Petco Health and Wellness Company, Inc.

NASDAQ:WOOF

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

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

2023202220212020201920182016201520142013201220112010200920082007200620052004200320022001
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 136.649201.901211.602111.402148.785180.64981.40998.88881.383125.02968.43563.65197.126145.18188.959110.86645.10458.48830.96417.2376.4627.103
Kortetermijnbeleggingen 2.25900000000000000000266.827203.141155.115-1.855
Liquide middelen en kortetermijnbeleggingen 136.649201.901211.602111.402148.785180.64981.40998.88881.383125.02968.43563.65197.126145.18188.959110.86645.10458.488297.791220.378161.5775.248
Nettovorderingen 50.86949.5855.61841.82731.51627.87985.59376.63460.48259.955.91258.27949.224043.45342.6544.49136.10428.93622.33520.72718.036
Voorraad 684.502652.43675.111538.675478.968470.14457.5951.52356.0555.06751.45648.66140.7632.03126.63125.51721.4217.85610.4485.5915.1024.501
Overige vlottende activa 79.72460.80986.09145.61326.88234.17456.45755.11985.53269.75867.72666.56659.204100.99840.02537.86941.9533.176-237-180.994-134.43214.379
Totaal vlottende activa 951.7441,015.9941,070.777777.549711.005761.608281.049282.164283.447309.754243.529237.157246.314278.21199.068216.902152.965145.624100.17567.3152.97442.164
Niet-vlottende activa:
Materiële vaste activa, netto 2,200.4172,201.0882,065.3871,955.6552,115.86683.547613.224507.753468.041448.366403.444370.646331.687289.415263.443214.02166.033143.781119.90399.16195.30389.244
Goodwill 980.2972,193.9412,183.9912,179.312,179.312,176.292,164.4221,517.651,415.8611,330.9171,291.2311,237.6071,092.48985.674922.057821.967625.748586.444499.144373.238342.614317.262
Immateriële activa 1,0251,0251,0251,025.7141,026.5531,172.006212.57797.37788.17586.67194.82392.40346.98644.2835.64522.37316.29310.73511.66000
Goodwill en immateriële activa 2,005.2973,218.9413,208.9913,205.0243,205.8633,348.2962,376.9991,615.0271,504.0361,417.5881,386.0541,330.011,139.4661,029.954957.702844.34642.041597.179510.804373.238342.614317.262
Langetermijnbeleggingen 14.916.415.917.218.424.3672.1472.1942.8073.4546.0800000000000
Belastingvorderingen 506.897464.961445.885445.672443.33896.99211.70524.59830.33128.90722.57900000000000
Overige niet-vlottende activa 190.794-304.555-308.999-325.398-339.3489.56988.20475.52943.35829.71229.8940000000-464.025-336.538-335.2510
Totaal niet-vlottende activa 4,918.3055,596.8355,427.1645,298.1535,444.1134,162.7713,092.2792,225.1012,048.5731,928.0271,848.0511,700.6561,471.1531,319.3691,221.1451,058.36808.074740.96166.682135.861102.666406.506
Totaal activa 5,870.0496,612.8296,497.9416,075.7026,155.1184,924.3793,373.3282,507.2652,332.022,237.7812,091.581,937.8131,717.4671,597.5791,420.2131,275.262961.039886.584266.857203.171155.64448.67
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 485.131381.213403.976339.485293.203276.93268.58752.33746.28436.96239.41637.79731.9728.32626.08728.09223.32820.71815.5669.20810.2237.313
Kortlopende schulden 326.469332.56287.661260.492306.87228.35438.3233.62319.35651.08739.00200000000000
Belastingschulden 50.08449.43546.61247.01952.11350.6470000000000000000
Uitgestelde opbrengsten 33.52323.04518.00315.5260021.414.64714.30411.1910.81126.3119.01918.31815.93814.40214.93510.97211.47211.049.5287.364
Overige kortlopende verplichtingen 268.02284.44343.499259.804241.866238.184168.189131.7117.274104.90996.21392.88790.60575.71481.09773.89956.53849.27937.87323.62329.85728.117
Totaal kortlopende verplichtingen 1,113.1431,021.2581,053.139875.307841.941543.47296.496232.307197.218204.148185.442156.994141.594122.358123.122116.39394.80180.96964.91143.87149.60842.794
Langlopende verplichtingen:
Langetermijnschulden 1,576.2232,776.4862,736.5232,729.8564,385.1893,197.4191,309.397838.851775.412568.558591.64132.57128.101000000000
Uitgestelde opbrengsten niet-vlottend 1,116.61500060.022-3,196.3362.091-869.7220.0340.0530.13500000000000
Uitgestelde belastingverplichtingen niet-vlottend 758.526303.121318.355280.92265.276304.203142.535131.478103.502100.09975.84600000000000
Overige niet-vlottende verplichtingen 121.113130.487134.105134.35441.6293,437.71444.56905.80633.1936.75837.2670046.64442.02542.49438.26331.6927.03820.24819.75114.677
Totaal niet-vlottende verplichtingen 3,572.4773,210.0943,188.9833,145.134,752.1163,7431,498.5831,006.413912.138705.468704.88932.57128.10146.64442.02542.49438.26331.6927.03820.24819.75114.677
Totaal passiva 4,685.624,231.3524,242.1224,020.4375,594.0574,286.471,902.1051,262.3031,131.374930.441908.077870.452750.632736.0661,449.0381,286.711971.957897.073266.857203.171155.64468.521
Eigen vermogen:
Preferente aandelen 0000000000000000000000
Gewone aandelen 0.2690.2660.2650.2641,358.131,347.6220.0810.0810.0830.0890.0880.08700.0860.0850.0840.0840.0830.0820.0410.0370.037
Ingehouden winsten -1,047.243232.967142.166-22.251-780.466-707.5181,484.3911,275.2071,064.158928.72791.209745.658000000000-100.02
Overige gereserveerde algehele resultaten 1.821-4.098-2.238-1.275-8.273-2.195-45.406-50.034-19.397-6.191.8470.4180.737-0.163-6.352-3.3350.6221.2090.034-0.08200
Overige totale aandeelhoudersvermogen 2,229.5822,152.3422,133.8212,092.110032.15719.708155.802384.721390.359361.715998.187875.124717.256571.635429.599307.459232.643161.96463.049139.747
Totaal eigen vermogen van aandeelhouders 1,184.4292,381.4772,274.0142,068.848569.391637.9091,471.2231,244.9621,200.6461,307.341,183.5031,107.878998.924875.047710.989568.384430.305308.751232.759161.92363.08639.764
Totaal eigen vermogen 1,184.4292,381.4772,255.8192,055.265561.061637.9091,471.2231,244.9621,200.6461,307.341,183.5031,107.878998.924875.047710.989568.384430.305308.751232.759161.92363.08639.764
Totaal passiva en aandeelhoudersvermogen 5,870.0496,612.8296,497.9416,075.7026,155.1184,924.3793,373.3282,507.2652,332.022,237.7812,091.581,937.8131,717.4671,597.5791,420.2131,275.262961.039886.584266.857203.171155.64448.67