Kingspan Group plc

Simbol: KGSPF

PNK

75

USD

Prețul de piață astăzi

  • 17.0376

    Raportul P/E

  • 0.4543

    Raportul PEG

  • 14.29B

    MRK Cap

  • 0.01%

    Randament DIV

Kingspan Group plc (KGSPF) Situații financiare

Pe grafic puteți vedea cifrele implicite în dinamică pentru Kingspan Group plc (KGSPF). Veniturile companiei arată media NaN M, care reprezintă NaN %. Profitul brut mediu pentru întreaga perioadă este NaN M, care este NaN %. Rata medie a profitului brut este NaN %. Creșterea venitului net pentru performanțele companiei din ultimul an este NaN % care este egală cu NaN % % în medie pentru întreaga istorie a companiei.,

Bilanț

Având în vedere traiectoria fiscală a Kingspan Group plc, observăm o creștere medie a activelor. În mod interesant, această rată se află la , reflectând atât maximele cât și minimele companiei. Comparată cu trimestrul peste trimestru, această cifră se ajustează la . O privire în urmă asupra anului trecut arată o modificare totală a activelor de NaN. Valoarea acționarilor, reprezentată de capitalul total al acționarilor, este evaluată la NaN în moneda de raportare. Variația de la un an la altul a acestui aspect este NaN%.

common:word.in-mln

USD
Growth
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balance-sheet.row.inventory

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balance-sheet.row.other-current-assets

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balance-sheet.row.total-current-assets

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balance-sheet.row.property-plant-equipment-net

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balance-sheet.row.goodwill

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balance-sheet.row.intangible-assets

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balance-sheet.row.goodwill-and-intangible-assets

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balance-sheet.row.long-term-investments

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balance-sheet.row.tax-assets

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balance-sheet.row.other-non-current-assets

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balance-sheet.row.total-non-current-assets

04844.44467.53378.9
2686.6
2745.7
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1935.9
1806.8
1567
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933
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324.8
298.7
308.6
329.4
216.4
181.1
99.6
65.9
43.5
23.3
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14.9
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6.7
6.9

balance-sheet.row.other-assets

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balance-sheet.row.total-assets

08001.67681.46387.9
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292.6
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105.9
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35.9
25.9
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balance-sheet.row.account-payables

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768.9
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585.2
468.2
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297.6
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93
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128
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139.5
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73.8
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balance-sheet.row.short-term-debt

0248.6128.2112.4
236.9
28.7
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132.7
6.9
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14.3
31.9
16.9
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34.6
38.9
108.7
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35.2
82.8
54.9
35.7
24.7
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4
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balance-sheet.row.tax-payables

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balance-sheet.row.long-term-debt-total

01709.12257.51443.1
1463.6
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657.3
470.9
204.6
292.4
316.2
317.8
213.7
201.1
345.2
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206
226.8
79.4
126.1
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220.3
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61.9
69.2
18.6
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5.5
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Deferred Revenue Non Current

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117.2
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70.2
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51.5
42.6
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balance-sheet.row.other-current-liab

0913.3174.941.7
78.1
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121.3
73.4
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93.5
215.2
197.6
186.4
203.8
222.2
194
147.5
106.6
66.1
79.1
69.8
57.5
41.8
41.7
28.4
21
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balance-sheet.row.total-non-current-liabilities

02140.92485.21759.2
1740.8
1239.4
1221.7
881.5
767.4
567.1
284.1
351.8
375.2
350
241.2
241.4
371.3
261.6
245.5
257.2
113.2
148.8
178.7
240
83.8
86.2
74.2
22.6
12.2
4.8
4.6
6.6
6.9
7.2
4.8
4.4
5.2

balance-sheet.row.other-liabilities

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balance-sheet.row.capital-lease-obligations

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balance-sheet.row.total-liab

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2240.5
1667.6
1533.1
1255.3
827.4
734.9
770.1
699.4
546.1
545
719.9
652
613.6
552.8
417.5
342.4
373.6
419.8
297.9
251.2
195.5
112.6
72.6
31.7
22.7
21.7
23.7
27.2
23.3
17.3
14.8

balance-sheet.row.preferred-stock

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balance-sheet.row.common-stock

