Vail Resorts, Inc.【MTN】 キャッシュフロー計算書

機能の使い方
(単位:千ドル) 1Q11 2Q11 3Q11 4Q11 1Q12 2Q12 3Q12 4Q12 1Q13 2Q13 3Q13 4Q13 1Q14 2Q14 3Q14 4Q14 1Q15 2Q15 3Q15 4Q15 1Q16 2Q16 3Q16 4Q16 1Q17 2Q17 3Q17 4Q17 1Q18 2Q18 3Q18 4Q18 1Q19 2Q19 3Q19 4Q19 1Q20 2Q20 3Q20 1Q21 2Q21 3Q21 4Q21 1Q22 2Q22 3Q22 4Q22 1Q23 2Q23 3Q23 4Q23 1Q24 2Q24 3Q24 4Q24 1Q25 2Q25 3Q25 4Q25 1Q26 2Q26
株式報酬費用 3,290 3,147 2,901 3,155 4,032 2,788 2,529 2,650 3,472 3,159 2,913 2,805 3,492 3,562 3,485 3,685 4,201 4,025 3,492 4,035 4,090 4,300 4,275 4,360 4,577 4,574 4,437 4,727 4,521 4,891 4,644 4,984 4,753 5,147 4,886 5,070 5,251 5,538 5,338 5,754 6,579 6,184 5,878 6,425 6,479 6,029 5,952 6,345 6,844 5,873 6,347 6,796 7,336 6,119 6,552 6,691 7,526 6,967 12,778 6,242 6,960
営業キャッシュフロー 118,173 125,532 47,640 -24,058 38,335 99,054 96,656 -48,626 34,577 136,700 120,068 -68,922 29,293 145,328 131,576 -60,319 24,479 249,706 120,291 -90,816 74,571 234,897 145,959 -28,665 45,503 271,415 161,395 -21,399 148,753 272,152 162,407 -31,687 177,081 329,100 159,415 -31,365 209,339 328,350 -70,710 111,993 347,076 92,068 -25,887 349,021 262,308 161,655 -62,485 332,991 272,502 121,390 -87,320 328,499 242,662 109,853 -94,240 282,424 326,257 117,749 -171,560 315,943 259,907
資本的支出 -36,901 -24,986 -11,682 -22,071 -51,003 -42,183 -14,813 -24,626 -35,907 -18,013 -11,541 -29,485 -46,751 -47,020 -14,329 -10,205 -27,756 -46,264 -11,563 -38,301 -25,077 -52,160 -11,070 -20,930 -46,043 -47,393 -18,400 -32,596 -37,449 -49,918 -18,947 -34,297 -47,881 -65,650 -33,365 -45,139 -52,621 -69,167 -23,984 -30,168 -37,170 -18,257 -29,502 -50,130 -78,724 -32,988 -30,975 -124,099 -82,455 -54,705 -53,653 -53,379 -76,912 -24,820 -56,086 -71,017 -75,012 -33,221 -55,941 -71,673 -74,911
投資キャッシュフロー -97,355 -25,316 -11,791 -23,726 -51,139 -42,609 -38,674 -23,532 -35,652 -37,980 -10,926 -23,680 -46,651 -46,971 -13,558 -10,726 -209,627 -46,189 -8,993 -162,259 -22,054 -71,467 -14,151 -16,344 -550,161 -41,660 -18,128 -72,887 -33,652 -48,113 -18,817 -33,997 -340,663 -63,661 -148,330 -43,380 -376,754 -68,992 -20,732 -29,274 -36,456 -9,286 -28,313 -39,857 -185,675 -30,033 -92,352 -134,531 -71,494 -15,235 -51,907 5,565 -71,644 -24,808 -150,182 -71,006 -57,014 -27,462 -49,015 -71,673 -74,328
配当金の支払額 - - - - 5,429 5,400 6,800 6,690 6,729 -6,700 -7,500 7,457 7,489 7,500 15,012 15,023 15,061 15,061 22,634 22,728 22,654 22,600 29,300 29,305 29,390 32,400 42,300 42,235 42,603 42,600 59,500 59,461 59,547 59,170 70,900 71,001 71,091 70,959 70,684 - - - - 35,594 35,744 77,513 76,949 77,018 77,029 81,607 78,746 78,471 78,206 83,792 83,231 83,145 82,829 82,481 79,745 79,813 79,103
自己株式の取得による支出 - - - - 7,869 0 0 22,496 0 0 0 - - - - - - - - - 40,000 0 13,800 0 0 210 0 0 - - 25,800 0 50,000 35,000 0 0 21,400 0 25,000 - - - - - - 37,500 37,500 - - - 100,000 50,000 0 75,000 25,000 20,000 20,000 30,000 200,000 - 45,000
長期借入れによる収入 100,000 89,000 - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -
長期借入金の返済による支出 116,698 109,369 638 156 303 56,080 619 50 - - 545 22 - - 977 21 30,253 213,283 10,477 -252,991 253 4 4 5 - - - - - - - - - - - - - - - - - - - - - 0 - - - - - - - - - - - - - - -
財務キャッシュフロー -15,985 -22,543 35,496 -50,669 -12,601 -5,541 -6,510 -28,870 -1,025 -6,155 -7,936 -6,674 -7,044 -7,321 -15,878 -191,969 170,598 -196,682 -22,666 164,001 -47,578 -157,600 -109,890 43,851 543,441 -195,156 -87,648 11,255 -88,608 -133,540 -191,795 63,228 135,895 -240,906 -119,634 125,087 198,440 -268,276 441,210 -12,684 525,971 -38,971 -39,654 -84,734 -135,959 -131,960 -140,483 -104,628 -96,749 -501,799 -212,532 -153,608 -97,569 -182,258 -141,353 -132,302 -170,444 -134,802 194,901 -100,981 -392,175
フリーキャッシュフロー 251,245 84,528 -227,501 244,270 184,996
FCFマージン(%) 22.1 6.5 -83.9 90.1 17.1