Vector Group Ltd.

NYSE:VGR

14.94 (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 178.521158.701219.27392.938101.01558.00790.7577.26666.47249.11437.04830.62275.0254.08424.80660.50473.80342.71252.3854.039-16.132-31.81920.663176.039237.327.4-49.9-62.5-24.1156.7-7.2-77.3-149.6
Afschrijvingen & Amortisatie 10.3517.21816.33417.62917.85118.80718.61422.35925.65424.49912.63110.60810.60710.7910.39810.05710.2029.88811.2211.82314.72813.8099.97312.6477.78.68.18.89.16.81910.240.7
Uitgestelde Inkomstenbelasting 5.93215.22614.464-0.673-11.198-17.635-33.31112.571-13.19522.0260.466-7.3369.3661.225-110.1830.43244.656-10.37920.904-14.23-4.5541.169-16.73169.522102.2-59.601.1004.76.732.3
Aandelen Gebaseerde Vergoedingen 10.1117.84814.7999.4839.4699.95110.88710.0345.6213.2512.5195.5633.1832.7043.6423.5500000000000000000
Verandering in Werkkapitaal -0.918-37.485-50.9448.471-41.61817.599-7.342-61.3242.765-31.09949.65611.3-7.26527.8197.24211.545-24.247-15.9078.15-9.984-4.214-10.867-1.92-17.133-11.6-25.716.550.5-6.3-22.272.1-40.499.6
Vorderingen 13.825-23.96-41.22-3.062-7.95-13.372-17.492-5.809-1.414-11.1975.97513.622-23.026.2490000000000000000000
Voorraden 0.4892.1682.931.217-7.767-1.2070.043-3.3173.8063.1736.8978.837-2.149-8.593-5.905-5.7564.474-20.9048.54610.774-26.978-48.59-23.73-9.011-9.6314.46.8-7.5-9.623.714.324.1
Crediteuren -5.358-8.3180.1963.237-3.9834.44314.218-22.92237.9365.70841.0474.497-3.2162.5750000000000000000000
Overig Werkkapitaal -9.874-7.375-12.857.079-21.91827.735-4.111-29.2722.437-28.783-4.263-15.65621.1227.58813.14717.301-28.7214.997-0.396-20.75822.76437.72321.81-8.122-2-28.72.143.71.2-12.648.4-54.775.5
Overige Niet-Contante Posten 15.17329.80941.293139.69948.55295.10551.98836.72617.16239.585-50.29433.329-54.87-29.61869.7625.1774.78419.701-24.4752.97427.3631.82811.741-245.972-277.5460.2-1.6-1.7-185.4-66.6271.5
Kasstroom uit Operationele Activiteiten 219.17181.317255.219267.547124.071181.834131.58697.636144.479107.37652.02684.08636.04167.0045.66791.265109.19846.01568.18944.62217.191-25.8823.726-4.89758.1-3.3-25.1-3.7-23-44.122-73.824.5
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -10.557-9.957-13.506-19.063-12.575-17.682-19.869-26.691-10.977-23.404-13.275-11.265-11.838-23.391-3.848-6.309-5.189-9.558-10.295-4.294-8.894-42.378-77.1-27.603-61.4-21-20.1-34.2-8.8-3-3.2-7.4-16
Netto Overnames 0.003-25.569-49.963-12.884-52.909-19.478-45.376-44.357-70.272-41.666-26.412-32.931-22.025-23.9856.297-6.4050.9171.48614.11825.7132.723-50.1037.912323.2660.900000000
Aankoop van Beleggingen -142.074-58.403-138.396-109.558-96.989-34.86-165.164-117.261-224.146-318.731-175.964-10.647-15.039-27.918-13.317-29.104-47.412-64.901-4.94-12.606-69.173-75.095-168.67-36.824-12.200000000
Verkoop/verval van Beleggingen 130.02986.423129.166125.072100.07764.445133.457140.656287.109159.81128.6563.90397.83329.5892.3328.3340.07130.7337.53868.933136.741111.79517.55158.8118.90000012.811.3
Overige Investeringsactiviteiten -1.1873.77810.72923.77439.29751.03841.12110.649-15.054-20.847-18.23235.536-19.484-22.818-2.128-0.411-0.33-2.42571.87420.66-9.83616.41652.185321.301192.7152.356.429.975.726.97.4-13.4-12.1
Kasstroom uit Investeringsactiviteiten -23.786-3.728-61.977.341-23.09943.463-35.962-10.313-22.363-221.434-91.952-4.13941.285-45.132-6.816-33.895-51.943-44.66564.17772.69348.838-39.365-176.034315.685128131.336.3-4.366.923.95.2-18-16.8
Financieringsactiviteiten:
Schuldaflossingen -45.714-102.8-890.841-340.682-532.945-339.24-1,000.679-115.979-174.599-911.389-1,400.375-1,085.35-1,083.468-1,031.137-757.786-532.847000-17.503-31.064-14.297-210.5960000000000
Uitgifte van Gewone Aandelen 00052.5630043.230.3981.441000.6110000.0865.12.5713.6263.3241.7492.95767.18500100000000
Terugkoop van Gewone Aandelen -3.706-2.622-13.145130.741-5.41501,007.65100001,318.265000552.386000-0.202-1.346-1.891-0.2740000-4.2-5.60-3.8-25.3-2.8
Uitgekeerde Dividenden -126.232-128.262-131.798-128.231-238.249-225.367-211.488-198.947-188.151-167.328-144.711-137.114-125.299-117.459-115.778-103.87-99.249-90.138-70.252-64.106-59.997-54.477-46.751-30.759-13.9-6.1-7.30-0.1-5.9-15.7-11.5-12.9
Overige Financieringsactiviteiten -3.706108.998658.562-3.078457.969620.102985.672370.994154.6371,284.6741,413.6231,306.8381,072.5391,217.095873.062552.249128.24251.9275.315-21.135-31.6540.922192.396-142.529-158.3-127.9-1.210.9-39.114.7-10.5109.3-38.6
Kasstroom uit Financieringsactiviteiten -175.652-122.064-364.077-288.687-313.22555.495-183.26556.068-208.113205.957-131.46384.985-136.22868.499-0.502-84.38234.093-35.64-61.311-82.119-91.248-52.489212.556-173.288-172.2-124-8.56.7-44.88.8-3072.5-54.3
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 190.2520000000000000000000000-0.11-1.2-1.40.1-0.10-0.10.80-1.4
Netto Kasstroomverandering 44.0255.525-170.828-13.799-212.253280.792-87.641143.391-85.99791.899-171.389164.932-58.90290.371-1.651-27.01291.348-34.2971.05535.196-25.219-117.73460.248137.3912.72.62.9-1.5-0.9-11.5-2-19.3-48
Kaspositie aan het Einde van de Periode 268.6250.374194.849365.677379.476591.729310.937398.578240.368326.365234.466405.855240.923299.825209.454211.105238.117146.769181.059110.00474.808100.027217.761157.51320.17.44.81.93.44.315.814.333.6