Thor Industries, Inc.

NYSE:THO

111.75 (USD) • At close November 12, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 265.4374.241,138.243660.87221.384132.465430.151374.254256.519199.385179.002152.862121.739106.273110.06417.14392.706134.731172.464121.767106.08578.63151.18226.72236.11930.819.417.816.113.81611.38.40.63.43.3
Afschrijvingen & Amortisatie 277.145276.928284.453230.581196.167148.77793.22398.25852.57531.38125.83424.98724.97824.00913.22913.48317.02113.90514.04610.7758.4556.3855.2254.9424.6773.74.44.554.74.54.31.21.61.41.4
Uitgestelde Inkomstenbelasting -24.97-34.477-51.885-9.026-11.212-9.05914.525-39.552-14.116-7.292-2.177-9.904-3.442-2.839-3.4596.411-31.409-1.324-6.2146.8310.101-7.134.2193.582-0.318-0.4-2.70.40.4-0.8-0.40.40.1-0.100.7
Aandelen Gebaseerde Vergoedingen 37.90139.51231.42130.51419.88918.951712.59.3876.7765.2312.8160.6882.7071.3870.65700000000000000000000
Verandering in Werkkapitaal -18.605317.294-415.737-40389.923139.181-88.511-25.46627.95517.836-49.403-38.433-24.812-16.179-18.4281.01538.26484.645-44.56-7.002-30.819-34.00728.64414.152-9.2190.116.5-0.2-10.1-12.4-6.9-8.3-10.50.5-6.8-4.9
Vorderingen -60.153313.4139.247-234.693-115.232136.145-2.391-92.305-15.77341.324-9.448-46.615-62.59214.648-49.18430.73900000000000000000000
Voorraden 236.916109.975-381.543-538.756133.29283.311-77.421-56.619-15.58214.75-44.774-37.037-1.585-17.448-29.98747.30416.39814.189-25.321-5.86-23.946-1.9874.5719.259-16.695-10.93.81.1-7.4-5.7-8.4-10.62.12-1.7-0.8
Crediteuren -101.91-120.684-116.608229.17360.469-120.507-40.73667.13828.625-26.63213.64715.44923.435-15.40325.238-17.54800000000000000000000
Overig Werkkapitaal -93.45814.59343.167141.27611.396-159.76832.03756.3230.685-11.606-8.82829.7715.932.02435.505-59.4821.86670.456-19.239-1.142-6.873-32.0224.0734.8937.4761112.7-1.3-2.7-6.71.52.3-12.6-1.5-5.1-4.1
Overige Niet-Contante Posten 18.2748.1363.75816.54324.7977.7050.12-0.6618.889-0.226-9.22612.738-0.310.831-2.1419.8617.8910.611.079-1.028-0.6061.79544.602-28.374-16.6280.12.7000-0.10.21.70.100
Kasstroom uit Operationele Activiteiten 545.548981.633990.253526.482540.941508.019466.508419.333341.209247.86149.261145.066118.841114.802100.65248.57122.108232.753137.259131.34383.21645.674133.87221.02314.6336.140.322.511.45.313.17.912.7-20.5
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -139.635-208.194-242.357-128.835-106.697-130.224-138.197-115.027-51.976-42.283-30.406-24.305-10.063-33.749-12.297-5.625-14.475-13.654-30.166-47.67-26.94-27.264-7.484-17.198-13.908-7.4-11.8-1.8-4.7-5.2-4.3-1.8-2-1-1.6-1.9
Netto Overnames -7.314-6.184-781.967-310.93827.677-1,735.854-50.402-5.039-557.651-194.48618.9511.333-0.17-99.562-19.7561.578000-38.113-29.6180-74.7940000000000000
Aankoop van Beleggingen 00000-6.5-50.4020008.6990.3610.6290.694.9662.89-66.65-295.76500000-0.643-11.536000-2.30-1.400000
Verkoop/verval van Beleggingen 000006.500000.70.80.653.7115.8510.85108.675121.0460000.0240.0960.2786.35700000000000
Overige Investeringsactiviteiten -24.79-8.105-24.93311.28-5.2290.5755.1063.4118.1541.8014.9847.8151.12.569-5.786-105.0160.2320.2633.0540.2920.0221.5320.0460.1140.33.30.70.2-4.90.70.2-14.5-9.60.1-5
Kasstroom uit Investeringsactiviteiten -146.812-222.483-1,049.257-428.493-84.249-1,865.503-183.493-116.655-601.473-234.9682.928-13.996-7.854-126.35282.977-0.30732.566-188.141-29.903-82.729-56.267-27.219-80.65-17.516-18.973-7.1-8.5-1.1-6.8-10.1-5-1.6-16.5-10.6-1.5-6.9
Financieringsactiviteiten:
Schuldaflossingen 000000000000000000000000000000000000
Uitgifte van Gewone Aandelen 0000000000.1413.2065.8451.4411.0470.0160.0273.093.1113.5811.3291.6870.9481.2280.9670.3220.20.500010.116.1000
Terugkoop van Gewone Aandelen -68.387-42.007-165.107000000-600-2.009-770-115.420-13.561-1.63-51.462-15.521-7.07800-3.006-4.306-2.90-13.6-3.9-0.9000-0.1-2.70
Uitgekeerde Dividenden -102.137-95.969-94.944-90.801-88.318-84.139-77.989-69.409-62.97-57.381-102.314-117.687-32.322-22.329-42.408-15.523-127.278-71.324-27.764-6.824-5.152-1.428-1.091-0.951-0.967-1-1-1-1.1-1.1-1.1-1.1-0.7-0.6-0.6-0.6
Overige Financieringsactiviteiten -3.29717.8291,116.771201.598365.2862,121.583-7.657-4.572349.986-1.427-0.3460.740.1010.51600000-1.001-12.97200000.10-6.56.60-4.5-15.63.212.500
Kasstroom uit Financieringsactiviteiten -337.677-635.685-47.841-188.438-392.9161,539.073-231.024-289.322286.688-118.75-99.454-113.111-107.78-20.766-157.812-15.496-137.749-69.843-75.645-22.017-23.516-0.480.137-2.99-4.95-3.6-0.5-21.11.6-2-4.6-16.618.611.8-3.3-0.6
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -0.9756.214-30.171-2.20826.325-5.576000000000.25-0.7030.8060.9840.8290.8790.5630.956-0.226-0.1140.0820-0.6-13.40.10.1-0.5-0.8-0.5-19.10.30.3
Netto Kasstroomverandering 60.084129.679-137.153-95.51187.257176.01351.99113.35626.424-105.85852.73517.9593.207-32.31626.06732.06417.731-24.24732.5427.4763.99618.93253.1340.404-9.2125.430.7-13.16.3-6.73-11.12.6-15.2-6.5-6.7
Kaspositie aan het Einde van de Periode 501.316441.232311.553445.852538.519451.262275.249223.258209.902183.478289.336236.601218.642215.435247.751221.684189.62171.889196.136163.596136.121132.124113.19360.05959.65568.943.5013.16.913.610.621.7015.221.8