TEGNA Inc.

NYSE:TGNA

18.38 (USD) • At close December 27, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 474.199631.198478.197482.763286.235405.665215.046487.999522.6861,130.46445.913475.007500.127622.82382.361-6,647.5651,055.6121,160.7821,244.6541,317.1861,211.2131,160.128831.1971,719.077957.9999.9712.7943.1477.3465.4397.8345.7301.6377397.5364.5319.4276.4253.3223.9
Afschrijvingen & Amortisatie 113.236121.077127.852134.57110.62986.787136.507204.49262.244265.724189.572194.039197.373214.684242.809262.198285.125276.77276.186244.021231.532222.444443.777375.915280.1310.2301.1287.4210208.8209.6197.9199.8194190.1177.2161.1143.2103.590.5
Uitgestelde Inkomstenbelasting 19.73717.4769.9168.53322.06417.258-296.8216.535100.2021.253.9122.797.5150.36354.66-816.21915.48832.0110.71377.97465.434175.144228.568-169.292240.1-14.268.323.6-40.620.3-17.2-10.816.621.516.222.937020.4
Aandelen Gebaseerde Vergoedingen 24.49730.48131.51520.30620.14612.53117.09817.5926.34433.88233.43726.60828.00332.70725.37322.646000000000000000000000000
Verandering in Werkkapitaal 83.1183.661-161.907130.584-114.16165.766-57.173-95.679-104.755-145.853-140.973-29.9231.527-135.50439.86-45.848143.743-67.479-100.245-19.947-57.841-219.638-175.084217.546-25.4-18.7-115.4-36.6-148.237.96.5-6.7-2434-19.8-13-3169-229.1
Vorderingen 34.726-15.365-88.68727.474-86.245-5.35114.541-32.04632.787-1.514-17.88435.79933.464-68.543196.214132.1430000000000000000000-20-41-69-52-42
Voorraden 00-53.30366.466-8.28422.895-29.977-7.7711.80710.0324.489-7.16722.932-10.43456.768-26.85621.943-2.1454.149-3.438-14.1533.64722.457-16.091-7.611.1-6.316.5-47-0.1-1.73.413.9-5.323.2-19-8-3-13-10
Crediteuren 38.7393.21614.9477.245-29.52629.357-21.474-1.506-57.64366.74-29.31-3.284-12.614-15.199-66.76550.2560000000000000000000-26-43-38-8-18
Overig Werkkapitaal 9.65315.81-34.86429.3999.89418.865-20.263-54.356-81.706-221.111-98.268-55.271-42.255-41.328-146.357-201.391121.8-65.334-104.394-16.509-43.688-223.285-197.541233.637-17.8-29.8-109.1-53.1-101.2388.2-10.1-37.939.3-4352611797199.1
Overige Niet-Contante Posten -127.5388.25816.03928.38-27.44-60.798371.55352.494-193.615-464.214-70.361-31.691-10.394-112.186121.5178,241.974121.176139.0560.433-27.09828.771-306.378-9.461-1,640.9210.1-0.117.1-218.340.842.844.423.114.6-4.963.6-23-1734.60.9-2
Kasstroom uit Operationele Activiteiten 587.249812.151501.612805.136297.473527.209386.211683.429613.106821.199511.488756.74814.136772.884866.581,017.1861,345.1091,479.8651,431.7411,585.7751,479.1091,031.71,318.997502.3271,146.9970.5881.1606.9603.5714.3670.3545461.2615.4603.4521.9455.4560.2355.7361.9
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -54.694-51.333-63.076-45.499-88.356-65.23-76.886-94.796-118.767-150.354-110.407-91.874-72.451-69.07-67.737-165-171.405-200.78-262.637-279.79-281.264-274.828-324.579-350.58-258.4-614.2-221.3-260-183.5-144.9-132.1-154.1-192.4-187.7-216.7-193.1-240.6-195.9-202.6-117.1
Netto Overnames -1.030.472-13.032-29.815-1,491.8-312.098205.188-197.637-53.656-1,990.877-1,451.006-28.235-23.02-15.164-9.581-168.57-30.581-402.684-619.283-169.262-482.65-35.266-186.20100000000000000000