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23.8
23.7
23.6
23.4
23.3
23
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22.5
22.3
22.3
22.3
22.3
22.1
22.2
22
21.8
21.7
21.6
22
21.9
21.8
21.3
21.1
3.6
3.4
2.6
2.6
2.6
2.6
2.6
2.6
0.5

balance-sheet.row.retained-earnings

04086.63527.63108.1
2597.2
2221.6
1916.2
1642.7
1406.6
1194.9
1022.9
942
865.2
806.1
745.3
699.4
651.8
681.8
519.4
393.9
300.2
240
200.5
187.5
140
94.9
54
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16.6
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balance-sheet.row.accumulated-other-comprehensive-income-loss

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balance-sheet.row.other-total-stockholders-equity

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2
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21.5
22.5
22.8
14.1
18.1
9
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3.7
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balance-sheet.row.total-stockholders-equity

038483319.72892.1
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1750.3
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1282.4
1001.1
851.8
806.3
728.8
662
580.8
517.3
669.7
543.5
416.3
304.6
248.4
235.9
231
184.4
139.5
89.3
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23.3
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balance-sheet.row.total-liabilities-and-stockholders-equity

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3004.6
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1213.1
1130.5
1239
1324.9
1160.4
969.5
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592.1
611.2
652.5
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395.8
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balance-sheet.row.minority-interest

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1.8
3.2
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0.4
0.4
1.3
1.7
1.8
3.3
5.1
7.9
9.2
10
6.4
3.6
1.9
1.6
1.4
1.2
0
0.2

balance-sheet.row.total-equity

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1788.9
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balance-sheet.row.total-liabilities-and-total-equity

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Total Investments

0128.493.613.2
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8.2
0
0
0
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0
0
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0.2
0.2
0.8
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0.6
9.2
0.1
0
0
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2.7
2.5
1.6
1.3
0.7
0.6

balance-sheet.row.total-debt

021382385.71555.5
1700.5
973.7
1020.2
662.7
698.4
569.6
337.3
299.3
320
328.2
227.9
233
362.1
280.5
240.6
265.7
188.2
172.4
184.5
255.5
146.2
116.8
104.9
43.3
23
7.6
5.4
8.2
9.6
9.5
6.8
4.4
4.9

balance-sheet.row.net-debt

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782.8
725.7
486.1
476.4
357.6
151.6
102
178.4
187.2
123.5
149.1
286.9
213.9
171.6
145.5
100.4
116.7
112.7
164
101.4
88.3
33
20.5
15.6
0.2
1.7
3.5
6.5
5.8
1.6
1.8
4.3

Situația fluxurilor de numerar

Peisajul financiar al Kingspan Group plc a înregistrat o schimbare notabilă a fluxului de numerar liber în ultima perioadă, prezentând o schimbare de NaN. Compania și-a extins recent capitalul social prin emiterea de NaN, marcând o diferență de NaN față de anul precedent. Activitățile de investiții ale societății au avut ca rezultat o utilizare netă de numerar, în valoare de NaN în moneda de raportare. Aceasta reprezintă o schimbare de NaN față de anul precedent. În aceeași perioadă, compania a înregistrat NaN, NaN și NaN, care sunt semnificative pentru înțelegerea strategiilor de investiții și rambursare ale companiei. Activitățile de finanțare ale companiei au dus la o utilizare netă de numerar de NaN, cu o diferență de la un an la altul de NaN. În plus, societatea a alocat NaN pentru plata dividendelor către acționarii săi. În același timp, aceasta s-a angajat în alte manevre financiare, denumite NaN, care au avut, de asemenea, un impact semnificativ asupra fluxului său de numerar în această perioadă. Aceste componente, luate împreună, oferă o imagine cuprinzătoare a situației financiare a întreprinderii și a abordării strategice a gestionării fluxurilor de numerar.

common:word.in-mln

USD
Growth
TTM202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991

cash-flows.row.net-income

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102
90
90.9
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82
236.7
194
145.1
103.3
71.5
73.1
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76.8
65
51.2
41.5
18.1
7.5
5.2
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2.7

cash-flows.row.depreciation-and-amortization

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75.8
69.6
45.7
43.9
43.3
42.7
40.2
40.5
41.8
44.5
42
32.5
25
21.9
21.6
22.5
16
13.7
10.3
6.9
4
2
1.2
1.5
1.5
1

cash-flows.row.deferred-income-tax

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-22.6
-21.1
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cash-flows.row.stock-based-compensation

