.2000
Overige Financieringsactiviteiten -3.499373.6-4.2320.1106-39.6-37.0641.7327.3727.5293.1171.5344.8492.44800.61700000-4.1240-0.34-0.3-0.7-3.9-13.6-0.125.7-13.7-9.2-18.39.423.713.200
Kasstroom uit Financieringsactiviteiten -34.234.5-24-37.1-76.6-76.3701.107-37.327-31.348-33.612-5.566-33.344-12.509-14.66-17.067-16.445-16.602-17.032-17.021-21.037-10.0731.995-8.705-27.639-31.7-25.3-23-38.6-65.55.3-18.2-4.8-18.55.920.113.200
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 3.99-0.5-2.35.6-1.1-1.61.371-0.376-3.47-4.43-0.3251.684-0.66800000000000-0.1-38.2-59.9-72-637.7-14.736.7-50.617.918-0.100
Netto Kasstroomverandering -11.41699.5-38.974.530.41.1-11.4265.75-10.415-136.85-4.06315.56958.16421.064-12.55640.10238.384-38.964-42.52-65.50360.702-10.69413.336-14.57821.5-25.3-23-38.6-65.55.3-18.2-4.8-18.55.920.113.200
Kaspositie aan het Einde van de Periode 201.606213113.5152.477.947.546.3657.78652.03662.451199.301203.364187.795129.631134.315146.871106.76968.38548.82491.344156.84796.145106.83993.503108.148.413.8-35.2-59.613.6-6.448.52.739.151.331.100