Triumph Group, Inc.

NYSE:TGI

13.17 (USD) • At close September 18, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst -34.46789.593-42.758-450.91-29.433-321.767-425.391-42.952-1,047.96238.697206.256297.347280.857149.89967.76293.06767.27447.07134.51511.42818.22236.71749.43739.21434.60233.12412.69.71.5
Afschrijvingen & Amortisatie 33.2535.57549.63593.334138.168149.904158.368176.946177.755158.323164.277129.506129.32599.65754.41848.61144.83638.86432.78631.30528.7124.80222.09726.52619.99714.59.36.33.83
Uitgestelde Inkomstenbelasting 00.0140.025-0.1762.823-7.939-43.1089.48-118.302105.277102.869186.767153.45380.7327.52415.2488.385.969-0.4892.7236.5186.0097.5967.8624.3622.33.61.10.70.9
Aandelen Gebaseerde Vergoedingen 9.4458.9139.78212.70111.06210.2597.9497.9222.6571.2724.6536.3674.9883.6223.223.182.8092.524000000000000
Verandering in Werkkapitaal 13.036-78.899-219.965-174.447-104.842-195.289-404.92-37.153325.99728.07-309.076-313.708-282.083-174.6494.521-21.902-69.907-47.258-27.53113.329-12.676-4.706-6.594-49.358-24.037-17.3-20.3-12.94.6-5
Vorderingen 17.463-26.4332.822126.2945.001-89.728-105.104112.19673.08369.5-46.37824.718-82.062-15.875-6.17210.4781.6431.0471.092.0742.1612.1612.2130000000
Voorraden -17.46-28.18725.64235.412-48.802-15.93-163.417-272.653293.51742.383-101.154-138.342-47.487-21.04530.192-7.719-54.903-52.705-17.604-10.954-0.93-8.003-7.925-26.5550-19-8.2-8.1-4.2-3
Crediteuren 13.50615.368-189.412-330.992-61.338-71.767-43.696211.5653.91495.167-60.209-57.8614.577-13.39-507.279-396.82-15.499-314.627-16.302-191.649-268.923-230.781-182.6070000000
Overig Werkkapitaal -0.473-39.647-59.017-5.1610.297-17.864-92.703-88.256-94.517-178.98-101.335-142.223-157.111-124.339487.78372.159-1.148319.0275.285213.858255.016231.917181.725-22.803-24.0371.7-12.1-4.88.8-2
Overige Niet-Contante Posten 48.247-107.44766.265346.37978.888190.412418.208167.279743.716-64.307-33.84214.639-58.759-16.95732.203-3.207-2.27-0.9261.09-8.096-0.837-0.613-3.066-0.1190.3320.2-1.32.5-2.75.2
Kasstroom uit Operationele Activiteiten 7.075-52.251-137.016-173.11996.666-174.42-288.894281.52283.863467.332135.137320.918227.781142.304169.648134.99751.12246.24440.37164.99545.64765.00477.82626.22336.6634.213.68.116.15.6
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -21.827-20.676-19.66-25.178-39.834-47.099-42.05-51.832-80.047-109.351-197.328-121.734-90.532-90.025-31.665-45.421-62.368-59.694-28.777-18.602-25.446-31.567-32.642-27.073-14.736-88.5-14.2-8.2-1.9-3.2
Netto Overnames 713.413-0.272-23.65115.88847.229247.647-2.8180.009-54.05138.281-94.456-349.63211.951-347.912-31.493-140.192-62.829-140.332-15.351-7.057-50.036-75.672-29.489-153.092-49.67700000
Aankoop van Beleggingen -1.661-0.272-2.101000000000000000000000000000
Verkoop/verval van Beleggingen 00.2722.101000000000000000000000000000
Overige Investeringsactiviteiten 713.413-6.22224.51815.88847.229247.64783.08286.1876.0693.16745.0473.9938.7584.2130.615-140.192-62.8290.780.11426.9491.0951.0650.72111.935.8157.8-69.219.4-34.11.5
Kasstroom uit Investeringsactiviteiten 689.925-27.168181.207-9.297.395200.54838.21434.364-128.029-67.903-246.737-467.373-69.823-433.724-62.543-185.613-125.197-199.246-44.0141.29-74.387-106.174-61.41-168.235-58.598-80.7-83.411.2-36-1.7
Financieringsactiviteiten:
Schuldaflossingen -610.301-1,152.658-389.117-160.035-449.65-43.288-239.758-229.744-45.624-655.86-416.645-366.489-484.538-731.168-113.788-82.541-87.3360000000000000
Uitgifte van Gewone Aandelen 79.9614.090145.383770.580000463.53549.889534.90194.7943.0341.3671.4747.50715.9842.3141.0840.340.93916.556106.710.2860.166.851.800
Terugkoop van Gewone Aandelen -1.629-3.547-3.249-1.285-1.442-0.86-0.483-0.182-0.096-185.053-21.86-1.84-0.609-1.861172.988137.016-12.3420000-0.22-0.750-4.611-1.40000
Uitgekeerde Dividenden 0000-8.078-7.971-7.943-7.927-7.889-8.1-8.344-8.005-6.899-3.574-2.666-2.652-2.661-1.961000000000000
Overige Financieringsactiviteiten -2.3681,217.903-0.293607.084-17.718-1.982-17.729-28.604-5.185-9.6850.159-9.928231.001906.62-22.625-1.187174.6140.2732.318-69.3726.25641.394-30.12833.84227.58948.26.6-70.719.7-3.7
Kasstroom uit Financieringsactiviteiten -531.96965.788-392.659277.247293.69232.475213.603-266.45732.454-395.168103.199148.639-166.251173.05135.27652.1179.768154.2964.632-68.28626.59642.113-14.322140.55223.26446.973.4-18.919.7-3.7
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0.0770.156-0.5369.581-5.097-1.6153.263-0.780.079-0.6425.3620.191-1.3730.4790.359-0.7540.8020.265-0.1350.0790.3270.8100000000
Netto Kasstroomverandering 165.108-13.475-349.004104.419392.65656.988-33.81448.649-11.6333.619-3.0392.375-9.666-117.89142.740.746.4951.5590.854-1.922-1.8171.7532.094-1.461.3260.43.60.4-0.20.2
Kaspositie aan het Einde van de Periode 392.511227.403240.878589.882485.46392.80735.81969.63320.98432.61728.99832.03729.66239.328157.21814.47813.7387.2575.6984.8446.7668.5836.9134.8196.27954.60.90.50.6