Village Super Market, Inc.

NASDAQ:VLGEA

29.01 (USD) • At close November 4, 2024
Overzicht | Financiële gegevens

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989198819871986
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 117.261140.91134.832116.314111.681101.12196.10887.43588.37959.0477.352109.571103.10391.36269.04354.96647.88953.84674.71162.84236.97248.533.7731.15625.7219.85.74.33.29.77.26.65.39.913.912.97.611.79.1
Kortetermijnbeleggingen -25.73700000000000000000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 117.261140.91134.832116.314111.681101.12196.10887.43588.37959.0477.352109.571103.10391.36269.04354.96647.88953.84674.71162.84236.97248.533.7731.15625.7219.85.74.33.29.77.26.65.39.913.912.97.611.79.1
Nettovorderingen 18.3243.94941.49716.97124.00511.95135.97636.51513.18516.74812.92334.23110.7749.0188.75823.136.8786.45.745.4725.643.6342.1962.1457.4565.55.45.35.45.95.17.86.67.14.922.75.43.92.6
Voorraad 46.73944.51544.1942.63342.13538.50339.41341.85242.01145.77244.69441.51540.59938.54736.25634.27333.07329.79229.52330.17630.97632.30433.7830.46831.03329.926.524.825.124.225.326.226.724.124.74.720.817.611.9
Overige vlottende activa 17.38217.31317.44620.39819.49917.20619.40115.6716.25914.35127.81720.04717.10213.40711.82512.1899.8637.9949.8097.1056.1955.2076.8625.2740.6511.10.80.90.70.50.50.60.40.60.40.60.60.60.5
Totaal vlottende activa 199.702246.687237.965196.316197.32168.781190.898181.472159.834135.911162.786205.364171.578152.334125.882124.55897.70398.032119.783105.59399.78389.64576.60869.04364.8646.338.435.334.440.338.141.23941.743.940.934.433.824.1
Niet-vlottende activa:
Materiële vaste activa, netto 562.981551.41558.628545.615579.497224.89214.566204.44201.47206.594206.72176.981172.42174.53175.286162.261141.752125.833122.539119.903101.14396.3298.67486.50880.62875.373.372.371.469.971.474.180.974.863.4656658.431.8
Goodwill 24.1924.1924.1924.1924.1912.6512.05712.05712.05712.05712.05712.05712.05710.60510.60510.60510.60510.60510.60500000000000000000000
Immateriële activa 000000000000000000010.60510.60510.60510.60510.80512.46913.112.112.613.113.714.114.715.215.716.316.817.317.83.8
Goodwill en immateriële activa 24.1924.1924.1924.1924.1912.6512.05712.05712.05712.05712.05712.05712.05710.60510.60510.60510.60510.60510.60510.60510.60510.60510.60510.80512.46913.112.112.613.113.714.114.715.215.716.316.817.317.83.8
Langetermijnbeleggingen 53.01646.26240.16633.00429.46228.64427.09327.09326.46725.7525.01224.35523.40622.46120.26319.67300000000000000000000000
Belastingvorderingen 2.58462.726055.29553.00850.208022.56242.73541.42140.598020.91819.51218.20416.98300000000000000000000000
Overige niet-vlottende activa 139.19136.43163.49934.58432.06917.11636.9767.6017.69112.16910.2398.6559.1596.7486.8894.7353.98548.65318.54818.39219.89520.00818.16616.98915.96714.914.712.612.211.711.211.410.69.68.97.975.76.3
Totaal niet-vlottende activa 781.962721.019686.483692.688718.226333.508290.692273.753290.42297.991294.626222.048237.96233.856231.247214.252206.342185.091151.692148.9131.642126.933127.445114.303109.064103.3100.197.596.795.396.7100.2106.7100.188.689.790.381.941.9
Totaal activa 981.664967.706924.448889.004915.546502.289481.59455.225450.254433.902457.412427.412409.538386.19357.129338.81304.045283.123271.475254.493231.425216.578204.053183.346173.924149.6138.5132.8131.1135.6134.8141.4145.7141.8132.5130.6124.7115.766
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 109.335108.474101.30395.89112.83890.0880.87876.83576.42679.38381.86376.46455.44155.40947.08853.48777.5170.16469.26262.46160.15653.6753.33549.22951.7950.64544.139.238.236.237.923.724.100000
