UFP Technologies, Inc.

NASDAQ:UFPT

344.86 (USD) • At close November 8, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 5.2634.45111.11724.2343.7433.23837.97831.35929.80434.05237.30333.4829.84924.43414.9996.7299.061.0170.2650.3180.310.0260.0270.0940.30.50.20.10.50.41.40.20.7
Kortetermijnbeleggingen 000000000000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 5.2634.45111.11724.2343.7433.23837.97831.35929.80434.05237.30333.4829.84924.43414.9996.7299.061.0170.2650.3180.310.0260.0270.0940.30.50.20.10.50.41.40.20.7
Nettovorderingen 65.74655.11739.38426.42828.64828.32121.38121.24917.48116.4717.03217.83616.70516.04714.21812.75511.79511.62915.311.8199.5598.5429.45310.6939.77.96.45.64.94.64.74.43.5
Voorraad 70.19153.53633.43618.64218.27619.57612.86314.15114.20212.89311.0489.6959.7598.0447.6478.1535.8775.936.4425.2364.4134.6935.2036.785.24.13.12.62.42.42.11.71.9
Overige vlottende activa 3.4333.2423.3832.562.5834.4912.8523.0882.1164.9983.4493.4831.7282.2441.8872.0051.8431.7991.5741.1921.5540.380.880.9460.60.70.10.60.70.50.40.60.3
Totaal vlottende activa 144.633116.34687.3271.86453.2555.62675.07469.84763.60368.41368.83264.49458.0450.7738.75129.64228.57520.37423.5818.56515.83515.12217.19918.51315.813.29.88.98.57.98.66.96.4
Niet-vlottende activa:
Materiële vaste activa, netto 75.72558.07265.89353.75556.73957.66753.65248.51646.55534.84325.50723.31813.34612.57512.21811.7549.49210.13710.97311.38411.47311.20612.04512.45410.610.911.29.77.66.26.53.53
Goodwill 113.263113.028107.90551.83851.83851.8387.3227.3227.3227.3227.3227.0396.4816.4816.4816.4816.4816.4816,481.0376,481.0376,481.0376,481.0376.4060000000000
Immateriële activa 64.11668.36167.58519.71820.97522.23200.3180.6360.9531.3462.0840.3980.5940.8180006.4816.4816.4816.48106.7254.54.72.52.63.744.200
Goodwill en immateriële activa 177.379181.389175.4971.55672.81374.077.3227.647.9588.2758.6689.1236.887.0757.2996.4816.4816.4816.4816.4816.4816.4816.4066.7254.54.72.52.63.744.200
Langetermijnbeleggingen 00-3.263-5.057-4.921-4.129-9.762-11.099-10.841-9.417-9.89-1,125.082-1,168.749-1,208.848-1,418.079-1,488.57500000000000000000
Belastingvorderingen 0.6071.4483.2635.0574.9214.1292.443.4592.8831.1421.2221,115.9591,168.7491,208.8481,410.781,488.5750.1891.3872.4942.6972.3851.6481.5940000000000
Overige niet-vlottende activa 5.79220.2895.4296.0295.9562.2359.4819.5719.79210.43410.68110.8051.4551.3898.4830.8450.8160.6570.4720.5050.5750.9260.8582.66111.11.71.7110.910.9
Totaal niet-vlottende activa 259.503261.198246.812131.34135.508133.97263.13358.08756.34745.27736.18834.12321.68121.03920.70119.08116.97818.66320.4221.06720.91420.26120.90321.83916.116.715.41412.311.211.64.53.9
Totaal activa 404.136377.544334.132203.204188.758189.598138.207127.934119.95113.69105.0298.61779.72171.80959.45248.72345.55339.0374439.63236.74935.38338.10240.35231.929.925.222.920.819.120.211.410.3
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 22.28619.96110.6114.1214.5776.8364.184.0024.5985.3983.0814.0883.3445.1694.2743.3045.6944.626.0633.6662.6322.5963.8084.442.42.61.52.21.82.33.421.5
Kortlopende schulden 7.22246.2391.1690.6742.857-0.2970.8561.0110.9930.9761.550.5810.6540.6231.4191.4191.7679.7169.4848.1737.1697.3956.08465.23.52.43.32.80.92.21.7
