Watts Water Technologies, Inc.

NYSE:WTS

206.8 (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 262.1251.5165.7114.3131.5124.873.184.2-112.950.360.970.664.763.142.747.377.477.09355.0248.73836.47332.62226.55624.0013653.451.8-50.345.74130.436.631.727.723
Afschrijvingen & Amortisatie 43.339.745.146.546.648.552.251.252.548.148.949.451.444.846.845.139.435.29126.11828.05121.28422.29423.67520.07117.423.220.821.624.622.420.617.613.611.68.8
Uitgestelde Inkomstenbelasting -18.8-29.6-8.271.3-15.36.43.5-20.5-2.7-6.80-0.6-6.99.4-18.7-8.2-2.081-1.279-5.735-0.0751.884-3.4211.38-2.81.13.7-14.62.7-0.2-1.3-4.3-0.900.2
Aandelen Gebaseerde Vergoedingen 20.218.422.912.717.813.813.913.410.98.69.66.68.34.74.95.362.98500000000000000000
Verandering in Werkkapitaal 3.8-55.8-46.144.3-4-2.68.2-7.6-12.715.64.21.2-0.85.190.443.4-25.1-22.79-28.564-31.551-8.757-5.142.4984.9563.5-11.8-6.19.2-32.3-26.9-2.8-11.26.1-19-6.1
Vorderingen 6.2-20-30.232.2-156-7.5-7.1139.6-3.51.83.5-8.238.324.86.5-16.957-16.546-5.7452.186.2950000000000000
Voorraden 27-16.4-113.718.717-34.5-8.49.821.221.4-17.3-6.23.10.871.514.1-8.1-37.293-20.33-34.172-8.367-2.7644.2133.648-0.5-18.77.7-17.5-16-18.6-3.5-4.28-15.5-5.5
Crediteuren -8.8-21.398.6-7.3-4.425.39.4-15.2-29.1-26.339.54.70.63.50-22.3-22.329.52412.4110.545-0.014-7.230000000000000
Overig Werkkapitaal -20.61.9-0.80.7-1.60.614.74.9-17.810.9-14.50.9-89-19.426.8-1.21.936-4.098-2.179-2.556-1.441-1.7151.30846.9-13.826.7-16.3-8.30.7-7-1.9-3.5-0.6
Overige Niet-Contante Posten 0.2-0.21.440.80.22.1-6.6192.115.31.45.53.38.1-10.823.42.3-7.364-1.056.553-6.4632.174-1.74-2.92816.8-0.2-11.590.9-0.10.1-0.10.1-0.1-0.3-0.1
Kasstroom uit Operationele Activiteiten 310.8224180.8228.8194169.4155.9138.1109.4135.2118.2133.3126.3118.9183.4145.891.883.13450.81746.76343.52753.59951.23754.82665.162.858.955.440.336.44738.950.42026.2
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -29.7-28.1-26.7-43.8-29.2-36.6-30.9-36-27.7-23.7-27.7-30.7-23.6-24.6-24.2-26.6-37.8-44.648-18.59-20.999-20.035-19.593-16.047-14.238-133.6-54.1-29.9-32.2-49.8-21.9-25.8-18.1-14.1-17.8-12.3
Netto Overnames -313.45.2-9.1-13.2-42.7-1.70.1-88-20.4-272.20-17.5-165.5-36.3-0.3-177.3-22.6-93.42-191.396-68.453-18.584-26.233-42.977-9.9820000000.60000
Aankoop van Beleggingen 00000000000-2.1-8.1-40.5-2.7-27.5-11.8250.652-2500000-0.1-0.7000-6.9-27.6-380-34.9
Verkoop/verval van Beleggingen 00000000002.14.18.16.51.733.30.431.86726.62.400000004.554.37.432.70034.70
Overige Investeringsactiviteiten 05.25.12.20.12.43.51030.80.49.411.60.86.30.71.10.1-1.187-0.4690.6731.5742.0050.775-0.0291.97.450.7-14-72.5-11.6-37-60.1-30.6-34.4-14.1
Kasstroom uit Investeringsactiviteiten -343.1-22.9-30.7-54.8-71.8-35.9-27.3-114-17.3-295.5-16.2-34.6-188.3-52.1-21.6-172.2-87.4-119.213-183.203-111.379-37.045-43.821-58.249-24.249-131.7-46.820.1-41.7-68-26.1-36.4-105.8-82.7-17.5-61.3
Financieringsactiviteiten:
Schuldaflossingen -147.2-84.7-96.4-519.6-127-201.1-182.9-616.3-6-5.9-82-26.8-170.6-52.1-61.5-56.2-29.40000-1.38500-84.80-34.400-5.300000
Uitgifte van Gewone Aandelen 0.10.440.140884.11.91.70.70.30.400.55.43.40.41.61.1221.2823.9235.83787.938.0032.5760.6750.12.71.90.82.12.41.31.3370.50
Terugkoop van Gewone Aandelen -31.8-69.4-16-28.9-19.5-26-18.2-26.8-44.6-39.6-23-65.8-27.2751.4-44.5-23.60000-1.385-1.3850-9.4-2.6-25.6-28.60-12.100000
Uitgekeerde Dividenden -46.5-39.5-34.3-31.4-31.4-28.3-25.9-24.5-23.1-20.5-17.7-16-16.3-16.4-16.2-16.2-15.6-12.445-10.48-9.071-6.859-6.49-6.422-7.107-9.4-8.9-8-7.8-7-5.9-4.8-3.6-2.9-2.3-1.8
Overige Financieringsactiviteiten 0.171.5-12-10-11.850.621.7694.62.5286.413.227.4184.8-3-1.322.91123.254119.481-13.29246.979-11.82610.959-21.43169.5-11.10.218.530.80.12.174.1-5.7-3.240.7
Kasstroom uit Financieringsactiviteiten 69-121.7-118.6-181.9-105.6-202.9-205.327.7-70.9220.8-109.5-80.7-23.96.9-77.2-92.4-66.5332.091112.924-16.526128.05-13.0835.728-27.86266-19.9-65.9-17.125.9-20.8-1.471.828.4-538.9
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 2.6-10.6-8.47.1-1-6.718.5-9.6-26.1-27.34.13.27.3-2.78-5.99.41.209-0.6932.0543.8562.281-0.214-0.4962.60.20.80.1-0.2-0.2-2.20.4-0.10.10
Netto Kasstroomverandering 39.368.823.1-0.815.6-76.1-58.242.2-4.933.2-3.421.2-78.67192.6-124.7-52.7297.221-20.155-79.088138.388-1.024-1.4982.2182-3.713.9-3.3-2-10.775.3-4-2.43.8
Kaspositie aan het Einde van de Periode 350.1310.8242218.9219.7204.1280.2338.4296.2301.1267.9271.8250.6329.2258.2165.6290.3342.97945.75865.913149.36110.97311.99715.23412.810.213.904.26.21710.14.88.711.1