Autodesk, Inc.

NASDAQ:ADSK

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

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989198819871986
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,8921,9471,528.41,772.21,774.78861,0781,213.11,3531,410.61,8531,612.21,156.91,075.1838.7917.6917.9665.9287.2517.654282.249186.377136.781116.391108.641209.296.164.8129.319585.673.173.152.259.5107.896.624.316.2
Kortetermijnbeleggingen 354125235.7856967.6245.2686.8897.9615.8414.1342.1254.4199.2161.963.531.411282.215.03881.27560.643201.03142.961250.2900000000000000
Liquide middelen en kortetermijnbeleggingen 2,2462,0721,764.11,857.21,843.7953.61,323.21,899.92,250.92,026.42,267.11,954.31,411.31,075.11,000.6981.1949.3777.9369.4532.692363.524247.02337.811259.352358.931209.296.164.8129.319585.673.173.152.259.5107.896.624.316.2
Nettovorderingen 876961716.1643.1652.3474.3438.2452.3653.6458.9423.7495.1395.1318.4277.4316.5386.5301.3261.4196.827166.816132.803140.465157.422110.83991.860.968.693.986.371.262.750.540.426.416.411.48.14.9
Voorraad 00000000085.156.842.20121.60005.514.212.54517.36512.28417.99917.25519.2647.67.47.39.75.88.816.811.210.642.41.71.10.7
Overige vlottende activa 457308555.6400.4325.6379.9226.898.3173.8186144.2163.8148.9121.6159149.7193.9137.412365.21649.54757.52567.59557.29256.225141.9143.3169.8114.98611496.7112.784.455.16.53.921
Totaal vlottende activa 3,5793,3412,763.82,699.22,659.31,6201,877.92,461.82,993.12,671.32,8352,552.41,895.91,714.31,379.61,3881,481.81,189.7738.7781.797597.252449.632563.87491.321545.259450.5307.7310.5347.8373.1279.6249.3247.5187.6145133.1113.635.522.8
Niet-vlottende activa:
Materiële vaste activa, netto 345389467609.5600.5149.7145158.6169.3159.2130.3114.9104.584.5101.6120.680.265.661.469.56666.47476.12272.8253.99641.88439.739.144.14946.541.932.132.233.22213.47.53.51.6
Goodwill 3,6533,6253,603.82,706.52,4452,450.81,620.21,561.11,5351,456.21,009.9871.5682.4554.1542.9542.5443.4355.3318.2166.628160.094155.94539.9870000000000000000
Immateriële activa 406407493.888.670.9105.627.145.770.886.563.17684.657.288113.364.451.3368175.947179.472155.94539.98754.27375.48970.317000000000000
Goodwill en immateriële activa 4,0594,0324,097.62,795.12,515.92,556.41,647.31,606.81,605.81,542.71,073947.5767611.3630.9655.8507.8406.6368175.947179.472155.94539.98754.27375.48970.317000000000000
Langetermijnbeleggingen 23410245.4004.6190.8306.2532.3273277.3411.1192.8192.6125.600000-25.41-28.92300000000000000000
Belastingvorderingen 1,0931,014740.7763.156.465.381.762.49.2100131.1122.8135.890.7101.9125.751.359.8129.2105.06125.4128.92329.4590000000000000000
Overige niet-vlottende activa 602560492.3412.9347.2333.2170.9202205.6167.6148.3159.7131.894.2107.6130.687.875.863.59.833173.962201.951196.308208.169244.694133.4169.9137.6121.162.583.476.948.344.427.323.44.41.30.3
Totaal niet-vlottende activa 6,3336,0975,8434,580.63,5203,109.22,235.72,3362,522.22,242.51,7601,7561,331.91,073.31,067.61,032.7727.1607.8622.1360.407419.908434.018338.574316.438362.067243.4226181.7170.1109125.310980.577.649.336.811.94.81.9
Totaal activa 9,9129,4388,606.87,279.86,179.34,729.24,113.64,797.85,515.34,913.84,5954,308.43,227.82,787.62,447.22,420.72,208.91,797.51,360.81,142.2041,017.16883.65902.444807.759907.326693.9533.7492.2517.9482.1404.9358.3328265.2194.3169.9125.540.324.7
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 100102120.8122.583.7101.694.793.5119.9100.584.594.289.376.867.862.479.36156.446.23452.30745.12253.76947.96245.3149.126.424.624.521.517.218.98.38.46.60000