Belastingschulden 1.2971.6820.9090.0160.2792.2851.0170.8071.1863.1921.5371,713.6870.321,414.026000000419.658380.375879.5230000000000
Uitgestelde opbrengsten 6.6164.6794.2471.8872.5742.5070.2970001.42704.39800000000000000000000
Overige kortlopende verplichtingen 22.08527.12113.6097.968.4838.4585.7634.6985.3745.2226.8387.5931.1426.6796.1536.236.515.754.483.9853.8213.8165.0193.853.83.32.31.81.41.31.21.31
Totaal kortlopende verplichtingen 58.20955.76134.70615.13716.30820.6589.9439.55610.98311.61312.32213.2319.46512.50211.0510.95413.62312.13820.2617.13414.62613.58116.22114.37412.211.17.36.46.56.45.55.54.2
Langlopende verplichtingen:
Langetermijnschulden 285178.1181.0362.41622.286000.8591.8732.8678.3145.6396.8477.5024.8526.2716.9217.657.4978.1196.8516.8277.5892.72.13.23.22.51.61.91.82.2
Uitgestelde opbrengsten niet-vlottend 10.8150.4484.337-6.093-7.337-14.21500-2.883-3.588-2.436-1.59-3.006-1.905-0.777-0.2410000000000000002.20
Uitgestelde belastingverplichtingen niet-vlottend 0.4280.4483.2635.0574.9214.1292.443.4592.8833.5882.4361.591.2920.8810.7770.11300000000000000.20.30.20
Overige niet-vlottende verplichtingen 20.59332.34219.26211.17410.45916.2832.1121.8664.5365.2124.2413.8114.3463.2571.8951.1550.8320.7380.6960.7810.8570.90.8990.8620.80.80.60.60.40.40.3-2.20
Totaal niet-vlottende verplichtingen 59.83684.238104.9811.17410.45928.4834.5525.3255.3957.0857.10812.1258.2719.089.3975.8797.1037.6598.3458.2788.9767.7517.7268.4513.52.93.83.82.92.22.522.2
Totaal passiva 118.045139.999139.68626.31126.76749.14114.49514.88116.37818.69819.4325.35617.73621.58320.44716.83220.72619.79628.60525.41223.60221.33223.94722.82515.71411.110.29.48.687.56.4
Eigen vermogen:
Preferente aandelen 000000000000000.47000000000000000000
Gewone aandelen 0.0760.0760.0750.0750.0740.0740.0730.0720.0720.0710.0690.0670.0660.0630.0590.0570.0540.0520.0480.0470.0450.0440.0420.044000000000
Ingehouden winsten 247.52202.596160.807144.921131.552111.80297.56288.35280.38272.78965.2353.95443.05932.71323.46617.53612.428.2615.7465.0874.2165.7325.9669.0097.96.24.63.321.13.63.83.8
Overige gereserveerde algehele resultaten 0.268-0.61000-54.112-53.064-48.29-44.009-40.98-39.067-36.251-34.289-32.882-31.365-28.912-28.777-27.075-25.751-23.279-21.7-18.001-16.334-13.464-11.1-9.1-8.9-7.5-6.2-5.3-4.5-4.1-3.7
Overige totale aandeelhoudersvermogen 38.22735.48333.56431.89730.36582.69379.14172.91967.12763.11259.35855.4952.47549.80646.37442.68740.54637.38734.71731.93130.1326.27624.48121.93919.418.818.416.915.614.713.14.23.8
Totaal eigen vermogen van aandeelhouders 286.091237.545194.446176.893161.991140.457123.712113.053103.57294.99285.5973.26161.31149.739.00531.36724.24318.62514.76113.78712.69114.0514.15417.52716.215.914.112.711.410.512.23.93.9
Totaal eigen vermogen 286.091237.545194.446176.893161.991140.457123.712113.053102.98594.99285.5973.26161.98550.22639.47631.8924.82619.24115.39514.2213.14714.0514.15417.52716.215.914.112.711.410.512.23.93.9
Totaal passiva en aandeelhoudersvermogen 404.136377.544334.132203.204188.758189.598138.207127.934119.95113.69105.0298.61779.72171.80959.45248.72345.55339.0374439.63236.74935.38338.10240.35231.929.925.222.920.819.120.211.410.3