Aankoop van Beleggingen -0.37-5.691-1.791-2.415-4.986-11.677-6.405-20.797-33.715-7.026-3.38-2.501-19.406-10.984-9.674-46.779-39.963-338.341-187.218-50.521-28.32800-78.531-18.6-16.2-8.1-17.5000000000000
Verkoop/verval van Beleggingen 28.1054.9973.7015.0284.6987.18936.46839.95412.402180.80963.40835.62952.98245.47820.46129.04943.381147.57312.45113.55212.8250000000000000000000
Overige Investeringsactiviteiten -00.3234.94213.1816.9747.416.45428.053411.012305.347113.8954.89336.976112.70631.90878.541464.15742.927245.33423.1813.012-75.558-4.098-1,549.852-1,450667.3-309781.9-1,830.980.31829.9133.4-42.59.3-156.11.3-938.3-337.5-35.2
Kasstroom uit Investeringsactiviteiten -27.989-51.232-69.256-59.521-1,563.47-374.416174.819-273.276217.276-1,662.101-1,387.49-86.981-24.91962.966-34.623-272.759265.589-751.305-811.353-462.841-766.405-385.652-514.878-1,978.963-1,72736.9-538.4504.4-2,014.4-64.6-114.1-124.2-59-230.2-207.4-349.2-239.3-1,134.2-540.1-152.3
Financieringsactiviteiten:
Schuldaflossingen 0-166-326-6211,243-71.146-372.246-137.59-307.509769.2421,529.15-336.571-599.432-716.257-713.887-275.334-1,112.622-235.008837.325773.232-712.754-538.96-667.8312,799.161915.9-470.2-144.9-954.91,589-85.3-372.9-254.7466.2-73.8-212.300000
Uitgifte van Gewone Aandelen 000000000031.435003.2140.402012.47227.35372.537115.984235.93984.89948.7821.22533.72430.42716.209.921.200000000
Terugkoop van Gewone Aandelen -652.91400-9.208-0.819-8.267-27.412-182.243-277.871-75.815-116.639-153.948-53.03700-72.764-215.21-215.426-1,309.477-1,668.76000-967.242-163.2-3290-1.40-395.100-662.4-117.9-3.1-27.15.272.44.1
Uitgekeerde Dividenden -83.534-84.756-78.465-76.465-60.624-60.29-90.17-121.639-167.508-181.328-183.233-158.822-47.946-38.216-119.328-368.789-311.237-280.008-272.885-282.518-260.737-247.721-235.472-228.391-226.3-218.9-206.6-197.4-191.9-194.5-188.4-180-192.5-192.7-174.100000
Overige Financieringsactiviteiten -13.457-15.471-11.87-36.586-22.018-5.269-52.908-20.961-104.903-48.307-90.7-14.379-105.0823.2140.4020-3.014-3.013-13.3810-1.9000-0.100.1-0.100.1-0.1000.10-151-247.5580.9186.3-204.7
Kasstroom uit Financieringsactiviteiten -749.905-266.227-416.335-734.0511,159.539-144.972-539.149-462.433-819.666490.4641,170.013-663.72-805.497-751.259-832.813-716.887-1,629.611-706.102-685.881-1,062.062-737.552-701.782-854.5231,624.753560-994.1-321-1,126.81,413.3-674.8-551.5-413.5-388.7-384.3-389.5-151-247.5580.9186.3-204.7
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 000000000-0.2810.1622.0650.192-0.3720.702-5.841.9062.995-1.5787.8141.6625.479-2.163-1.0810.100-0.20.4-6.1-2.6-4.51-0.20.40.10.30.1-0.5-0.4
Netto Kasstroomverandering -190.645494.69216.02111.564-106.4587.82121.881-52.2810.716-350.719294.1738.104-16.08884.219-0.15421.7-17.00725.453-67.07168.686-23.186-50.255-52.567147.036-2013.321.7-15.72.8-31.22.12.814.50.76.921.8-317.11.44.4
Kaspositie aan het Einde van de Periode 361.036551.68156.98940.96829.404135.86298.80176.92129.2118.484469.203175.03166.926183.01498.79598.94977.24994.25668.803135.87467.18890.374140.629193.19646.266.152.931.347.144.375.473.570.756.355.636.8742.123.412.4