Analog Devices, Inc.

NASDAQ:ADI

211.78 (USD) • At close December 20, 2024
Overzicht | Financiële gegevens

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

2024202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,991.342958.0611,470.5721,977.9641,055.86648.322816.5911,047.838921.132884.353569.233392.089528.8331,405.11,070639.729593.599424.972343.947627.591518.94517.8741,613.7531,364.9491,736.421355.9263.3289.6210.169.3109.180.717.716.58.330.122.75.86.311.3
Kortetermijnbeleggingen 371.822315.98454.545000003,134.6612,144.5752,297.2354,290.8233,371.5452,187.3621,617.7681,176.244716.087656.2351,784.3872,078.3512,166.031,598.8691,284.271,428.278498.844406.641.65189.881.872.7000000000
Liquide middelen en kortetermijnbeleggingen 2,363.164958.0611,470.5721,977.9641,055.86648.322816.5911,047.8384,055.7933,028.9282,866.4684,682.9123,900.3783,592.4622,687.7681,815.9731,309.6861,081.2072,128.3342,705.9422,684.972,116.7432,898.0232,793.2272,235.265762.5304.9340.6299.9151.1181.880.717.716.58.330.122.75.86.311.3
Nettovorderingen 1,336.3311,469.7341,800.4621,459.056737.536635.136639.717688.953477.609466.527396.605325.144339.881348.416387.169301.036315.29323.777305.761320.523330.183294.781228.338218.151463.912267.1207.4255.9241.8181.3162.3145.7111.795.197.681.787.976.365.656.5
Voorraad 1,447.6871,642.2141,399.9141,200.61608.26609.886586.76550.816376.555412.314367.927283.337313.723295.081277.478253.161314.629347.519378.651325.605345.903287.502306.391246.852332.094248.9275.1226218.9144130.8150.4142.5117.1107.697.597.483.879.177.1
Overige vlottende activa 337.472314.013534.0881,481.374232.064183.56472.25463.73171.311171.779180.886181.032150.827150.389126.584120.466149.972249.495214.262380.386132.385186.69191.473176.689136.743100.6116.172.959.749.630.626.425.120.218.913.713.310.610.77
Totaal vlottende activa 5,484.6544,384.0224,937.9925,378.3172,517.6881,985.1262,112.1262,351.3384,974.8634,079.5483,811.8865,472.4254,696.1854,386.3483,478.9992,490.6362,089.5771,978.9953,011.3023,732.4563,528.6112,885.7163,624.2253,434.9193,168.0141,379.1903.5895.4820.3526505.5403.2297248.9232.4223221.3176.5161.7151.9
Niet-vlottende activa:
Materiële vaste activa, netto 3,415.553,496.3772,401.3041,979.0511,120.5611,219.9891,154.3281,107.304636.116644.11622.422508.171500.867478.839472.665476.516567.439556.939562.625599.906667.779671.14780.904907.942779.226642.8703.4661.6583.3432281.8248.4237.4224223.9208.7200.7186.2173.2160.8
Goodwill 26,909.77526,913.13426,913.13426,918.4712,278.42512,256.8812,252.60412,217.4551,679.1161,636.5261,642.438284.112283.833275.087255.58250.881235.175279.469256.209163.3730163.3730229193000000000000000
Immateriële activa 9,585.46411,311.95713,265.40615,267.173,650.284,217.2244,778.1925,319.425549.368583.517671.40228.55228.77212.21.3436.85512.324.15342.808167.576169.382172.019174.637229.33192.69830.615.814.816.817.219.321.323.425.825.81.11.72.32.83.4
Goodwill en immateriële activa 36,495.23938,225.09140,178.5442,185.6415,928.70516,474.10417,030.79617,536.882,228.4842,220.0432,313.84312.664312.605287.287256.923257.736247.475303.622299.017167.576169.382172.019174.637229.33192.69830.615.814.816.817.219.321.323.425.825.81.11.72.32.83.4
