Apple Inc.

NASDAQ:AAPL

225 (USD) • At close November 15, 2024
Overview | Financials

Cijfers zijn in miljoenen (behalve de cijfers per aandeel en de ratio's) USD.

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Operationele Activiteiten:
Nettowinst 93,73696,99599,80394,68057,41155,25659,53148,35145,68753,39439,51037,03741,73325,92214,0138,2356,1193,4961,9891,3282666865-37786601309-1,045-81642431087530.373309.8474.9454
Afschrijvingen & Amortisatie 11,44511,51911,10411,28411,05612,54710,90310,15710,50511,2577,9466,7573,2771,8141,0277344963172251791501131141008485111118116127168166217.182204.4202.7124.8
Uitgestelde Inkomstenbelasting 00895-4,774-215-340-32,5905,9664,9381,3822,3471,1414,4052,8681,4401,04039878535019-4-34-36163-351-50-4377340.819100.98138.9111.3
Aandelen Gebaseerde Vergoedingen 11,68810,8339,0387,9066,8296,0685,3404,8404,2103,5862,8632,2531,7401,16887971051624216349461652000000000000
Verandering in Werkkapitaal 3,651-6,5771,200-4,9115,690-3,48834,694-4,92340511,2627,0476,478-2995,7571,236-5862,0451,325-225492368119-1122111924013877191,529-797248-917158.731-400.7145.3-109
Vorderingen -5,144-1,688-1,823-10,1256,917245-5,322-2,093527417-4,232-2,172-5,551143-2,142-939-785-385-357-121-8-201-99487-27227472469435-350-199-295-180.026000
Voorraden -1,046-1,6181,484-2,642-127-289828-2,723217-238-76-973-15275-59654-163-76-105-64-45-11-3422-13583592251,113-687418-92791.558-316.2119.9-13.9
Crediteuren 6,020-1,8899,44812,326-4,062-1,9239,1758,9662,1175,0015,9382,3404,4672,5156,307925961,4941,611328297243110-3563189534-107-37328313931669.852000
Overig Werkkapitaal 3,821-2,6534781,6762,081-625-3-593-1,5541,0421,4601,4592,8241,6541,217-3811,0071,220-721-35-25-30-1112202183-4-247316-50124.774000
Overige Niet-Contante Posten -2,266-2,227111-147-97-652-444-166486385000002622121543785-2351-55-357-230-3341216-67-29.8-6-86.2137.22.1-73.8
Kasstroom uit Operationele Activiteiten 118,254110,543122,151104,03880,67469,39177,43464,22566,23181,26659,71353,66650,85637,52918,59510,1599,5965,4702,2202,53593428989185868822775154408-240737-651920.973128.7963.9507.3
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -9,447-10,959-10,708-11,085-7,309-10,495-13,313-12,795-13,548-11,488-9,813-9,076-9,402-7,452-2,121-1,213-1,199-986-657-260-176-164-174-232-107-47-56-53-67-159-159.587-213.1-194.9-218.3-224.3-239
Netto Overnames 00-306-33-1,524-624-721-329-297-343-3,765-496-350-244-6380-220040000-52-1937224524-38400000000
Aankoop van Beleggingen -48,656-29,513-76,923-109,558-114,938-40,631-73,227-160,007-143,816-166,402-217,138-148,489-151,232-102,317-57,793-46,825-23,003-11,736-7,280-11,470-3,270-2,648-4,144-4,268-4,499-4,348-2,313-999-437-1,672-312-1,432-2,121.341-610.7-1,424.4-984.7
Verkoop/verval van Beleggingen 62,34645,51467,363106,483120,39198,724104,072126,465111,794121,985208,111124,447112,80569,85346,71830,67816,2439,4248,3129,1951,9473,6074,1255,4293,3313,1551,7239634401,5314742,1531,472.97944.51,172.7787.4
Overige Investeringsactiviteiten -1,308-1,337-2,086-385-909-1,078-745-124-924-2626-160-48-259-20-74-104910-211133-7-18-348-20-739-102-4-15-69.41-57.2-97.533.2
Kasstroom uit Investeringsactiviteiten 2,9353,705-22,354-14,545-4,28945,89616,066-46,446-45,977-56,274-22,579-33,774-48,227-40,419-13,854-17,434-8,189-3,249357-2,556-1,488828-252892-972-988-543-499-8-402-2493-912.63458.3-573.5-403.1
Financieringsactiviteiten:
Schuldaflossingen -5,998-9,901-4,07811,6432,499-7,81943225,16222,05729,30511,96016,89600000000-30000000-22-161371167-23462835.50425.965.9-71.1
Uitgifte van Gewone Aandelen 0001,10588078166955549554373053066583191247548336531854342753105428586413439868285120.388257.7103.596
Terugkoop van Gewone Aandelen -94,949-77,550-89,402-85,971-72,358-66,897-72,738-32,900-29,722-35,253-45,000-22,86000000-3-35500-2600-116-7500000-273-212.625-184.7-569.6-12.9
Uitgekeerde Dividenden -15,234-15,025-14,841-14,467-14,081-14,119-13,712-12,769-12,150-11,561-11,126-10,564-2,488000000000000000-14-58-56-56-57.196-56.5-53.8-50.3
Overige Financieringsactiviteiten -5,802-6,012-2,428-4,558-2,880-2,922-2,5271,978-1,570-7505,887-381125613345188633374600000000150000-4800.100
Kasstroom uit Financieringsactiviteiten -121,983-108,488-110,749-93,353-86,820-90,976-87,876-17,974-20,890-17,716-37,549-16,379-1,6981,4441,2576631,1167393245431272710542-31111923396195-208336-113.92942.5-454-38.3
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 000000000000000000000000000000000000
Netto Kasstroomverandering -7945,760-10,952-3,860-10,43524,3115,624-195-6367,276-4153,513931-1,4465,998-6,6122,5232,9602,901522-4271,144-581,119-135-155251-322796-447527.075177.9-105.6229.5-63.665.9
Kaspositie aan het Einde van de Periode 29,94330,73724,97735,92939,78950,22425,91320,28920,48421,12013,84414,25910,7469,81511,2615,26311,8759,3526,3923,4912,9693,3962,2522,3101,1911,3261,4811,2301,5527561,203.488676.5498.5604.2374.7438.3