NUCOR CORPNUE

時価総額
$365.3億
PER
鋼鉄の製造・鋼製品販売の北米最大手。EAF製鋼で板・形鋼・棒鋼、ジョイストや鋼デッキなどの製品群を展開。2024年7月に高性能オーバードア事業を約5.65億ドルで買収、2022年6月に商用オーバーヘッドドア大手を約30億ドルで買収。米国・カナダ・メキシコ中心に展開。
2010年
12月31日
2011年
12月31日
2012年
12月31日
2013年
12月31日
2014年
12月31日
2015年
12月31日
2016年
12月31日
2017年
12月31日
2018年
12月31日
2019年
12月31日
2020年
12月31日
2021年
12月31日
2022年
12月31日
2023年
12月31日
2024年
12月31日
Profit Loss2068615935868164969001,3812,4811,3718367,1228,0804,9132,319
Depreciation5125235345366526266136366316497027358279311,094
Amortization7068737472747491898683129235238262
Stock-based compensation4349514746465764739074136137130132
Deferred income taxes13858-255791-8371-22139916312-4721-116
Distributions from affiliates---------37110573425
Equity in earnings of unconsolidated affiliates-32-10-1391453942403-11103111330
Losses and impairments of assets----------61462102-137
Accounts receivable310275-148104179-655218330485-3611291,392-501-664-319
Inventories2324346629846-5941339011,092-713-2842,307-96275-518
Accounts payable18664-11139-112-439237315236-253251383-496361-321
Federal income taxes1811-2878-112634-108164-180-197314-33718897
Salaries, wages and related accruals57129-60768-5613484205-187-41997155-291-385
Other operating activities1121-31-4219743-331040-37-14292-1172
Cash provided by operating activities8731,0331,2001,078----2,3942,8092,6976,23110,0727,1123,979
Capital expenditures3454419481,1976683746054499831,4771,5431,6221,9482,2143,173
Investment in and advances to affiliates43496180859880635912146440035-
Sale of business------------100-1
Disposition of plant and equipment252551343729192532424119321517
Acquisitions (net of cash acquired)654761-769194755443383881,4263,55371758
Purchases of investments1,3231,4954091910011265050-3684894949141,4721,296
Proceeds from the sale of investments------60015050683926495901,3171,487
Other investing activities----5-10-3-14-7-25-333-0103712
Cash used in investing activities-2,262-661-204-840-----1,030-1,794-1,764-2,874-5,703-2,496-3,734
Net change in short-term debt12-1128-1178-156-333555-550-59-25105
Proceeds From Issuance Of Long Term Debt1,199--999----996-1,2381972,092--
Repayment of long-term debt6-650250516-600500-97-1,1111010
Bond issuance costs--------8-6-13--
Proceeds From Stock Options Exercised-----------14523124
Payment of tax withholdings on certain stock-based compensation-------1422251973644953
Distributions to noncontrolling interests556275776472100915676116151332435352
Cash dividends--466471475479481485485492492483534515522
Acquisition of treasury stock-----67590854299403,2802,7601,5502,220
Proceeds from government incentives------------275--
Other financing activities-3110-2-2-13-3-8-9-10-11-25-17-13
Cash used in financing activities692-495-1,147196-----908-880286-3,603-2,511-2,593-3,058
Effect of exchange rate changes on cash---------612-0-63-16
(Decrease) increase in cash and cash equivalents and restricted cash and cash equivalents--------4501361,220-2461,8532,026-2,829
Change in accrued plant and equipment purchases------913--------