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10.4
8.1
7.7
7.2
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5.4
4.5
2.8
2.4
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3.5
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0

cash-flows.row.change-in-working-capital

0276.2-128.5-422.4
104.9
7.3
-3.5
-87.7
-39.4
45
-34.2
-22
32.4
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-39.5
105.2
99.5
-53
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7.2
35.4
-15.2
-21.4
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-9.7
-3.8
0.5
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1.7
-0.5
-0.3

cash-flows.row.account-receivables

07425.7-298.8
-1.8
57.3
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0

cash-flows.row.inventory

0299.214.6-525.7
38.2
5.8
4.7
-64.8
-39.9
57.5
-23.5
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10.6
-13.4
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50.7
-4.2
-21.8
-18.4
8
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-4.7
-3.2
19.1
-15.1
-3.9
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-2.2
0.4
-1.7
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0.9
0.5
1.1

cash-flows.row.account-payables

0-75.1-176.5395.2
71.3
-57.5
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0

cash-flows.row.other-working-capital

0-21.97.76.9
-2.8
1.7
-8.2
-22.9
0.5
-12.5
-10.7
-15.3
21.8
0.5
-25.4
54.4
103.8
-31.2
-19.6
-10
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10.4
16.3
0
-17.4
-10.4
-7.4
-4.2
2.2
0
0.8
-1
-1.4

cash-flows.row.other-non-cash-items

02637.736.7
25
20.8
18.1
-5.2
7.3
22.9
13.9
-3.3
-28.7
-22.8
-15.2
-26.1
-32.5
-48
-41
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-46.4
-29
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-26.6
-28
-13.2
-10
-4.5
-2.1
-1.8
-1.2
-1.5
-1.6

cash-flows.row.net-cash-provided-by-operating-activities

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0
0
0
0

cash-flows.row.investments-in-property-plant-an-equipment

0-237.7-269.2-168.8
-131.8
-161
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-89.8
-113.3
-79.3
-45.4
-41.8
-34.2
-28.8
-22.5
-48.6
-100
-144.9
-59.4
-46.8
-55.7
-39.7
-30
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-31.8
-17.8
-20.3
-12.8
-10.7
-7.9
-5.3
-2.1
-1.6
-3.9

cash-flows.row.acquisitions-net

0-221-938.8-540.2
-46.1
-201.9
-464.1
-173.9
-254.4
-438.7
-105
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-73
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-1.2
-17.8
-87.7
-48.5
-94
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7
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-8
-101.9
-18.3
-55.2
-8
-35.1
-27.2
1.1
-0.7
0
0.1
-2.1

cash-flows.row.purchases-of-investments

0-22.2-113.3-5
0
0
-8.2
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
-12.2
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0
0
0
0
0
0
0

cash-flows.row.sales-maturities-of-investments

05.620.30
0
0
0
0
0
0
0
0
0
0
0
0.2
0
0
0.5
0
0
0
0
0
0.7
0
0
0
0
0
0
0
0
0

cash-flows.row.other-investing-activites

0-5.6-25.3
6.7
9.5
14.3
5.6
10.3
10.1
15.1
5.7
3
5.5
6.5
4.4
4.7
9.2
4.4
6.3
3
6.8
-4.8
-21.3
3.3
3.6
-6
0.7
0.8
0.3
3.9
-0.7
-0.6
0.1

cash-flows.row.net-cash-used-for-investing-activites

0-480.9-1303-708.7
-171.2
-353.4
-602.2
-253.3
-357.4
-507.9
-135.3
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-17.1
-61.8
-183
-184.3
-148.5
-166
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-40.4
-42.9
-159
-59
-69.8
-43.4
-47.2
-37.1
-6.5
-2.2
-2.8
-2
-5.8

cash-flows.row.debt-repayment

0-263-66-263.2
-3.4
-181.6
-92.8
-41.8
-99.4
-119.3
0
0
-3.6
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0
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0
0
-36
-89.9
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0
-31.7
0
0
-16.2
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-2.4
-1.1
-2.7
-0.7
0
0