Kortlopende schulden 10.23231.16329.54729.76626.3111.0650.8780.9440.8550.8990.8980.610.47300.0134.5554.9995.5096.4256.8187.7417.732.5182.2641.7052.12.83.35.15.15.25.24.34.44.41.71.515.52.5
Belastingschulden 09.4830.0981.60101.071.3210.6045.7020.76544.38719.28115.13417.87912.8059.35200000000000000000000000
Uitgestelde opbrengsten 54.65-21.9580000000000-0.47300000000000000000000000000
Overige kortlopende verplichtingen 061.29427.31926.63723.64921.32919.94118.41422.01515.88263.24333.99144.46552.47737.5835.666.323000000.5440.4630.1090.80.30.510.70.80.414.715.832.933.128.315.820.3
Totaal kortlopende verplichtingen 174.217178.973158.169152.293162.798112.474101.69796.19399.29696.164146.004111.06599.906107.88684.68193.70288.83275.67375.68769.27967.89761.456.39751.95653.60453.548.147.945.34442.243.542.744.337.334.829.831.322.8
Langlopende verplichtingen:
Langetermijnschulden 63.675361.418374.035370.078396.18147.72548.18642.64643.56144.42545.24242.73840.79243.14741.83130.75227.49821.76727.1133.5529.23937.24143.63443.36342.50727.225.72426.834.936.939.545.740.338.342.743.439.821
Uitgestelde opbrengsten niet-vlottend 260.7030-14.93-14.432-16.50100-6.756-1.393000021.51318.29919.14400000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 14.913014.9314.43216.501006.7561.39300000.2771.3722.3975.2196.1038.157000002.662.43.23.83.93.73.25.15.55.75.75.14.12.91.9
Overige niet-vlottende verplichtingen 20.59717.14920.13525.1624.24723.41828.56229.56635.66240.54633.0329.04938.5295.215.1715.41711.46512.01510.01618.4214.19911.166.5793.25700-0.100.100.10.100-0.10.1-0.1-0.10
Totaal niet-vlottende verplichtingen 359.888378.567394.17395.238420.42871.14376.74872.21279.22384.97178.27271.78779.32170.14766.67357.7144.18239.88545.28351.9743.43848.40150.21446.6245.16729.628.827.830.838.640.244.751.24643.947.947.442.622.9
Totaal passiva 534.105557.54552.339547.531583.226183.617178.445168.405178.519181.135224.276182.852179.227178.033151.354151.412133.014115.558120.97121.249111.334109.801106.6198.57698.77283.176.975.776.182.682.488.293.990.381.282.777.273.945.7
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000000000000
Gewone aandelen 80.86976.86273.58871.29168.76965.81162.37758.55155.89752.31947.76445.31940.59800000020.86920.07219.5719.44619.16419.16419.10000000000000
Ingehouden winsten 380.618343.497306.974293.185286.241270.753258.104244.308234.175221.765203.722211.109209.373187.686185.79171.229152.445150.596133.818119.507105.50293.23982.51770.11660.73952.447.844.1424039.440.338.838.5373328.522.718.9
Overige gereserveerde algehele resultaten 6.5798.1346.135-9.064-8.751-8.342-8.185-7.406-13.339-16.874-12.465-8.467-15.474-11.142-10.421-10.535-4.071-4.526-2.801-4.662-2.66-2.33-0.6160000000000000000
Overige totale aandeelhoudersvermogen -20.507-18.327-14.588-13.939-13.939-9.55-9.151-8.633-4.998-4.443-5.885-3.401-4.18631.61330.40626.70422.65721.49519.488-2.47-2.823-3.702-3.904-4.51-4.751-513.81313131312.9131314.314.91919.11.4
Totaal eigen vermogen van aandeelhouders 447.559410.166372.109341.473332.32318.672303.145286.82271.735252.767233.136244.56230.311208.157205.775187.398171.031167.565150.505133.244120.091106.77797.44384.7775.15266.561.657.1555352.453.251.851.551.347.947.541.820.3
Totaal eigen vermogen 447.559410.166372.109341.473332.32318.672303.145286.82271.735252.767233.136244.56230.311208.157205.775187.398171.031167.565150.505133.244120.091106.77797.44384.7775.15266.561.657.1555352.453.251.851.551.347.947.541.820.3
Totaal passiva en aandeelhoudersvermogen 981.664967.706924.448889.004915.546502.289481.59455.225450.254433.902457.412427.412409.538386.19357.129338.81304.045283.123271.475254.493231.425216.578204.053183.346173.924149.6138.5132.8131.1135.6134.8141.4145.7141.8132.5130.6124.7115.766