Universal Electronics Inc.

NASDAQ:UEIC

6.29 (USD) • At close July 16, 2025
Overview | Financials

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

2024202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991
Operationele Activiteiten:
Nettowinst -24.029-98.2380.4075.30138.5723.6311.924-10.32320.38429.17332.53422.96316.55319.94615.08114.67515.80620.2313.529.7019.1136.2675.93911.28611.6017.745.6-6.5-2.30.3-12.84.92.61.1
Afschrijvingen & Amortisatie 18.05822.92724.03326.74729.73531.92633.60231.31226.96720.45218.24418.36317.61317.3358.0596.8016.0844.6754.1873.7023.0943.3583.7024.13.7853.6162.62.11.61.30.90.50.20.1
Uitgestelde Inkomstenbelasting -0.256-1.1491.377-1.56-0.478-1.7793.9677.5970.37-2.279-0.538-0.7432.453-0.763-2.209-1.141-0.4480.219-0.637-0.130.35-0.8490.699-0.1942.6974.2532.9-3.5-2.5-0.1-2.70.1-0.40
Aandelen Gebaseerde Vergoedingen 7.76310.10211.21211.06110.2588.8458.8211.94310.3247.9136.4445.3424.5755.245.5315.053-0.3443.5213.1170.406221.835341.28298.0300000000000
Verandering in Werkkapitaal 034.44-28.809-9.8782.90520.077-23.572-36.457-14.162-31.0942.22-18.574-1.356-32.4215.882-5.4020.634-11.527-6.076-5.795-14.4389.1473.9842.349-6.9970.115-1.9-7.610.25.8-11.5-40.1-9.2-3.5
Vorderingen -12.1745.0412.7652.00714.88417.2035.455-22.192-3.882-29.406-7.966-4.509-8.9983.14213.464-4.206-1.478-5.033-7.12-6.966-6,062.432-828.9144,130.8838,373.9310000000000
Voorraden 6.23951.458-9.913-14.98528.295-19.581-19.87-29.916-14.8-31.877-8.161-15.3532.987-30.597-4.099-0.354-12.219-9.194-0.28-7.128-7.311-3.340.6532.148-4.9931.341.80.77.912.7-9.8-38.6-2.5-3.4
Crediteuren 15.733-21.379-28.670.87-33.54314.233-7.38610.9710.45133.30919.9642.2858.186-4.3190.784-2.09615.5573.9822.5465.4162,213.68111,006.067-257.007-5,507.720000000000
Overig Werkkapitaal 0-0.679-2.9912.23-6.7318.222-1.7714.681-5.931-3.12-1.617-0.997-3.531-0.647-4.2671.254-1.226-1.282-1.2222.8833,841.625-10,164.666-3,870.545-2,866.01-2.004-1.225-3.7-8.32.3-6.9-1.7-1.5-6.7-0.1
Overige Niet-Contante Posten 14.34957.1083.9059.704-6.46422.558-21.8869.7165.2181.9294.5693.3433.7055.4633.2214.0018.422.8193.1016.245-215.963-339.96-96.1752.1780.3551.7510.5-0.11.40.111.700.10.1
Kasstroom uit Operationele Activiteiten 14.82225.1910.92640.28373.39285.25712.85513.78849.10126.09463.47330.69443.54314.835.56523.98730.15219.93717.21214.1293.99119.24516.1819.71911.4417.4769.7-0.28.67.7-13.4-34.6-6.7-2.2
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa 0-8.116-20.585-17.041-23.234-23.968-22.663-42.333-42.563-35.384-18.419-11.674-11.603-14.694-9.818-7.343-7.42-6.183-5.068-3.137-2.658-2.47-2.124-0.143-2.7510-5.6-2.7-3.6-3-2.5-1.4-0.6-0.2
Netto Overnames 00-0.9390-0.5046.238-8.8944.845-12.2650000-74.133-9.502000-0.9-12.7540-0.132-3.197-1.494-3.81300000000
Aankoop van Beleggingen 00-7.48700000-4.797000001.378-49.24600000-22-14.700000000000
Verkoop/verval van Beleggingen 007.803000004.7970000049.2461.1720000044.512.300000.1000000
Overige Investeringsactiviteiten -8.428-5.761-6.263-4.455-6.872-2.655-5.053-1.949-4.797-2.395-1.853-1.319-1.14-14.694-1.378-1.172-7.42-6.183-5.068-4.037-1.147-0.848-1.683-3,340.261-0.48700.7-0.200-0.7-0.5-0.1-0.1
Kasstroom uit Investeringsactiviteiten -8.428-13.877-21.208-17.041-23.734-23.96823.575-51.227-42.515-47.649-18.419-11.674-11.603-14.694-34.705-66.091-7.42-6.183-5.068-4.037-16.55819.182-6.339-3.34-4.732-3.813-4.9-2.8-3.6-3-3.2-1.9-0.7-0.3
Financieringsactiviteiten:
Schuldaflossingen 003236-48-33.5-36.588.013-0.0135000-16.4-18.631.166000000-0.041-0.063-0.05-0.061-4.786-2.54.1-2.9-5.411.5-8.95.41.8
Uitgifte van Gewone Aandelen 00000000000000001.15812.5977.4972.86403.343000.5923.0361.50.30.10.10.251.32.30
Terugkoop van Gewone Aandelen -1.957-1.779-13.035-59.664-17.678-1.928-13.824-39.085-12.647-89.395-16.168-3.607-3.451-9.785-10.145-7.747-26.689-14.519-2.589-6.11-6.695-0.963-5.274-4.42900-3.5-0.7-2.600000
Uitgekeerde Dividenden 000000000-0.078000000000000000000000000
Overige Financieringsactiviteiten 0-331.5361.638-0.286-3.803-2.9941.4428.2144.2538.12213.6452.2732.1162.2543.5251.5023.320.275000-0.0110000.1-0.1000000
Kasstroom uit Financieringsactiviteiten -19.764-34.77920.501-22.026-65.964-39.231-53.31850.37-4.004-35.142-8.04610.038-17.578-26.26923.275-4.222-25.1871.3985.183-3.246-4.812.338-4.013-2.730.531-1.75-4.43.6-5.4-5.311.742.47.71.8
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -2.598-0.523-4.2922.444-0.843-0.9632.756-1.104-4.937-2.858-0.6612.5230.8591.2861.0980.104-8.9175.3835.107-5.6771.368-0.348-1.934-0.1880.284-0.115-4.83-5-4.70.1-0.17.42.5
Netto Kasstroomverandering -15.968-23.9895.9273.66-17.14921.095-14.13211.827-2.355-59.55536.34731.58115.221-24.87725.233-46.222-11.37220.53522.4341.169-16.00940.4173.89413.4627.52211.798-4.43.6-5.4-5.3-4.85.87.71.8
Kaspositie aan het Einde van de Periode 26.78342.75166.7460.81357.15374.30253.20762.43850.61152.966112.52176.17444.59329.37254.24929.01675.23886.6166.07543.64142.47258.48118.06434.2720.80913.286-3.34.1-4.5-3.91.46.17.92.6