cash-flows.row.common-stock-issued

0-60.500.1
0
0.1
0.1
0.2
3.2
9.3
5.5
2.8
2.7
0.3
0.5
0.7
2.7
4.6
3.3
2.7
1.6
0.6
1.1
0.5
1.1
0.2
0.2
25.5
5.1
1.4
1.1
0
0
0

cash-flows.row.common-stock-repurchased

0-0.7-1.4-46.9
0
-0.6
0
-1.5
-1.3
0
0
0
0
149.3
0
0
0
0
-2.4
151
187.3
-0.4
-8
-4
0
-0.5
0
0
-0.9
0
0
0
0
0

cash-flows.row.dividends-paid

0-91.2-93.7-73.5
0
-77.6
-68.3
-61.7
-48
-31.8
-25.3
-21.6
-19.2
-17.3
-6.7
0
-42.3
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-17.7
-13.2
0
-0.1
0
0
-7
0
0
-22.1
0
0
0
0
0

cash-flows.row.other-financing-activites

0-0.9791.931.8
716.3
-24.4
445
39.2
442.8
336
-4.4
-10.9
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149.5
2.8
-0.9
50.6
35.2
-2.4
151
187.2
1.2
-0.1
67.1
33.4
3.8
65.2
11.5
20.5
-0.2
-0.1
-0.1
0
2.4

cash-flows.row.net-cash-used-provided-by-financing-activities

0-416.3630.8-351.7
712.9
-284.1
284
-65.6
75.9
194.2
-24.2
-29.7
-37.8
66.5
-3.3
-139.3
11
4.3
-60.2
46.2
-2.8
1.4
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63.6
34.5
-12.7
53.6
30.4
22.3
0.1
-1.7
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-0.1
2.4

cash-flows.row.effect-of-forex-changes-on-cash

01.8-11.942.9
-41.4
13.5
-2.2
-10.1
-18.1
3.8
9
-4.2
2.2
0.9
2.5
1.7
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0
5.4
0.5
0
0
-0.8
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5.1
0
0
0
0
0
0.2
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0

cash-flows.row.net-change-in-cash

0289.47.9-688.3
1138.8
-103.6
117.9
-45.4
10
26.3
-10.9
56.1
3.9
37.9
39.6
-14.4
11.3
1.1
-48.4
25
32.3
-9.3
-8.8
13.3
25.2
-48
40.7
11.9
-1.1
1.4
-1.1
2.8
-0.9
-1.7

cash-flows.row.cash-at-end-of-period

0938.7649.3641.4
1329.7
190.9
294.5
176.6
222
212
185.7
197.3
141.2
134
93.2
71
58.4
20.5
34.4
81.3
-20.9
9.4
43.4
56.2
-38
-26.3
36.1
-1.9
-6.7
3.4
2.7
3.8
1
1.9

cash-flows.row.cash-at-beginning-of-period

0649.3641.41329.7
190.9
294.5
176.6
222
212
185.7
196.6
141.2
137.4
96.1
53.6
85.4
47.1
19.4
82.8
56.3
-53.2
18.8
52.2
42.9
-63.2
21.7
-4.6
-13.8
-5.5
2
3.8
1
1.9
3.5

cash-flows.row.operating-cash-flow

01184.8692329.2
638.5
520.4
438.3
283.6
309.6
336.2
139.6
127.7
143.7
103.3
57.4
185
193.4
185.9
160.4
139.5
80.2
29.7
72.8
109.4
51
29.4
30.5
28.7
13.7
7.8
2.8
6.2
1.3
1.8

cash-flows.row.capital-expenditure

0-237.7-269.2-168.8
-131.8
-161
-144.2
-89.8
-113.3
-79.3
-45.4
-41.8
-34.2
-28.8
-22.5
-48.6
-100
-144.9
-59.4
-46.8
-55.7
-39.7
-30
-35.8
-31.8
-17.8
-20.3
-12.8
-10.7
-7.9
-5.3
-2.1
-1.6
-3.9

cash-flows.row.free-cash-flow

0947.1422.8160.4
506.7
359.4
294.1
193.8
196.3
256.9
94.2
85.9
109.4
74.5
34.9
136.4
93.3
41
100.9
92.7
24.5
-10
42.8
73.6
19.2
11.6
10.2
15.9
3
0
-2.5
4.2
-0.3
-2

