Teekay Corporation

NYSE:TK

6.32 (USD) • At close December 20, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995
Operationele Activiteiten:
Nettowinst 150.641189.36-277.46390.982-148.986-57.747-479.07286.664405.46124.00235.48-311.116-386.721-224.118131.772-469.455181.251262.244570.9757.44177.36453.391336.518271.024-19.59556.10842.620.3165.3
Afschrijvingen & Amortisatie 97.55199.033106.084261.131290.672276.307485.829571.825509.5422.904431.086455.898428.608392.451361.199344.377329.113223.965205.529237.498191.237149.296136.283100.153-68.29994.94190.69883.603-96.4
Uitgestelde Inkomstenbelasting -4.3-4-3.2768.98825.48219.72412.23224.468-16.76710.1732.872-14.406173.86758.60222.889-169.801-157.152-41.991-2.3435.04836.50111.4136.9630.9991.50000
Aandelen Gebaseerde Vergoedingen 043.356.35.85.75.76.28.57.329.39316.26215.26411.25514.1179.6769.29700000000000
Verandering in Werkkapitaal 6.339-127.592-65.54599.172-4.823-14.754106.56738.333-12.29160.63164.184-115.209-84.34745.415148.655-28.816-47.51450.36-8.644-26.55-4.2567.03828.197-36.6760.8965.2015.459-1.32-1.2
Vorderingen 23.043-80.88683.4638.589-38.811-25.09-1.92596.497-6.488136.66-77.837-132.873-68.914-10.20364.886-50.851-44.837-15.41758.357-60.4940000-5.4620003.6
Voorraden 0000000000000061.24600000000000000
Crediteuren -13.4176.291-77.972-6.576104.5798.929-14.499-10.705-24.727-17.643-10.87718.40812.216-12.252-2.731-29.71818.58819.262-17.6911.4840000-6.571000-0.3
Overig Werkkapitaal -3.287-52.997-71.03367.159-70.5911.407122.991-47.45918.924-58.386152.898-0.744-27.64967.8725.25451.753-21.26546.515-49.31122.46-4.2567.03828.197-36.67612.9295.2015.459-1.32-4.5
Overige Niet-Contante Posten 383.22538.353312.91293.559-43.535-44.69-77.857-74.073-98.465-115.318-248.977265.001-40.476124.136-337.673741.425-60.35641.841-20.668-32.889-42.697-6.694-6.963-2.003136.5984.8690.4010.052179.8
Kasstroom uit Operationele Activiteiten 633.456199.15475.986984.017383.306182.135513.745624.632770.328446.317291.965289.561107.193411.75338.097431.847255.018545.716609.042814.704455.575214.444520.15333.25551.513161.119139.158102.65187.5
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -10.198-15.43-21.447-26.507-109.523-693.792-1,054.052-650.301-1,799.601-994.931-753.755-616.525-755.045-343.091-495.214-716.765-910.304-455.89-599.518-581.476-422.38-170.563-381.5-65.166-29.911-249.475-81.663-119.334-19.4
Netto Overnames 23.561451.78958.09-0.99127.60915.551-85.92-61.885-87.556-104.602-157.762-183.554-322.5-50.927-8.795-261.776-16.975326.901-82.399-287.35-729.7840-5.087-2.685-37.96833.9028.416.8
Aankoop van Beleggingen 0-210-59.59-4.65-72.39128.83773.712607.96220.472-25-320.502250.807-163.652-121.022-25.526-261.501-59.165-9.8680-4.369-37.291-102-5-31.014-6-42.154-2.296-41.993-115.1
Verkoop/verval van Beleggingen 001.54.6510010.88217.42223.53520.82427.6714.78924.6398.77426.3471.08463.74557.09318.7660135.35735.1426.67535.9759.71313.72421.2340111.77110.8
Overige Investeringsactiviteiten 41.29682.62128.61790.5593.914-24.934-5.333-101.99922.583116.02933.238-117.23560.96440.254251.481348.064-1,071.2-502.333515.224428.29259.56-1.885-386.5879.71375.93633.595031.7012.7
Kasstroom uit Investeringsactiviteiten 54.659308.987.1763.061-50.391-663.456-1,054.171-182.688-1,823.278-980.834-1,183.992-641.868-1,171.459-448.439-276.97-828.233-2,000.551-622.424-166.693-309.548-894.753-267.773-355.612-79.43915.781-202.9-83.95910.544-4.2
Financieringsactiviteiten:
Schuldaflossingen -420.498-459.119-198.991-470.526-335.521418.56225.676-475.021853.332263.139728.00770.703694.887-15.828-606.869554.4691,915.927656.658-305.964-316.465463.87195.355-135.383-287.68357.748-88.624.069-27.2-160.4
Uitgifte van Gewone Aandelen 022.809001,108.991103.655198.566432.881575.368452.0610496.22400328.568294.05334.50815.32520.35951.2825.0154.22120.58424.843068.85.1261.3137.9
Terugkoop van Gewone Aandelen -55.478-20.638-4.749-15.635-25.7291,833.215-19.444000-121,407.275-122.195-40.1110-20.512-80.43-233.305-538.377-61.2370-1.547-14.162000000
Uitgekeerde Dividenden 00-75.298-31.763-5.523-22.082-18.977-17.406-125.881-91.004-90.265-83.299-93.48-92.695-201.689-82.877-72.499-63.065-49.151-42.362-35.719-34.073-34.094-32.973-23.15-26.222000
Overige Financieringsactiviteiten -48.0740-21.916-595.224-41.18538.30877.61-495.759191.483102.565228.835312.267497.433507.336-82.73422.74546.786-191.975240.731-1.619-6.329-0.952-7.8332.970-0.8-0.9949.395-5.9
Kasstroom uit Financieringsactiviteiten -524.05-456.948-223.526-1,097.513-382.229434.786284.309-552.342924.438726.761866.577299.671976.645393.927-452.782767.8781,844.292183.638-632.402-370.403446.837163.004-170.888-292.84334.59812.211-39.456-29.905-105.5
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 000007.13500000000000000000000000
Netto Kasstroomverandering 164.06551.186-140.37-50.435-49.314-46.535-122.542-110.398-128.512192.244-24.831-52.636-87.621357.238-391.655371.49298.759106.93-190.053134.7537.659109.675-6.35-39.027101.892-29.5715.74383.29-22.2
Kaspositie aan het Einde van de Periode 480.771316.706265.52405.89456.325505.639445.452567.994678.392806.904614.66639.491692.127779.748422.51814.165442.673343.914236.984427.037292.284284.625174.95181.3220.32787.953117.52399.7916.4