Unisys Corporation

NYSE:UIS

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

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Operationele Activiteiten:
Nettowinst -430.7-104.9-449.8751.2-13.378.9-65.9-36.7-103.259.3120.1156.8141.2164.1193-130.1-79.1-278.7-1,731.938.6258.7223-49.9244.8522.8387-853.661.8-624.6108.2361.6296.2-1,393.3-436.7-639.3
Afschrijvingen & Amortisatie 138.8119105.495.283.697.3102.8103.7124.4110.5106.1116.7194.8250.6352.5418380.5388.5374.2394342.6297.8302.2271265.2266.41,216.9329.7395.6450.2476.7530.2951.6752.2704.2
Uitgestelde Inkomstenbelasting 24.5-8.3-59.2-13.44.48.2110.893.3126.882.3103.531.4-7.2-34.4-87.9-9.982.7-66.51,491.2-41.257.239.4-44.485.6-9.9-26.8-25.3-51-223.1-55.8202.6-12.2-3914.614.4
Aandelen Gebaseerde Vergoedingen 17.22018.814.513.213.211.29.59.410.412.514.325.79.40.700000000000000000000
Verandering in Werkkapitaal -26.9-94.2-52.3-15-55.2-142.579.4120.1-68.2-23.6-60.5-113.1-128.9-96.4-81.1-83.4-247.5127.4109.4-65.8-109.9-247.611.7-161.7-311.525.1-56.7-406.2502.2130.4-53.6-16.61,312.3981.1382.9
Vorderingen 4.215.5149.4-3.4-8.3-50.55.987.3-11.5-14.3-63.5-11.200000000000000000000000
Voorraden 0-8636.1-5.54.115.3-3.76.3-6.514.222.112.41427.210.719.420.92354.15379.7-52.59898.281.532.1-15.4-19.1119.9151372.3303.1722.7
Crediteuren -20.9-103.8-149.43.4-114.4-62.248.67.1-61.100000000000000000000000000
Overig Werkkapitaal -10.22.1-58.3-1861.4-13775.3104.8-64.5-29.9-54-127.3-151-108.8-95.1-110.6-258.210888.5-88.8-164-300.6-68-109.2-409.5-73.1-138.2-438.3517.6149.5-173.5-167.6940678-339.8
Overige Niet-Contante Posten 351.381.1569.6-1,513.791.218.8-71.9-71.7-88-117.5-94.355.291.643.519.642.955.16.753.434.7-19.411.9-17.2-19.863.1-1.7102.2-11.950.315.832.4378.987.929.25
Kasstroom uit Operationele Activiteiten 74.212.7132.5-681.2123.973.9166.4218.21.2121.4187.4261.3317.2336.8396.8254.6173.128.7282469.8529.2324.5202.4419.9517.6650364.4-110.2756648.81,019.71,176.5919.51,340.4467.2
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -78.7-77.3-81.7-100-111.3-116.3-90.2-95.8-111.7-126.9-111.5-96.5-134.4-203.1-201.3-294.5-309-175.5-112-314.5-5,122.1-196.2-208.5-198.3-273.5-207.3-179.9-162.3-195-225.7-196.8-251.7-248.3-460.1-615.4
Netto Overnames -1.2-0.3-239.31,162.9-7380.7-64.4-63.3-62.1-73.6-0.15.2-15.6117.2-1.9-6.4-1.2-1.1-1.5-19.4-256.6-4.80-13.947.9-3.9-22.2-17.9-42.324.8090.3344.1155.3146
Aankoop van Beleggingen -2,740.4-3,380.4-4,168.1-3,379.2-3,566.1-3,722-4,692.4-4,490-3,806.2-5,640.3-5,325.8-4,107.2-688.2-416.5-489.6-6,190.3-7,728.3-7,535.9-7,835.3-6,054.3-144.1-3,485.4-3,009-716.7-1,013.8-2,006.5-1,629-1,845.9-3,329.6-1,913.6-2,135.3-2,107.4-3,624.3-3,912.6-3,759.7
Verkoop/verval van Beleggingen 2,751.63,336.14,148.23,388.53,568.93,7084,717.24,455.93,831.65,6545,315.94,108.5691.2417.4404.16,208.27,718.57,5227,726.26,026.55,0543,447.13,028.7790.41,033.81,9911,667.31,846.13,326.31,990.61,967.72,060.13,652.93,775.33,889.7
Overige Investeringsactiviteiten -0.9-9.5-19.4-30.623.3-135.4-22.711-29.5-8.5-41.2-36.750.723.417.4029.3299.6-120.4-117.90-139.9-136.8-132.4-122.8-48.3-127.8-38.8-92.7-121.326.5-110.2-167.2-208.9-272.4
Kasstroom uit Investeringsactiviteiten -69.6-131.4-360.31,041.6-158.2-185-152.5-182.2-177.9-195.3-162.7-126.7-96.3-61.6-271.3-283-290.7109.1-343-479.6-468.8-379.2-325.6-270.9-328.4-275-291.6-218.8-333.3-245.2-337.9-318.9-42.8-651-611.8
Financieringsactiviteiten:
Schuldaflossingen -16.9-17.8-103.1-454.8-14.4-2.3-107.5-129.8-10.400-388.9-555.7-92.8-3000000000000000000000
Uitgifte van Gewone Aandelen 004.5000003.7000000012.31.612.838.831.5033.651.187.779.10000000150245.7
Terugkoop van Gewone Aandelen 000000000-35.7-11.70000000000000-1970-15000000000
Uitgekeerde Dividenden 000000000-4-16.2-16.2-12.200000000000-59.4-106.5-113.1-120.8-120.2-228-183.7-46.1-26.5-229.8-264.2
Overige Financieringsactiviteiten -0.4-3.8-6.9459.9-23.6-2.5437.4113.11012.84.9200.7248.51.3-16.1-200.9197.3-79.549.6-23.522425.338-268.4-159.7-543.3-11372-62.3-133.5-434.5-791.6-437.1-190.3164.5
Kasstroom uit Financieringsactiviteiten -17.3-21.6-105.55.1-38-4.8329.9-16.790.6-36.9-23-204.4-319.4-91.5-46.1-200.9209.6-77.962.415.3255.525.371.6-217.3-328.4-570.7-274.1251.2-182.5-361.5-618.2-837.7-463.6-270.1146
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 6.7-17.6-12.8-10.60-24.119.2-13.9-43-34.7-17.510.5-14.9-324.2-56.918.916.9-19.419.118.25.3-0.5-17.7-13.2-3-24.9-7.35.7-9.1-37.3-24.4-2.9-25.1-18.5
Netto Kasstroomverandering -4.1-157.9-346.1354.9-72.3-1403635.4-129.1-145.5-15.8-59.3-113.4180.7103.6-286.2110.976.8-1824.6334.1-24.1-52.1-86-152.4-198.7-226.2-85.1245.93326.3-4.5410.2394.2-17.1
Kaspositie aan het Einde van de Periode 387.7402.7560.6906.7551.8624.1764.1370.6365.2494.3639.8655.6714.9828.3647.6544830.2719.3642.5660.5635.9301.8325.9378464604.38031,029.21,114.3868.4835.4809.1813.6403.49.2