Tyler Technologies, Inc.

NYSE:TYL

580.25 (USD) • At close September 19, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 165.919164.24161.458194.82146.527147.462163.945109.85764.86958.9439.10132.99427.55725.05427.0114.86217.50114.3628.19310.12826.4027.9890.269-24.597-0.064-8.4-3.3-61.3-17-4.71.33.21.23.6
Afschrijvingen & Amortisatie 170.767159.072135.62481.65776.67261.75953.92550.30119.57414.60513.78612.71110.67610.7889.49712.61111.21110.10210.44311.3869.3968.52210.919.68611.2615.52.14.54.612.810.61110.48.7
Uitgestelde Inkomstenbelasting -73.704-87.192-13.271-7.936-6.088-5.069-29.865-28.939-7.956-3.804-1.497-0.215-2.916-0.959-1.73-2.151-1.598-2.52-2.2-0.34.6283.3841.258-4.1020.5460.2-1.5-430-1.1-1.2-0.82.2
Aandelen Gebaseerde Vergoedingen 108.338102.985104.72667.36559.96752.7437.34829.74720.18214.81911.6537.4116.2536.1325.0453.82000000000000000000
Verandering in Werkkapitaal 0.41126.555-29.8319.884-33.269-8.975-33.70826.40935.90256.38230.52513.5717.65-4.8262.7068.5173.8790.4633.183-0.0454.8231.3330.65-1.175-9.339-4.6-7.51-0.6-127.3-1.610.7-9.7
Vorderingen -39.878-51.4117.608-10.733-65.738-53.771-35.558-30.227-28.172-8.912-7.488-6.825-8.544-1.989-6.277-11.853000000000000000000
Voorraden -59.7090-47.366-27.1-19.3763.60934.6829.8427.527.3268.0627.19410.7570000000000000-5.60.62.7-11.95.7-3.52.4-2.9
Crediteuren 41.485-17.537-44.947-0.9677.403-2.4160.8780.3870.6521.586-0.574-0.3690.575-1.1811.19-0.87000000000000000000
Overig Werkkapitaal 58.51395.50244.87448.68444.44243.603-33.70826.40935.90256.38230.52513.5714.862-1.6567.79321.240000000000-1.90.4-3.3-0.11.61.98.3-6.8
Overige Niet-Contante Posten 8.70915.79513.0479.29910.9112.2864.114.484-43.558-17.505-27.478-7.803-2.785-0.8390.41310.1433.1184.3971.5680.99-22.714-1.3830.3612.069-2.760.13.46625.51.30.20.10.1-0.1
Kasstroom uit Operationele Activiteiten 380.44381.455371.753355.089254.72250.203195.755191.85989.013123.43766.0958.66856.43535.3542.94147.80234.11126.80421.18722.15922.53519.84512.744-6.4360.6542.1-6.87.315.9-2.618.311.621.6-0.7
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -53.009-50.151-55.612-28.466-42.04-27.424-43.057-37.726-12.501-9.343-26.858-9.102-12.278-4.93-12.352-30.155-3.845-4.324-1.734-2.267-1.796-9.718-4.454-4.846-6.545-39.5-6.9-3.6-2.1-14-10.9-8.8-5.1-14.1
Netto Overnames -62.759-163.921-2,089.706-1.292-218.734-178.093-11.344-9.394-339.961-3.242-0.181-25.68-17.298-9.661-2.934-23.868-9.005-12.2370-0.9460.1270-2.75-3.073-25.949000000000
Aankoop van Beleggingen -10.617-29.935-77.45-166.618-54.742-115.625-59.779-20.316-46.90700000-0.918-9.245-67.545-26.825-17.884-12.277-27.7580000000000000
Verkoop/verval van Beleggingen 49.41271.034131.44997.74270.79681.20528.78616.8370.90.8081.090.0750.056.0752.545.06545.9819.01621.46410.055160000000000000
Overige Investeringsactiviteiten 0.0130.4430.3840.314-0.2951.682-0.001-0.1210.010.2220.291-0.0290.717-0.1780.0468.6490.140.044-0.026-4.47912.8371.744-2.50273.327.7512.84.68.850.2-59.90.7-0.7-24.10.3
Kasstroom uit Investeringsactiviteiten -76.96-172.53-2,090.935-98.32-245.015-238.255-85.395-50.72-398.459-11.555-25.658-34.736-28.809-8.694-13.658-9.554-34.275-24.3261.82-9.914-0.59-7.974-9.70665.401-24.743-36.7-2.35.248.1-73.9-10.2-9.5-29.2-13.8
Financieringsactiviteiten:
Schuldaflossingen -345-360-145000-10-56-63.8660-18-42.700-8000000000000000000-31.5
Uitgifte van Gewone Aandelen 33.15615.761109.872135.27596.90874.90749.84523.52723.160002.0451.901004.743.9182.8362.6131.6731.6220.239.2890.0190.24.1000.20.10.813.2
Terugkoop van Gewone Aandelen 0-0.89-12.977-15.484-17.786-146.553-7.474-111.838-0.645-22.81700-71.802-65.793-18.263-59.847-14.037-10.531-17.683-12.518-24.104-40000-1.600-3.2-2.2-1.2-0.4-3.6
Uitgekeerde Dividenden 000000000000000000000000000000000-0.4
Overige Financieringsactiviteiten 33.15615.7611,582.707-5.6199.57682.95846.889-26.237137.01138.22632.038-18.85241.34329.6544.91413.7191.8910.614-14.847-0.035-2.99-1.02-6.214-61.31124.93627.700-62.763.500.1063.1
Kasstroom uit Financieringsactiviteiten -311.844-344.2391,424.73114.17288.698-63.59539.415-138.075136.36615.40932.038-18.852-28.414-34.238-21.349-46.128-7.406-5.999-14.847-9.94-25.421-3.398-5.984-52.02224.95527.92.50-62.760.5-2.1-0.30.630.8
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 000000000000000000000000034.69.10-6476.5-8.1-2.17.614.5
Netto Kasstroomverandering -8.364-135.314-294.452370.94198.403-51.647149.7753.064-173.08127.29172.475.08-0.788-7.5827.934-7.88-7.57-3.5218.162.305-3.4768.473-2.9466.9430.86627.92.512.5-62.760.5-2.1-0.30.630.8
Kaspositie aan het Einde van de Periode 165.493173.857309.171603.623232.682134.279185.92636.15133.087206.16778.8766.4061.3262.1149.6961.7629.64217.21220.73312.57310.26813.7445.2718.932.42436.317.915.7-60.878.5101017.931.8