UFP Industries, Inc.

NASDAQ:UFPI

131.62 (USD) • At close November 13, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 489.173704.964552.364253.882182.404152.412124.04105.49785.13261.56445.80426.014.54917.41124.2724.34321.04570.12567.37348.60340.11936.63733.14230.43831.426.41717.814.110.710.4
Afschrijvingen & Amortisatie 131.89113.56298.13272.6866.81961.34253.39643.61841.24136.32333.56433.37935.98737.34841.22547.36747.58139.52234.79630.83627.54724.63924.47621.46218.215108.37.65.74.7
Uitgestelde Inkomstenbelasting -5.573-16.2895.6531.8577.1760.857-8.6292.464-1.3694.9264.4532.526-1.939-2.7084.744-7.747-4.134-1.1-7.3770.791.7463.1024.5870.237-0.81.3-0.6-0.61.10.9-1.5
Aandelen Gebaseerde Vergoedingen 34.89928.15611.2244.0344.0073.5743.8052.3351.9552.0131.9321.3671.3612.4181.7061.136000000000000000
Verandering in Werkkapitaal 287.722-12.323-142.688-2.72189.843-96.784-35.14118.87342.072-27.914-32.391-63.655-32.745-28.58557.30235.93913.87943.213-27.455-31.081-1.435-48.45114.40614.446-16.823.4-8.1-20.219.127-41.4
Vorderingen 81.659130.704-85.439-87.552-16.872-8.512-30.787-5.119-26.007-9.71-17.886-32.274-7.043-18.42831.0714.287000000000000000
Voorraden 250.5610.718-260.301-76.02273.12-84.304-49.262-3.24534.139-49.575-42.287-45.529-4.496-24.94631.52242.92227.79522.262-36.501-42.817-3.555-40.7810.05113.001-23.120.1-20.8-19.512.828.6-31.2
Crediteuren -3.578-137.90778.0662.405-24.132-5.21321.15911.2594.79815.396.75616.281-9.9649.646-253.391-20.153000000000000000
Overig Werkkapitaal -40.92-5.838124.99298.44857.7271.24523.74915.97829.14215.98121.026-2.133-11.2425.143248.18.883-13.91620.9519.04611.7362.12-7.6714.3551.4456.33.312.7-0.76.3-1.6-10.2
Overige Niet-Contante Posten 21.77913.497-12.2086.745-0.958-4.716-0.888-0.267-0.235-3.792-0.001-5.3484.0433.453-0.9037.5136.679-3.9986.7951.0862.3980.7021.4450.4220.50.10.1-10.10.10.3
Kasstroom uit Operationele Activiteiten 959.89831.567512.477336.477349.291116.685136.583172.52168.79673.1253.361-5.72111.25629.337128.34688.55187.078152.32274.13250.23470.37516.62978.05667.00532.566.619.14.341.743-27.5
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -180.382-174.124-151.166-89.182-84.933-95.862-71.116-53.762-43.522-45.305-40.166-30.439-33.107-31.539-15.604-18.944-39.36-43.504-40.233-40.722-40.578-31.351-22.748-29.436-35.4-126.6-13.6-9.1-14.3-18-14.5
Netto Overnames -54.51-180.151-475.96-65.255-39.122-54.017-60.587-80.969-3.761-34.641-11.478-16.9740-6.5290-23.338-57.087-71.814-20.747-10.075-0.787-17.54-49.534-32.5570000000
Aankoop van Beleggingen -29.806-19.875-23.797-28.054-13.352-13.338-13.518-5.666-7.89100000-0.6730000000000000000
Verkoop/verval van Beleggingen 29.93512.87414.88224.8059.8283.6785.1032.5681.1480000000000000000000000
Overige Investeringsactiviteiten -5.4017.3424.8542.968-14.45838.3072.459-89.647.20912.8838.04119.3680.107-4.70512.94830.9154.4763.6135.57113.5419.9530.1193.788-0.6985.4-1.50.8-101.61.30.3
Kasstroom uit Investeringsactiviteiten -240.164-353.936-611.187-154.718-142.037-121.232-137.659-227.469-46.817-67.063-43.603-28.045-33-42.773-3.329-11.367-91.971-111.705-55.409-37.256-31.412-48.772-68.494-62.691-30-128.1-12.8-19.1-12.7-16.7-14.2
Financieringsactiviteiten:
Schuldaflossingen -1.692-41.1673.377150.364-38.4859.80130.7423.708-13.61413.945-11.0943.316-2.8541.365-48.664-104.9726.182-40.9280.42-5.169-33.2164.50414.9323.24711.760.2-1.8-2.8-4.5-26.913.2
Uitgifte van Gewone Aandelen 2.752.7692.1161.3951.0931.0260.660.5361.0740.5412.1442.0612.9712.3332.422.9573.5395.9384.4872.861.2810.8430.870.480.90.50.60.300.133.7
Terugkoop van Gewone Aandelen -82.149-95.7740-29.2120-24.629-12.9770-0.8-4.866000-4.999-3.3790-8.77700-0.129-2.029-39.687-1.536-8.15-10.50-1.1-0.800-3.2
Uitgekeerde Dividenden -68.238-58.86-40.209-30.669-24.549-22.072-19.607-17.68-16.507-12.205-8.166-7.905-7.818-7.727-5.287-5.938-2.185-2.072-3.139-2.919-2.522-2.95-1.683-1.605-1.5-1.5-1.1-1-1.8-0.9-0.8
Overige Financieringsactiviteiten -13.531-17.178-10.29-6.657-5.332-9.733-4.063-3.353-3.155-2.62-1.31-0.777-2.613-1.583-1.495-3.153-1.3691.338-0.7670.223-2.5870-1.65000.1-1-0.2-0.30.20
Kasstroom uit Financieringsactiviteiten -162.86-210.21-45.00685.221-67.2684.393-5.2473.211-33.002-5.205-18.42236.695-10.314-10.611-56.135-107.452-2.61-35.7242.218-5.134-39.06722.7110.933-6.0280.659.3-4.4-5.4-7.7-27.542.9
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 5.7670.979-1.6690.9620.482-0.4640.65-1.927-1.221-0.852-0.0620.2440000000000000.161.5-6.314.8-29-26.341.7
Netto Kasstroomverandering 562.633268.4-145.385267.942140.468-0.618-5.673-53.66587.7560-8.7263.173-32.058-24.04768.882-30.268-7.5034.89320.9417.844-0.104-9.43320.495-1.7143.259.3-4.4-5.4-7.7-27.542.9
Kaspositie aan het Einde van de Periode 1,122.256559.623291.223436.608168.66628.19828.81634.09187.7560-1.07914.47811.30543.36382.21913.33743.60551.10846.21525.27417.4313.45422.8872.3924.162.5-3.116.1-7.6-26.243