United States Cellular Corporation

NYSE:USM

59.1 (USD) • At close November 4, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Operationele Activiteiten:
Nettowinst 58351602331331641549247.295-46.922144.522141.076198.744155.408237.77632.99314.734179.49134.748109.02160.774-14.288173.876234.438300.8216.9111.5129.999.716.4-25.46.2-24.4-14.7-18.3
Afschrijvingen & Amortisatie 656700678683702640615618606.455605.997803.781608.633573.557577.054594.115870.452582.269575.112509.072497.942432.333351.154300.658265.698230207.8132.4108.890.566.445.930.220.412.59.1
Uitgestelde Inkomstenbelasting 473341130-4-3-365655.30657.604-75.34849.244203.26471.37845.439-83.121-26.503-32.94664.01565.64850.611-11.74341.96123.612134.1107.224.163.18.7000000
Aandelen Gebaseerde Vergoedingen 232427324137302624.74822.38315.84421.46620.18318.04416.36215.1220000000000000000000
Verandering in Werkkapitaal -35-109-21157-272-212-280-250-161.488-427.401-201.986-24.105-75.141-37.702-122.317-111.483-7.7-102.67-66.882-8.99342.94320.143-64.69355.939-50.515.826.2-42.617.325.832.64.1-8.14.15.6
Vorderingen 17-59-27-8-46-39-68-23-95.7312.547-291.759-64.816-82.175-75.252-109.817-68.039025.08816.57815.609000000000000000
Voorraden 62-88-2716-20-4-2358117.764-28.878-82.422-28.786-14.6440.277-35.992-15.56316.312-24.18-15.571-5.876-16.4992.639-7.198-19.05300000000000
Crediteuren -8512-57145-693-14484.931-95.58785.199-4.97729.802-18.652.622-3.4790-1.007-28.50820.749000000000000000
Overig Werkkapitaal -2926-100-96-137-17237-283-188.453-315.48386.99674.474-8.12815.873-29.13-24.402-24.012-102.571-39.381-39.47559.44217.504-57.49574.992-50.515.826.2-42.617.325.800000
Overige Niet-Contante Posten 1171491071021248345452-217.202-39.319-395.916102.97767.25590.107110.433198.81776.51284.1077.97316.66634.994274.814-11.4544.84-9.2-8.62311-16.8-24.3-17.8-37-6.8-7.4-3.7
Kasstroom uit Operationele Activiteiten 8668328021,237724709469501555.114172.342290.897899.291987.862874.289881.808922.777863.078693.448642.17518.408621.655620.08440.348521.33333.2311.1222.1137.5115.984.335.33.5-18.9-5.5-7.3
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -738-1,187-2,046-1,190-916-520-654-496-866.4-643.233-734.402-949.09-771.798-583.134-546.758-585.59-565.495-579.785-586.575-642.081-616.359-698.636-487.813-295.308-278.5-391.7-277.8-219.4-208.7-158.2-84.9-53.3-56.4-14.5-7.6
Netto Overnames 0832641242121316.729179.842811.1249.932-23.773-17.101-15.977-334.856-17.201-44.325-188.02-40.786-5.125-452.936-186.269-57.5690148.3000000000
Aankoop van Beleggingen 00-1,322-3-11-17-5000-38.15-16.54-120-110-250.250334.856000065.370000-2.8-20.1-22.3-24.4-31.7-21.7-0.7-25.9-15.4-13.6
Verkoop/verval van Beleggingen 003129501890050100125145.2560.33016.694.30128.65000000.3570.20.500006.87.30.84.80
Overige Investeringsactiviteiten 1781,3263-7-1-189-1431.003-19.23112.571-2.4530.718-0.9531.284-335.127-1.086-0.729-4.21210.161051.9312.25730.85287.9-24.5-60.691.4130.59.51.2-22.9-2.6-11.9-19.8
Kasstroom uit Investeringsactiviteiten -721-1,179-2,036-1,163-864-464-683-618-548.668-470.772172.749-896.611-759.603-791.108-561.451-904.027-579.481-596.189-778.805-472.706-556.114-1,099.641-671.825-321.668-190.4-270.2-358.5-150.3-102.6-180.4-98.6-69.6-84.1-37-41
Financieringsactiviteiten:
Schuldaflossingen -138-471-1,118-108-116-19-14-11-511.995-150-0.414-0.145-330.338-0.316-140.236-100000-10.748000000000000000
Uitgifte van Gewone Aandelen -6-5-16-11-918162.1670.835.78401.9350.5090119.67610.07323.52923.3457.2187.2310.7874.1034.0339.32.62.510.51.61.136.80.440.401
Terugkoop van Gewone Aandelen -6-48-31-23-3000-5-6.188-18.943-18.544-22.25-62.294-52.827-33.667-30.654-87.90200-3.90800-40.862-223.84700000000000
Uitgekeerde Dividenden 0000000000-482.270-21.094-19.631-18.426-19.676000-5.446-7.632-7.776-4.1410-6.10000000000
Overige Financieringsactiviteiten -130331,3231,079-6-13-7-2501.438760.991-4.495-26.082330.772-10.901-4.613-21.633-34.147-116.879101.231-1.744-70.156472.473177.037-53.242-0.3-5.3133.4-21.717.794.528.657.165.849.545.5
Kasstroom uit Financieringsactiviteiten -274456142926-152-14-20-12497.417167.878-499.939-48.477-81.019-83.166-196.942-52.287-111.976-93.35124.576-14.628-70.557465.484136.137-273.0562.9-2.7135.9-11.219.395.665.457.5106.249.546.5
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0000000000000000000000000-40.9136.412.8-13.396.163.366.110342.548.3
Netto Kasstroomverandering -129109-1,0921,000-292231-234-129503.863-130.552-36.293-45.797147.240.015123.415-33.537171.6213.909-12.05931.074-5.016-14.077-95.34-73.394145.7-2.7135.9-11.219.395.665.457.5106.249.546.5
Kaspositie aan het Einde van de Periode 1793081991,291291583352586715.376211.513342.065378.358424.155294.426294.411170.996204.53332.91229.00340.9229.84814.86428.941124.281197.711.2150.327.225.1101.969.570.3115.75250.8