Unitil Corporation

NYSE:UTL

61.7 (USD) • At close September 19, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 6.596.565.27.88.95.88.78.49.49.87.58.97.711.54.64.5563.2073.0323.7667.166.0763.062.84.12.32.93.43.8
Kortetermijnbeleggingen 000000000.7000000000000000000000
Liquide middelen en kortetermijnbeleggingen 6.596.565.27.88.95.88.78.49.49.87.58.97.711.54.64.5563.2073.0323.7667.166.0763.062.84.12.32.93.43.8
Nettovorderingen 147.8164.6135.5117.8111.2129.6126.5110.799.3124.2119.6104100.891.133.539.724.922.54623.63118.11917.46119.51317.13320.05716.61616.916.414.913.3
Voorraad 14.513.29.69.18.77.87.50.60.87.46.214.618.413.516.934.34.54.5363.6753.082.8612.3232.8042.8542.532.72.52.32.1
Overige vlottende activa 8.3110.28.16.45.878.414.517.15.24.84.24.53.699.158.914.915.05910.86812.50219.99111.4285.65111.8994.57.57.29.332.7
Totaal vlottende activa 177.1194.8159.7139.3130.9152.2151.3131.6125.9145.2140132.6131.2117.1106.8150.348.946.69741.38136.73344.07940.42431.66437.8726.430.629.131.123.621.9
Niet-vlottende activa:
Materiële vaste activa, netto 1,426.51,3361,261.91,198.41,115.51,036.8971.5883.4808.9733.7665.6601.2510.7476.5449.7422.8248.9231.808213.321204.003195.065188.592178.288163.289153.4146151.2143.8129.5121.7
Goodwill 000000000000000000000000000000
Immateriële activa 000000000000000000000000000000
Goodwill en immateriële activa -19.9-5.8-45.9-48.036-5.6-52.097-59.89200000000000000000000000
Langetermijnbeleggingen 65.85.75.75.64.83.61.90.7000000000000000000000
Belastingvorderingen 13.9163.440.242.336103.647.29756.29200000000000056.156000.0470.046000000
Overige niet-vlottende activa 66.8-103.8118.7140.220.8109.3119.1111.3110.9121.3115152.8158.3166168.7162.1176.8204.922195.379160.118244.733251.767166.763181.762183.7200.257.757.258.660.9
Totaal niet-vlottende activa 1,493.31,395.61,380.61,338.61,239.91,146.11,090.6996.6920.5855780.6754669642.5618.4584.9425.7436.73408.7420.277439.798440.359345.098345.097337.1346.2208.9201188.1182.6
Totaal activa 1,670.41,590.41,540.31,477.91,370.81,298.31,241.91,128.21,046.41,000.2920.6886.6800.2759.6725.2735.2474.6483.427450.081457.01483.877480.783376.762382.967363.5376.8238232.1211.7204.5
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 47.768.652.433.237.642.641.532.433.344.238.130.926.426.525.136.317.619.81320.616.24915.02414.22120.08418.53916.511.414.715.114.612.5
Kortlopende schulden 168.8122.772.363.278.1104.371.2101.762.533.362.749.988.467.364.574.519.226.56919.26926.37326.2440.03318.01236.64212.622.123.423.74.70.8
Belastingschulden 1.90.400046.542.542.52.438.700.71000-1.60.8884.54400000000000
Uitgestelde opbrengsten 2.500.50.30.60.60.50.43.710.19.814.1117-25.131.10001.545000.0010.001000006.3
Overige kortlopende verplichtingen 58.368.848.339.443.54537.842.445.141.834.130.538.616.165.277.87.37.0886.1116.9857.10911.7869.2048.9875.85.15.65.26.3-0.1
Totaal kortlopende verplichtingen 277.3260.1173.5136.1159.8192.5151176.9144.6129.4144.7125.4154.4126.9129.7219.744.153.4745.9851.15248.37366.0447.30164.16934.938.643.74425.619.5
Langlopende verplichtingen:
Langetermijnschulden 512.8489.1497.8523.1437.5390.1382325.1319.1336.4284.8287.3287.8288.3248.9249.3159.6140.237125.689110.858111.364106.76110.41584.95488.978.368.665.565.968.7
Uitgestelde opbrengsten niet-vlottend 840178.7208.4190.6169.9200.6153.1134120.691.1117.5105.7101.1-39.800-0.209-0.324-0.183-0.403-2.534-2.945-3.259-3.9-4.3-4.7-4.6-3.70
Uitgestelde belastingverplichtingen niet-vlottend 176.1163.4127.7109103.697.882.997.992.272.973.238.746.343.839.8033.434.52652.29756.15656.947.33247.11345.85942.64342.342.242.543.1
Overige niet-vlottende verplichtingen 130.9210.2114.1112.1102.596.788.682.173.767.661.657.112.38.5151.5155.8135155.546127.838142.369171.539185.54296.517107.546118.614212.513.113.5-3.4
Totaal niet-vlottende verplichtingen 903.8862.7918.3952.6834.2754.5754.1658.2619597.5510.7500.6452.1441.7400.4405.1328330.1305.5309.2339.4337.1251.1235.1246.2259118.7116.2118.2108.4
Totaal passiva 1,181.11,122.81,091.81,088.7994947905.1835.1763.6726.9655.4626606.5568.6530.1593.7372.1383.569351.471360.381387.803403.111298.407299.342281297.6162.5160.2143.8140.4
Eigen vermogen:
Preferente aandelen 0.20.20.20.20.20.20.20.20.20.20.20.222222.12.0832.3272.3383.2693.3223.6093.693.83.83.93.944.1
Gewone aandelen 337.6334.9332.1285.3282.5279.1275.8240.7237.5234.7232.1260.4191.7160.80102.71.561.82760.82659.79558.84841.220.07540.99140.438.435.73432.831.8
Ingehouden winsten 151.5132.5116.2103.794.17260.852.245.138.432.930.40033.636.8034.28734.14733.43733.04932.14-155.6438.56838.136.434.532.529.827.2
Overige gereserveerde algehele resultaten -337.60-332.1-285.3-282.5-332.5-307.7-290-271.7-255.1-243.5-230.4-263-251.9-233-218.6100.41.6611.311.0590.9080.9974.7460.376-153.4-63.4-68.4-63.8-60.7-57.2
Overige totale aandeelhoudersvermogen 337.6-467.6332.1285.3282.5332.5307.7290271.7255.1243.5200263280.1392.5218.6-1.500000155.5650153.66469.865.36258.2
Totaal eigen vermogen van aandeelhouders 489.3467.6448.5389.2376.8351.3336.8293.1282.8273.3265.2260.6193.7191195.1141.5102.599.85898.6196.62996.07477.67278.35583.62582.579.275.571.967.964.1
Totaal eigen vermogen 489.5467.8448.7389.4377351.5337293.3283273.5265.4260.8193.7191195.1141.5102.599.85898.6196.62996.07477.67278.35583.62582.579.275.571.967.964.1
Totaal passiva en aandeelhoudersvermogen 1,670.41,590.41,540.31,477.91,370.81,298.31,241.91,128.21,046.41,000.2920.6886.6800.2759.6725.2735.2474.6483.427450.081457.01483.877480.783376.762382.967363.5376.8238232.1211.7204.5