Rândul din contul de profit și pierdere

Veniturile Kingspan Group plc au înregistrat o schimbare de NaN% față de perioada anterioară. Profitul brut al KGSPF este raportat la NaN. Cheltuielile de exploatare ale companiei sunt NaN, înregistrând o schimbare de NaN% față de anul trecut. Cheltuielile pentru depreciere și amortizare sunt NaN, ceea ce reprezintă o schimbare de NaN% față de ultima perioadă contabilă. Cheltuielile de exploatare sunt raportate ca fiind NaN, ceea ce indică o variație de NaN% de la un an la altul. Cheltuielile de vânzare și de marketing sunt NaN, ceea ce reprezintă o schimbare de NaN% față de anul precedent. EBITDA pe baza cifrelor recente este NaN, ceea ce reprezintă o creștere de NaN% față de anul trecut. Venitul operațional este NaN, ceea ce arată o schimbare de NaN% față de anul precedent. Modificarea venitului net este de NaN%. Venitul net pentru anul trecut a fost NaN.

common:word.in-mln

USD
Growth
TTM202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988

income-statement-row.row.total-revenue

08090.68340.96497
4576
4659.1
4372.5
3668.1
3108.5
2774.3
1891.2
1790.3
1628.7
1546.9
1193.2
1125.5
1672.7
1863.2
1461.2
1243.4
958.1
783.9
739.6
828.9
662.6
532.5
368.8
303.5
160.2
105.8
70.1
61.2
53.1
56
53.3
40.5
28.9

income-statement-row.row.cost-of-revenue

05792.66124.64640.9
3190.5
3304.3
3158
2615.4
2168.3
1966.9
1375.1
0
1182.7
1124.6
859.5
816.6
1205.2
1300.5
1004.6
866.3
675.7
551.5
515.2
589.4
455.9
369.2
254.3
0
0
0
0
0
0
0
0
0
0

income-statement-row.row.gross-profit

022982216.31856.1
1385.5
1354.8
1214.5
1052.7
940.2
807.4
516.1
1790.3
446
422.3
333.7
308.9
467.5
562.8
456.6
377.1
282.4
232.4
224.4
239.5
206.6
163.4
114.5
303.5
160.2
105.8
70.1
61.2
53.1
56
53.3
40.5
28.9

income-statement-row.row.gross-profit-ratio

0000
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0

income-statement-row.row.research-development

0---
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-

income-statement-row.row.selling-general-administrative

0---
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-

income-statement-row.row.selling-and-marketing-expenses

0---
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-

income-statement-row.row.other-expenses

0000
0
0
0
0
0
0
0
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0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0.1
0.1
0
0
0
0
0

income-statement-row.row.operating-expenses

014561415.51130.8
900.8
879.6
791.5
691
612
560.7
372.6
-1674.8
341.5
331.2
266.6
237.5
307.5
326.7
262.4
229.7
177.9
153.4
141.3
142.3
126.1
97.5
62.9
261.9
142.1
99
65.5
57.1
51.2
56
53.3
40.5
28.9

income-statement-row.row.cost-and-expenses

07248.67540.15771.7
4091.3
4183.9
3949.5
3306.4
2780.3
2527.6
1747.7
-1674.8
1524.1
1455.7
1126.1
1054.1
1512.7
1627.2
1267
1096.1
853.6
704.9
656.5
731.7
582
466.7
317.2
261.9
142.1
99
65.5
57.1
51.2
56
53.3
40.5
28.9

income-statement-row.row.interest-income

019.21.736
1.1
2.9
1.4
0.5
0.1
0.3
0.6
0.5
0.6
0.8
1.4
1.8
1.9
1.8
2.8
1.5
0.9
0.8
1.6
1.5
1.1
1.2
0.7
0.4
0.2
0.3
0.2
0.1
0.2
0.4
0.5
0.3
0.2