Langetermijnbeleggingen 00122.285127.85686.72977.32428.7324.83821.93717.48213.3973.8161.8162.9511.3171.4850030.57942.9410304.008277.5954218119013168140.3000000000
Belastingvorderingen 2,083.7522,223.2722,264.8882,267.2691,503.0641,582.38221.07832.32236.00533.2827.24926.22643.53137.64552.76573.64665.94952.49154.73413.3280144.249152.5525151400211753000000000
Overige niet-vlottende activa 749.082465.716397.341383.938311.85653.716102.72188.61272.87367.71570.89658.44865.34384.56566.162104.275120.55279.90228.59427.004354.311-84.255-29.722257.6722.3996.923940.110.37.465.64.14.65.119.725.732.331.331.6
Totaal niet-vlottende activa 42,743.62344,410.45645,364.35846,943.75418,950.91519,407.51518,337.65318,789.9562,995.4152,982.633,047.804909.325924.162891.287849.832913.6581,001.415992.954975.549850.7551,191.4721,207.1611,355.9661,449.9441,243.323839.3958.2868.5695.4475.6310.4275.3264.9254.4254.8229.5228.1220.8207.3195.8
Totaal activa 48,228.27748,794.47850,302.3552,322.07121,468.60321,392.64120,449.77921,141.2947,970.2787,062.1786,859.696,381.755,620.3475,277.6354,328.8313,404.2943,090.9922,971.9493,986.8514,583.2114,720.0834,092.8774,980.1914,884.8634,411.3372,218.41,861.71,763.91,515.71,001.6815.9678.5561.9503.3487.2452.5449.4397.3369347.7
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 487.457493.041582.16443.434227.273225.27260.919236.629171.439174.247138.967119.994117.034113.056133.111107.334130.451156.192122.926128.317126.84599.33691.26979.784213.196103.459.197.790.2100.274.548.843.337.43526.30000
Kortlopende schulden 947.3741,111.02153.628569.23939.923299.667-632.8483000374.8390014.514.5000000003.7456.43215.6997.114.511.711.22.423.22.32.75.811.18.58.47.39.712.7
Belastingschulden 447.379345.695288.66332.685182.08187.87993.72286.9054.115.06262.7745.496.0976.58460.4216.4454.105060.956172.2770129.81126.471121.8440000000000000000
Uitgestelde opbrengsten 000-443.434-39.923-225.27487.417473.972351.538300.087278.435247.428238.541233.249242.848149.278175.358151.73149.543121.802157.951121.345110.27151.345194.017111.379.975.484.174.160.2000000000
Overige kortlopende verplichtingen 1,106.071,251.2141,518.2071,424.954915.71795.816142.69498.826255.857249.595228.884157.6148.907157.616207.087123.556259.144240.129157.518396.527440.157112.986151.879177.877421.011278.8247.3165168.8151.8108.581.753.653.860.228.464.450.350.246.6
Totaal kortlopende verplichtingen 2,988.283,200.9712,442.6552,770.3121,364.9861,508.6321,406.1381,596.332782.9341,113.83709.056570.512525.079525.005643.467386.613569.058548.051490.943818.923567.002463.477483.635527.948649.897479.3320.9274.4270.2254.4206.2132.899.697106.363.272.857.659.959.3
Langlopende verplichtingen:
Langetermijnschulden 6,634.3135,902.4576,885.9046,253.2125,433.5945,192.2526,265.6747,551.0841,732.177498.497872.789872.241807.098845.448391.945407.9360000001,274.4871,206.0381,212.9632.4371.6348.9397.48080.1100.370.636.824.112.22330.129.142.9
Uitgestelde opbrengsten niet-vlottend 000000-6,377.40332.57226.15223.75321.1117.36428.42626.4288.696.577000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 2,624.3923,127.8523,622.5383,938.831,919.5952,088.212927.0651,674.683109.931227.376235.7916.0371.131.261.836.23214.3110.1463.4141.73510.71616.56222.61251.34551.2054031.820.71753.28.512.711.710.912.11111.28.87.4
