WEC Energy Group, Inc.

NYSE:WEC

93.78 (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 1,330.51,409.71,298.51,201.41,134.71,060.51,204.9940.2640.3588.3577.4546.3526.2456.5382.4359.1335.6316.4303.6122.2244.3167219154.2209188.160.7218.1234180.9
Afschrijvingen & Amortisatie 1,264.21,122.61,074.3975.9926.3845.8798.6762.6583.5419.4400.2371.7336.4317.4349.400000383.4000000000
Uitgestelde Inkomstenbelasting 219.4280.1151.1209.4162.9297.3271.7493.8418.7328.1312.7352.2430.6104.9187.4296.620.4-5463.46.570.9-25-7.810.333.6-0.77.9-1.6-2.8-25.1
Aandelen Gebaseerde Vergoedingen 9.734.815.735.750.236.1291823.321.91922000000000000000000
Verandering in Werkkapitaal 77.9-340.8-306.8-51.8169.847.7127.236-7.8-138.1-59.3-56.3-22.4-10.8186.383.2-339.329.8-181.5-30.4-104.369.5-36.9-7.6-230.5-533.5-7-0.51.7
Vorderingen 340.6-282.1-331.516.198.223.5-86.4-180.78480.7-162.938.330.1-50.4111.1-46.5-245.9-26.7109.802.6000000000
Voorraden 41.9-171.3-107.221.2-1.5-8.849.3100-69.4-71.231.321.3-2.9-1-34.616.631.334.4-48.5-23.9-59.710.2-38.7-68.9-6.8-0.6-12.8-30.75.211.5
Crediteuren -254121.5126.9-61.31.5110.68.534.4-9.323.7-14.843.811.821.3-118.5202.538.525.1-248.90-16.8000000000
Overig Werkkapitaal -50.6-8.95-27.871.6-54.169.4-98.470.9-171.387.1-159.7-61.419.3228.3-89.4-163.2-36.1-6.5-30.459.31.861.3-223.7-4.446.323.7-5.7-9.8
Overige Niet-Contante Posten 2,526.3-445.7-159.3-109.8-45.3212.8-318-82.5-341.1-112.149.260526.2151.6-338.6-1.9515.8437.6391.4500.4-19.1499.8381.5304.1314.5277.6290.9255.3196.2258.8
Kasstroom uit Operationele Activiteiten 3,018.42,060.72,032.72,1962,345.52,445.52,079.62,103.51,293.61,197.71,2311,173.9993.4810.4628.8737532.5729.8576.9598.7623.9711.3555.8461326.6460393464.8426.9416.3
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -2,492.9-2,334.1-2,252.8-2,238.8-2,260.8-2,115.7-1,959.5-1,423.7-1,223.9-736.1-687.4-707-830.8-798.2-817.7-1,137.1-1,211.5-928.7-745.1-636.8-659.4-556.8-672.5-611-794.9-399-345.9-389.2-271.7-295.8
Netto Overnames -982.2-427.5-119.9-625.7-320.8-354.9-335.6-42.3-1,338.6-13.1-10.5-15.700000-14.6-10.5-26.40-39.7-35.7-1,234.7000000
Aankoop van Beleggingen -63.7-45.5-18.7-37.82,260.8-65-113.3-42.30000-6.6-5.2-25.9000000000000000
Verkoop/verval van Beleggingen 10.415.418.756.20.2118.68.700000000000000000000000
Overige Investeringsactiviteiten -29.8149.360.939.3-2,174.332.655.5195.945-7.6-47.9-6.9-55.1169.9107.5230.2668.3458.5906.3-7.8230.7243.9325.2-113.6-78.9-15-42.2-38-68.9
Kasstroom uit Investeringsactiviteiten -3,558.2-2,642.4-2,311.8-2,806.8-2,494.9-2,384.4-2,239.6-1,270.1-2,517.5-756.8-745.8-729.6-892.5-633.5-736.1-906.9-543.2-939.3-697.1243.1-667.2-365.8-464.3-1,520.5-908.5-477.9-360.9-431.4-309.7-364.7
Financieringsactiviteiten:
Schuldaflossingen -1,523.3-344.7-1,600.4-1,767-360.1-953.3-154.5-306-529.6-324.3-397.2-20.3-466.6-291.7-221.1-316.8-148.4-299.7-291.9-654.2-114.500000000-41.9
Uitgifte van Gewone Aandelen 6.333.62,859.63,363.51,352.71,764.61,050.2206.82,343.1275.9344.926.3732453.7484.311.636.126.84770.962.9234.651.689.3272.810.329.623.252.450.5
Terugkoop van Gewone Aandelen -16.6-69.2-33.1-99.2-140.1-72.4-71.3-108-127.4-18.6-126-153.2-139.5-156.6-12.6-23-67.8-48-75.1-152.7-6.8-52.3-133.6-100.800000-5.3
Uitgekeerde Dividenden -984.2-917.9-854.8-798-744.5-697.3-656.5-624.9-455.4-352-328.9-276.3-242-187-157.8-126.3-116.9-107.6-102.9-97.8-93.7-92.4-93.8-165.3-182.3-177.4-172.7-167.2-159.7-150.7
Overige Financieringsactiviteiten 3,040.61,974.6-77.3-98.2-22.4-15.2-6.5-13.6-18.91412.40.74.892.9629.5298.1601.8580.7-0.5205.3-438.890.81,203.3548.3182.1119.997.74.783.7
Kasstroom uit Financieringsactiviteiten 522.8676.4294601.185.626.4161.4-845.71,211.8-405-494.8-422.8-111.3-172.695.71751.1173.3157.8-834.353.2-348.9-851,026.5638.815-23.2-46.3-102.6-63.7
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0000000000000000000000000-0.1000.10.1
Netto Kasstroomverandering -11.694.714.9-9.7-63.887.51.4-12.3-12.135.9-9.621.5-10.44.3-11.65.1-9.6-36.237.67.59.9-3.46.5-3356.9-38.9-12.914.7-12
Kaspositie aan het Einde van de Periode 42.9182.287.572.682.3146.138.937.549.861.92635.614.124.520.932.527.43773.235.653.543.64740.573.516.619.610.723.69