United Therapeutics Corporation

NASDAQ:UTHR

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

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

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Operationele Activiteiten:
Nettowinst 984.8727.3475.8514.8-104.5589.2417.9713.7651.6340.1174.56304.442217.868105.91619.462-42.78919.85973.96565.01615.449-9.969-23.651-37.288-75.608-33.5-12.8
Afschrijvingen & Amortisatie 53.251.349.949.945.935.93131.632.932.231.25927.14520.53517.9211.3944.5360.9571.4642.4142.2762.3253.1353.515-0.08-1.30
Uitgestelde Inkomstenbelasting 3.6-71.7-89.7-168.1-82.7-104.3000185.106104.343136.229-197.58841.923-1.038-31.211-3.276-37.047-18.1250000000
Aandelen Gebaseerde Vergoedingen 39.1106.8138.5163.845.4-26.473.512.1280.254190.054320.78630.115-15.715113.942101.01528.703-29.604-10.76100000000
Verandering in Werkkapitaal -97.8-35.1-48.84.337.3130.7-83.2-46.2-37.3-56.7-22.421-29.924-111.254-74.809-53.38910.657-5.793-3.245-7.4981.415-3.054-13.14-7.191.7431.81.2
Vorderingen -58.5-21.7-41.3-624.4121.4-82.7-21.7-30.5-35.7-10.027-23.991-16.158-23.452-21.956-2.329-4.03-8.869-0.2200-8.267-196.7000
Voorraden -13.6-13.4-7.510.312.99.3-0.5-24.5-6.8-21-12.394-5.933-16.055-9.196-9.061-2.63-2.339-1.006-3.461-0.385-1.202-1.867-4.036-2.11500
Crediteuren 57.1150.6112.9-16.8-16.3-1166.20.616.972-6.7537.507-37.20716.656-2.734-3.64518.509-1.072-1.082-2.12200-3.3611,825.507000
Overig Werkkapitaal -82.8-150.6-112.916.816.34.7-61.4-71.8-181.823-322.081-201.752-145.759-95.697-39.427-18.727-2.8931.6487.712-1.6951.8-1.8520.355-1,631.9623.8581.80
Overige Niet-Contante Posten -4.923.972.5191-148153.325.3-101.7-301.7-17219.448-7.959336.3496.6420.18-19.06866.9427.408-16.2321.6382.13611.3982.06442.839.32
Kasstroom uit Operationele Activiteiten 978802.5598.2755.7-206.6778.4474.2643.6382.8355.3425.267323.628250.195211.53297.624-49.17249.08351.78443.720.778-8.562-22.258-38.899-31.115-23.7-9.6
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -230.4-138.8-120.8-59.3-83.7-184.4-86.3-43.2-49.792-47.439-31.91-111.905-35.977-18.64-95.4-124.415-38.658-15.634-6.117-5.217-7.004-3.581-0.687-0.64-2.3-1
Netto Overnames -89.27.1366.1681.6-20.5-124.18.3-2.100-30.7660-3.54701.208-266.051-260.888-32.3600.82100.0010-8.13100
Aankoop van Beleggingen -2,514.3-1,708.6-1,895.3-2,308.8-1,279.5-867-830.6-38.9-116.998-163.672-762.198-579.316-815.684-662.225-310.634-345.963-301.986-207.151-78.059-37.474-44.711-11.218-152.52-56.659-114.3-10.5
Verkoop/verval van Beleggingen 2,137.31,025.31,529.21,627.21,040.3400.972.9130.4320.369549.576529.9527.858733.876457.728249.083297.901318.938118.7612.9300140.56718.38676.45392.60
Overige Investeringsactiviteiten -233.5-366.1-679.28-636.2-749.386.3553.4385.9-263.064-51.458-0.00113.901-4.776266.051260.88832.360-14.177-5.4140.04-3.866-0.10
Kasstroom uit Investeringsactiviteiten -719.6-811.5-486.9-738.5-335.4-820.6-835.648.3503.6338.5-294.974-163.363-121.333-209.236-160.519-172.477-21.706-104.025-71.276-12.87-47.538120.355-134.7817.157-24.1-11.5
Financieringsactiviteiten:
Schuldaflossingen -100-8000-50-200-250-249.3-8.8-133.2-177.8-1.32-0.999-251.039-31.4420-0.023-59.208000000000
Uitgifte van Gewone Aandelen 6.694.355.638.51419.5441243.2653.3292.734027.2940015058.34414.44514.9657.094.0850.2450210.58558.422.9
Terugkoop van Gewone Aandelen -13.8-11.4-10.8-3.7-2.10-250-500-394.5-483.1-42.439-1880000-67.059-193.0860000-2.802-4.07200
Uitgekeerde Dividenden 0000000000000000-29.604000000000
Overige Financieringsactiviteiten 193.386.8-10.836.8813.3256.343.3-497.7-447-576.6-5.115-169.145.666178.19836.47763.026118.406252.769-0.795-0.774-2.078-0.06-0.080.1010.90
Kasstroom uit Financieringsactiviteiten -11.975.444.8-16.9611.26.343.3-497.7-447-576.6-5.115-169.14-218.079146.75636.477213.00320.87974.12814.176.3162.0070.185-2.882206.61359.322.9
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0000000.2-3-5.296-3.75-0.3190.229-0.2692.758-2.682-1.22500000000021.1
Netto Kasstroomverandering 246.566.4156.10.369.2-35.9-317.9191.2434.101113.439124.859-8.646-89.486151.81-29.1-9.87148.25621.887-13.40614.224-54.09398.282-176.563182.65511.522.9
Kaspositie aan het Einde van de Periode 1,207.7961.2894.8738.7738.4669.2705.11,023831.798397.697278.889154.03162.676252.162100.352129.452139.32391.06769.1882.58668.562122.65524.373200.93518.327.9