![Shoe Carnival Inc](/common/images/company/N_SCVL.png)
Shoe Carnival Inc (SCVL)
NASDAQ
Quarter End | Jan 2023 | Avr 2023 | Juil 2023 | Oct 2023 | Fév 2024 | Mai 2024 | Août 2024 | Nov 2024 |
---|---|---|---|---|---|---|---|---|
USD (US$) | USD (US$) | USD (US$) | USD (US$) | USD (US$) | USD (US$) | USD (US$) | USD (US$) | |
Actif total | 989,78M | 976,63M | 1,04B | 1,02B | 1,04B | 1,09B | 1,12B | 1,12B |
Total de l'actif circulant | 469,72M | 453,55M | 485,36M | 462,04M | 481,34M | 504,95M | 537,1M | 527,04M |
Trésorerie et équivalents | 51,37M | 32,59M | 34,56M | 59,9M | 99M | 56,92M | 71,63M | 77,24M |
Total des actifs non courants | 661,49M | 523,08M | 557,84M | 561,43M | 729,3M | 587,63M | 577,93M | 597,39M |
Total des passifs | 464,21M | 438,95M | 487,69M | 453,57M | 458,64M | 494,78M | 496,53M | 488,77M |
Total des passifs courants | 157,29M | 135,24M | 154,76M | 121,43M | 127,88M | 149,2M | 159,99M | 135,77M |
Total des passifs non courants | 306,93M | 303,71M | 332,92M | 332,14M | 330,76M | 345,58M | 336,54M | 353,01M |
Capitaux propres ordinaire | 410k | 410k | 410k | 410k | 410k | 410k | 410k | 410k |
Bénéfices non distribués | 653,45M | 667,2M | 683,88M | 702,43M | 714,65M | 728,18M | 747M | 762,49M |
Fin d'année 03 Février 2024 | 2017 | 2018 | 2019 | 2020 | 2021 | 2022 | 2023 | 2024 |
---|---|---|---|---|---|---|---|---|
USD (US$) | USD (US$) | USD (US$) | USD (US$) | USD (US$) | USD (US$) | USD (US$) | USD (US$) | |
Actif total | 458,48M | 415,58M | 418M | 628,37M | 642,75M | 812,26M | 989,78M | 1,04B |
Total de l'actif circulant | 351,75M | 320,59M | 337,31M | 329,65M | 355,31M | 442,03M | 469,72M | 481,34M |
Trésorerie et équivalents | 62,94M | 48,25M | 67,02M | 61,9M | 106,53M | 117,44M | 51,37M | 99M |
Total des actifs non courants | 318,88M | 307,3M | 304,43M | 297,36M | 310,18M | 452,53M | 525,57M | 583,39M |
Total des passifs | 139,6M | 108,28M | 113,57M | 331,01M | 332,57M | 359,73M | 464,21M | 458,64M |
Total des passifs courants | 86,3M | 56,78M | 70,78M | 122,51M | 130,9M | 153,71M | 157,29M | 127,88M |
Total des passifs non courants | 53,3M | 51,49M | 42,78M | 208,51M | 201,67M | 206,02M | 306,93M | 330,76M |
Total des capitaux propres | 318,88M | 307,3M | 304,43M | 297,36M | 310,18M | 452,53M | 525,57M | 583,39M |
Capitaux propres ordinaire | 206k | 205k | 205k | 205k | 205k | 410k | 410k | 410k |
Bénéfices non distribués | 312,64M | 326,74M | 360,44M | 395,76M | 406,66M | 553,49M | 653,45M | 714,65M |
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