Overige niet-vlottende verplichtingen 804.975998.076885.931,367.175752.483894.357862.362157.655179.618149.516284.157193.384121.68157.65374.522100.98487.36175.61156.48471.052342.793324.764299.441256.506193.62550.7931.8-31.76.24.54.943.43.21.61.40.90.90.3
Totaal niet-vlottende verplichtingen 10,063.6810,028.38511,394.37211,559.2178,105.6728,174.8218,055.1019,383.4222,021.726875.3891,392.7371,071.662929.909957.217485.647488.532101.67185.75759.89872.787353.509341.3261,596.541,513.8891,457.79123.1412.4401.4382.791.287.8113.787.351.938.225.935.442.238.850.6
Totaal passiva 13,051.9613,229.35613,837.02714,329.5299,470.6589,683.4539,461.23910,979.7542,804.661,989.2192,101.7931,642.1741,454.9881,482.2221,129.114875.145670.729633.808550.841891.71920.511804.8032,080.1752,041.8372,107.687602.4733.3675.8652.9345.6294246.5186.9148.9144.589.1108.299.898.7109.9
Eigen vermogen:
Preferente aandelen 0000000000000000000000003.20312.307.86.25.56.2000000000
Gewone aandelen 82.71882.71284.8887.55461.58261.38561.69461.44151.36352.01151.86951.84250.23349.66149.77748.64548.53350.5657.00161.13962.64162.3861.28160.5659.66329.727.32726.519.112.5000000000
Ingehouden winsten 10,196.61210,356.7988,721.3257,517.3167,236.2386,899.2535,703.0644,910.9394,785.7994,437.3154,231.4964,056.4013,788.8693,482.3342,896.5662,490.7522,419.9082,253.4833,378.9993,269.422,973.6312,477.92,179.6192,074.321,717.9431,110.8914831.6653.4481.5362.2287.7243.2228.3220.1233205.1167.2148.5125.1
Overige gereserveerde algehele resultaten -185.256-188.302-198.152-186.565-249.461-187.799-58.44-61.359-73.814-50.851-168.526-80.546-64.394-26.169-33.595-10.248-48.17834.098-0.207-19.2643.7492.966-1.908-0.2042.84112.266.76.75.96-343.5-293.9-251.6-228.9-186.6-158.6-129.5-98.1-75
Overige totale aandeelhoudersvermogen 25,082.24325,313.91427,857.2730,574.2374,949.5864,936.3495,282.2225,250.519402.27634.484643.058711.879390.651289.587286.96956.3060-1.0070380.206759.551745.501661.024708.35523.203463.3181.1222.8176.2149.5141.2487.8425.7377.7351.5317294.7259.8219.9187.7
Totaal eigen vermogen van aandeelhouders 35,176.31735,565.12236,465.32337,992.54211,997.94511,709.18810,988.5410,161.545,165.6185,072.9594,757.8974,739.5764,165.3593,795.4133,199.7172,529.1492,420.2632,338.1413,435.7933,691.5013,799.5723,288.0742,900.0162,843.0262,303.651,6161,128.41,088.1862.8656521.9432375354.4342.7363.4341.2297.5270.3237.8
Totaal eigen vermogen 35,176.31735,565.12236,465.32337,992.54211,997.94511,709.18810,988.5410,161.545,165.6185,072.9594,757.8974,739.5764,165.3593,795.4133,199.7172,529.1492,420.2632,338.1413,436.013,691.5013,799.5723,288.0742,900.0162,843.0262,303.651,6161,128.41,088.1862.8656521.9432375354.4342.7363.4341.2297.5270.3237.8
Totaal passiva en aandeelhoudersvermogen 48,228.27748,794.47850,302.3552,322.07121,468.60321,392.64120,449.77921,141.2947,970.2787,062.1786,859.696,381.755,620.3475,277.6354,328.8313,404.2943,090.9922,971.9493,986.8514,583.2114,720.0834,092.8774,980.1914,884.8634,411.3372,218.41,861.71,763.91,515.71,001.6815.9678.5561.9503.3487.2452.5449.4397.3369347.7