Trex Company, Inc.

NYSE:TREX

70.21 (USD) • At close December 20, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1.95912.325141.053121.701148.833105.69930.51418.6645.9959.5443.7722.1594.52627.2719.51423.1890.0660.6721.93123.9258.15114.8930001.22
Kortetermijnbeleggingen 000000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 1.95912.325141.053121.701148.833105.69930.51418.6645.9959.5443.7722.1594.52627.2719.51423.1890.0660.6721.93123.9258.15114.8930001.22
Nettovorderingen 50.74798.057160.611123.4589.633102.0975.40248.03947.38636.39137.33826.97729.51453.40239.20416.1098.96424.6220.66121.9645.8290.843.64410.5821.301
Voorraad 107.089141.35583.75368.23856.10657.80134.52428.54623.10423.74722.42817.52128.89629.02145.48569.39792.569111.43456.72644.35745.9522.42933.16823.0178.764.5
Overige vlottende activa 12.45935.10515.6378.6088.6324.6358.35810.422.54516.67612.6425.9839.1182.5434.73626.61418.6246.3815.46128.5934.0683.6643.2521.1671.40.70.1
Totaal vlottende activa 172.254286.842401.054321.997303.204270.225148.798105.64999.0385.24176.1852.637102.054112.236106.571129.791120.223143.10784.779118.83963.99841.82640.06434.76611.47.97.6
Niet-vlottende activa:
Materiële vaste activa, netto 735.635620.883494.936370.919211.349117.144103.11103.286100.92498.716100.783104.425115.212126.857137.027176.336193.944198.525191.21158.389138.062133.57137.223113.63559.533.919.2
Goodwill 14.26314.214.21667.36567.78468.46168.46110.52310.52610.53410.542010.5586.8376.8376.8376.8376.8376.8376.8376.8370000010.1
Immateriële activa 3.9634.44.85.25.66.0422.858000010.550000006.8376.8376.8376.8376.8377.5448.39.30
Goodwill en immateriële activa 18.16318.58219.00173.66574.08474.50371.31910.52310.52610.53410.54210.5510.5586.8376.8376.8376.8376.8376.8376.8376.8376.8376.8377.5448.39.310.1
Langetermijnbeleggingen 00-43.967-22.956-9.831-2.125-1.286-0.894-9.136-9.271-9.497-3.792-0.124-1.004-0.485-15.578-16.007-3.18-1.711-2.975-2.169-2.26900000
Belastingvorderingen 068.22443.96722.9569.8312.1251.2860.8949.1369.2719.4973.7920.1241.0040.48515.57816.0073.181.7112.9752.1692.26900000
Overige niet-vlottende activa 6.833-60.8265.333.9113.6023.2531.9721.5181.3330.6521.0030.2661.8856.0247.5577.7223.8483.4432.9861.5581.3230.5130.650.10.20.3
Totaal niet-vlottende activa 760.631646.863519.267448.495289.035194.897177.429115.781112.968110.583111.977115.978126.036135.579149.888190.73208.503209.21201.49168.212146.457141.73144.573121.82967.943.429.6
Totaal activa 932.885933.705920.321770.492592.239465.122326.227221.43211.998195.824188.157168.615228.09247.815256.459320.521328.726352.317286.269287.051210.455183.556184.637156.59579.351.337.2
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 23.96319.93524.86138.62215.22731.0849.95310.76717.73320.0514.89111.16111.89215.10716.51415.42719.77640.24814.40516.3925.73410.0569.49517.0826.42.61.5
Kortlopende schulden 13.163229.48826.21432.04337.229000700586.4250.590.5451.2931.19853.24713.1018.9320.8860.79525.7590.6976.16.10
Belastingschulden 0000000000000.033000000000.11400000
Uitgestelde opbrengsten 068.2241.4362.4183.7212.573.072032.3660022.0930.033000000006.0890.630000
Overige kortlopende verplichtingen 53.93641.17655.37459.77955.54861.17950.71440.61835.71629.40432.29526.31822.27830.48228.86734.54942.66720.05317.51415.1047.7636.7271.5943.29132.41.9
Totaal kortlopende verplichtingen 91.062290.59988.702106.35378.6792.77562.50951.38560.44949.45447.18642.479120.62846.17945.92651.26963.641113.54845.0240.42814.38317.69236.84821.0715.511.13.4
Langlopende verplichtingen:
Langetermijnschulden 18.8423.97428.26328.57934.2420000000084.19376.634130.441131.7351.3960.50569.56555.69257.17460.33560.70210.82726.3
Uitgestelde opbrengsten niet-vlottend 0022.795020.3170000000004.4700000-2.202-2.77300000
Uitgestelde belastingverplichtingen niet-vlottend 72.43968.22443.96722.9569.8312.1251.2860.8944.5973.7080.367.3532.8193.6141.92515.06815.76317.21715.15815.80813.1749.9157.85.7823.500
Overige niet-vlottende verplichtingen 33.87332.55978.32224.07330.15229.38431.18234.9930.48929.27733.99524.79712.14410.9072.445-27.52223.5650.7471.0531.73600-2.33100.1-0.10
Totaal niet-vlottende verplichtingen 125.152124.757106.58575.60864.39429.38432.46835.88435.08632.98534.35532.1514.96398.71484.954159.764171.05869.35476.71687.10968.86667.08965.80466.48414.426.926.3
Totaal passiva 216.214415.356195.287181.961143.064122.15994.97787.26995.53582.43981.54174.629135.591144.893130.88211.033234.699182.902121.736127.53783.24984.781102.65287.55429.93829.7
Eigen vermogen:
Preferente aandelen 000000000000000.001000000000030
Gewone aandelen 1.411.4081.4071.4060.7020.70.3490.3490.3480.3480.1730.170.1560.1550.1540.1530.1510.1490.1490.1480.1470.1430.1420.1410.100
Ingehouden winsten 1,336.0581,130.674946.048737.311561.68416.942282.37187.242119.39571.29729.776-4.822-7.5424.04629.49241.46227.91106.558104.04101.54174.38653.39736.6227.578.37.92.2
Overige gereserveerde algehele resultaten 00-000-217.008-212.87-206.97-196.132-187.148-176.947-196.8250-0.184-0.265-1.092-0.557-0.278-1.557-2.357-3.216-4.119-0.856-14.108-8.2-4.6-2.4
Overige totale aandeelhoudersvermogen -620.797-613.733-222.421-150.186-113.207-74.679-51.469-53.43-3.2841.7476.66798.63899.88598.90596.19768.96566.52362.98661.90160.18255.88949.35446.07941.334177.7
Totaal eigen vermogen van aandeelhouders 716.671518.349725.034588.531449.175342.963231.25134.161116.463113.385106.61693.98692.499102.922125.579109.48894.027169.415164.533159.514127.20698.77581.98569.04149.413.37.5
Totaal eigen vermogen 716.671518.349725.034588.531449.175342.963231.25134.161116.463113.385106.61693.98692.499102.922125.579109.48894.027169.415164.533159.514127.20698.77581.98569.04149.413.37.5
Totaal passiva en aandeelhoudersvermogen 932.885933.705920.321770.492592.239465.122326.227221.43211.998195.824188.157168.615228.09247.815256.459320.521328.726352.317286.269287.051210.455183.556184.637156.59579.351.337.2