income-statement-row.row.interest-expense

063.339.436.2
24.1
23.3
19.8
16.8
14.2
14.5
13.7
14.6
15.7
13.6
10.4
12.8
15.8
14.3
11.6
11.6
7.8
6.8
11
16.7
10.4
7.5
4
3.2
1.4
0.7
0.8
1
1.1
0.7
0.5
0.5
0.5

income-statement-row.row.selling-and-marketing-expenses

0---
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-

income-statement-row.row.total-other-income-expensenet

0-47.8-37.7-36.3
-25
-20.8
-18.1
-15.9
-14.3
-14.8
-14
-13.5
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-6
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0.3
-0.4
-1.2
-0.5
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-0.5
-0.5

income-statement-row.row.ebitda-ratio-caps

0---
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-

income-statement-row.row.other-operating-expenses

0000
0
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0
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0
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0
0
0
0

income-statement-row.row.total-operating-expenses

0-47.8-37.7-36.3
-25
-20.8
-18.1
-15.9
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-14.8
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0.3
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-0.5

income-statement-row.row.interest-expense

063.339.436.2
24.1
23.3
19.8
16.8
14.2
14.5
13.7
14.6
15.7
13.6
10.4
12.8
15.8
14.3
11.6
11.6
7.8
6.8
11
16.7
10.4
7.5
4
3.2
1.4
0.7
0.8
1
1.1
0.7
0.5
0.5
0.5

income-statement-row.row.depreciation-and-amortization

0232.6197.5167.9
145.5
136.4
98.2
79.9
75.8
69.6
45.7
43.9
43.3
42.7
40.2
40.5
41.8
44.5
42
32.5
25
21.9
21.6
22.5
16
13.7
10.3
6.9
4
2
1.2
1.5
1.5
1
1.3
0.7
0.6

income-statement-row.row.ebitda-caps

0---
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-

income-statement-row.row.operating-income

0842784.3725.3
484.7
475.2
423
362.4
328.3
246.8
141.5
115.5
104.7
90.9
67.4
62.7
82
236.7
194
145.1
103.3
71.5
73.1
88.6
76.8
63.3
51.2
41.5
18.1
7.5
5.2
4.2
1.8
3.3
4.1
3.3
2.6

income-statement-row.row.income-before-tax

0794.2746.6689
459.7
454.4
404.9
346.5
314
232
127.5
102
90
77.8
55.7
56.7
68.1
224.2
185.2
135
96.4
65.4
63.7
73.4
67.5
58.7
48
38.7
16.8
7.8
4.7
3
1.4
2.6
3.6
2.8
2.1

income-statement-row.row.income-tax-expense

0140.3130.6118.4
74.9
76.6
69.1
60.6
58.5
41.4
21
12.8
15.3
14.9
6.6
8.7
24.2
36.9
33.5
23.6
18.3
14
13.3
17.9
16.1
12.9
11.2
8.6
3.1
1
0.6
0.3
0.2
0.4
0.5
0.3
0.2

income-statement-row.row.net-income

0640.3598554.1
373.6
369.4
330.9
284.3
255.4
188.1
107.2
87.6
73.5
61.8
48.7
47.7
45
187.3
151
111.4
78.1
51.4
50.5
55.4
51.2
45.7
36.5
29.4
13.2
6.3
3.8
2.5
1
2
3.1
2.6
1.9

Întrebări frecvente

Ce este Kingspan Group plc (KGSPF) totalul activelor?

Kingspan Group plc (KGSPF) activele totale sunt 8001600000.000.

Care este venitul anual al întreprinderii?

Venitul anual este N/A.

Care este marja de profit a întreprinderii?

Marja de profit a firmei este 0.286.

Care este fluxul de numerar liber al întreprinderii?

Fluxul de numerar liber este 7.760.

Care este marja de profit net a întreprinderii?

Marja profitului net este 0.079.

Care este venitul total al întreprinderii?

Venitul total este 0.104.

Care este Kingspan Group plc (KGSPF) profitul net (venitul net)?

Profitul net (venitul net) este 640300000.000.

Care este datoria totală a firmei?

Datoria totală este 2138000000.000.

Care este numărul cheltuielilor de exploatare?

Cheltuielile de exploatare sunt 1456000000.000.

Care este cifra de numerar a firmei?

Numerarul întreprinderii este 0.000.