Vulcan Materials Company

NYSE:VMC

253.67 (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 944576.5670.4584.48617.662515.805601.185419.491221.177204.92324.382-52.593-70.778-96.4930.314-4.115450.91467.534388.757287.385194.952169.876222.68219.893239.7255.9209.1188.6166.29888.29152.6120.3129.3
Afschrijvingen & Amortisatie 617587.5342.9392.809350.844331.302275.208256.069245.172251.155283.395313.396368.797288.694337.008389.06271.475224.696220.956245.05277.091267.676278.209232.365207.1137.8120.6112.6110.7106.6102.8103.3109.7102.794.1
Uitgestelde Inkomstenbelasting -43.357.766.862.01876.01164.639-235.69733.5913.06918.378-35.063-69.83-93.739-51.684-43.773-22.385-8.4890008.85744.98934.9098.274-286.33.94.15.96.1-0.52.8-15.5-4-28.9
Aandelen Gebaseerde Vergoedingen 63.241.134.73331.84325.21526.63520.6718.24823.88422.09317.47418.45420.63723.1200000000000000000000
Verandering in Werkkapitaal -33.4-248.5-180.3-39.71-147.218-6.974-169.352-92.788-23.12-93.32-53.94520.378-11.90619.93890.275-101.78116.345-95.402-109.02214.9811.547-54.523-20.362-42.375-13-44.2-9.923.9-3.2-3-1.6-10.814.3-15.260.6
Vorderingen 79.7-53.3-422.343-29.73463.23-81.561-72.763-42.164-25.118-42.2617.41200000000000000000000000
Voorraden -54.6-49.58.39.801-28.273-34.976-14.1211.625-20.925-5.595-7.7-9.028-6.9276.70839.289-7.63-29.508-28.552-6.215.81520.609-7.545-15.628-8.448-11.5-8.8-3.83.9-11.913.26.63.2-5.8-1.4
Crediteuren -25.1-17.4-23.3-6.94221.78840.1819.82330.35326.4914.22915.48527.09100000000000000000000000
Overig Werkkapitaal -33.4-128.3-123.3-44.912-110.999-75.409-83.493-52.00313.478-66.836-19.47-15.097-4.97913.2350.986-94.15145.853-66.85-102.8129.165-9.062-46.978-4.734-33.927-1.5-35.4-6.1208.7-4-4.8-17.411.1-9.462
Overige Niet-Contante Posten -17.5133.977.437.77154.98-97.21146.6997.55538.832-144.684120.19.65-41.78521.61116.091268.63316.942-17.479-27.50733.230.71912.947-5.1740-2.86.822.116.3-13.10.54.114.81.1-3.7-4.9
Kasstroom uit Operationele Activiteiten 1,5301,148.21,011.91,070.359984.122832.777644.678644.588503.378260.336360.962238.475169.043202.706453.035435.185708.144579.349473.184580.615519.046461.502510.262418.157403362.6345.8345.5266.5208.2193201.1183.3200.1250.2
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -872.6-612.6-451.3-362.194-384.094-469.088-459.566-350.148-289.262-224.852-275.38-93.357-98.912-86.324-109.729-353.196-483.322-435.207-215.646-203.8-193.923-248.778-286.854-605.49-1,095.1-203.3-173.3-151.7-109.2-100.1-96-75.2-63.6-119.9-103
Netto Overnames 709.1-479.2-1,639.4-42.255-42.407-210.163-822.433-32.537-27.198437.122-38.34721.16664.208-19.58-20.905141.726-3,267.338121.385-93.965-34.555-3.543-43.445-138.794000000000004.2
Aankoop van Beleggingen 000000000000013.60217.75-1.20188.93932.767-313.49-378.463-10.221000000.2-1.2-2.2-2.1-9.60-13-18.8-9
Verkoop/verval van Beleggingen 00000000000003.65333.28225.5425.026175.14318.156473.9360000000000000021.3
Overige Investeringsactiviteiten 708.238.8216.622.93510.6649.3612.50817.6086.71826.06117.53782.5915.2250.273-0.4-1.9112.3960.908155.77348.37781.725.88838.9975.576119.22.516.4-52.95-72.21.8-35.5-22.1-110.9-34
Kasstroom uit Investeringsactiviteiten -163.5-1,053-1,874.1-381.514-415.837-669.891-1,269.491-365.077-309.742238.331-296.1910.399-19.479-88.376-80.002-189.04-3,654.299-105.007-149.172-94.505-125.987-266.335-386.658-529.914-975.9-200.8-156.7-205.8-106.4-174.4-103.8-110.7-98.7-249.6-120.5
Financieringsactiviteiten:
Schuldaflossingen -131.3-1,852.5-1,465.2-250.025-499.923-1,498.955-1,468.308-3.13-901.06-672.829-306.602-134.78-743.075-519.204-900.9960-3,114.104-73.632-11.6030000000000000000
Uitgifte van Gewone Aandelen 018.519.1750366.91,589.92,2053913.97130.623.82104.93641.734606.54679.67435.07428.88937.9421.5085.11600000000000000
Terugkoop van Gewone Aandelen -200-18.5-19.1-26.132-2.602-133.983-60.303-161.463-21.475116.502165.7620798.962519.49414.9870-4.8-522.801-228.47900000-12.5-65-43.1-45.2-50.1-28.6-40-32.4-5.2-59.2-58.4
Uitgekeerde Dividenden -228.4-212.6-196.4-180.216-163.973-148.109-132.335-106.333-53.214-28.884-5.191-5.183-98.172-127.792-171.468-214.783-181.315-144.082-118.229-106.331-99.58-95.384-91.08-84.765-78.7-70-63.6-58.4-51.8-48.1-46.3-45.1-45.7-46.4-45
Overige Financieringsactiviteiten -22.51,889.91,567.3-58.965-38.585-73.981-40.614-36.65910.9293.4590.16110.728-3.917-3.282-310.031-135.736,190.95817.3760.047-277.606-52.634-29.85713.002198.964536.425.2-4.6-7.2-4436.5-4.6-16.2-33.389.4-10.2
Kasstroom uit Financieringsactiviteiten -582.2-175.2-94.3234.662-338.183-265.128503.44-304.585-50.849-551.132-142.049-129.235-41.266-89.054-360.962-270.8392,925.813-694.25-320.324-362.429-147.098-125.241-78.078114.199445.2-109.8-111.3-110.8-145.9-40.2-90.9-93.7-84.2-16.2-113.6
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 3.4000000000-4.4630000000000000-0.1-161.8-189.1-139.7-160.1-33.8-89.2-90.4-84.649.5-129.7
Netto Kasstroomverandering 787.7-80-956.5923.507230.102-102.242-121.373-25.074142.787-52.465-77.277119.639108.29825.27612.071-24.694-20.342-219.9083.688123.681245.96169.92645.5262.442-127.8-109.8-111.3-110.8-145.9-40.2-90.9-93.7-84.2-16.2-113.6
Kaspositie aan het Einde van de Periode 949.2161.5241.51,198.013274.50644.404146.646258.986284.06141.273198.201275.478155.83947.54122.26510.19434.88855.23275.138271.45416.689170.728100.80255.27652.818.8-60.5-88.9-138.2-26.2-75.2-74.7-65.668.1-45.5