Kortlopende schulden 134170523.3142.8545.900398.7000000052.10000000000000000000001.50.1
Belastingschulden 363329.742.621.213.22846.829.428.224.313.914.428.68.416.714.410.810.841.54950.69539.80291.9220000000000000000
Uitgestelde opbrengsten 3,5003,2032,863.32,500.92,176.11,763.31,551.61,282.81,068.9900.8696.2647582.3496.2444.6438.8400.7311.4249.8178.701127.27693.24165.4740000000000000000
Overige kortlopende verplichtingen 581492472.3445.9392.3423.1448.9376.3372.8370.6266.5288.6268.1268.2183.2230.1252.1191189.9210.984154.644131.863159.486285.951254.082182.5173.1125.6119.8133.585.165.248.735.424.518.68.943
Totaal kortlopende verplichtingen 4,3514,0004,009.43,254.73,219.22,301.22,123.22,194.91,5911,400.11,071.51,043.7954.1869.8704800.1746.5574.2506.9477.468384.922310.028370.651333.913299.392231.6199.5150.2144.3155102.384.15743.831.118.68.95.53.1
Langlopende verplichtingen:
Langetermijnschulden 2,5592,5812,623.72,033.22,046.82,087.71,5861,0921,487.7747.2746.4745.600000000000000000000000000.10.2
Uitgestelde opbrengsten niet-vlottend 7641,377926.5859.3831328.1403.5505.2450.3256.3204.4187.6136.991.771.9113.3105.435.835.815.5280000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 253229.411.482.579.866.691.563.2158.8211.8194.200022.700007.8491.678004.380.40.531.92.65.15.63.52.83.63.11.500.1
Overige niet-vlottende verplichtingen 358303168.7155.7138.9143.3190.3177.7299291311.2288.3253.9216.8197.8173.9126.572.529.21.132.7462.7362.4791.2081.2551.730.695.429.410.60.80.20.30.50.50.30.70.1
Totaal niet-vlottende verplichtingen 3,7064,2933,748.33,059.63,099.22,638.92,246.41,866.42,300.21,294.51,2621,221.5390.8308.5269.7309.9231.9108.362.616.65810.5954.4142.4791.2085.6352.131.198.431.33.65.76.43.73.14.13.61.80.80.4
Totaal passiva 8,0578,2937,757.76,314.36,318.44,940.14,369.64,061.33,891.22,694.62,333.52,265.21,344.91,178.3973.71,110978.4682.5569.5494.126395.517314.442373.13335.121305.027233.7230.6248.6175.6158.610890.560.746.935.222.210.76.33.5
Eigen vermogen:
Preferente aandelen 000000000005.7000000000000000000000000000
Gewone aandelen 3,8023,3252,923.12,578.92,3172,071.51,952.71,876.31,821.51,773.11,637.31,449.81,365.41,267.21,204.31,080.4998.3908.3737.7625.225473.673479.874458.135424.652561.81400000000000000
Ingehouden winsten -1,713-1,995-1,950-1,487.5-2,295.8-2,147.4-2,084.9-961.3-76.3499.4624.8599.1511.6342.7272.7241.5218.4210.331.125.965153.175103.08791.86452.29856.64510820.5106.6191.1215.1257.1206.3173.9127.580.572.840.119.98.3
Overige gereserveerde algehele resultaten -234-185-124-125.9-160.3-135-123.8-178.5-121.1-53.3-0.6-5.75.9-0.6-3.5-11.213.8-3.6-13.5-3.112-5.205-13.753-20.685-17.276-16.1600000000000000
Overige totale aandeelhoudersvermogen 00000000000000000030.10000000282.6137151.2108.439.861.593.490.878.674.974.714.112.9
Totaal eigen vermogen van aandeelhouders 1,8551,145849.1965.5-139.1-210.9-256736.51,624.12,219.22,261.52,043.21,882.91,609.31,473.51,310.71,230.51,115791.3648.078621.643569.208529.314459.674602.299460.2303.1243.6342.3323.5296.9267.8267.3218.3159.1147.7114.83421.2
Totaal eigen vermogen 1,8551,145849.1965.5-139.1-210.9-256736.51,624.12,219.22,261.52,043.21,882.91,609.31,473.51,310.71,230.51,115791.3648.078621.643569.208529.314472.638602.299460.2303.1243.6342.3323.5296.9267.8267.3218.3159.1147.7114.83421.2
Totaal passiva en aandeelhoudersvermogen 9,9129,4388,606.87,279.86,179.34,729.24,113.64,797.85,515.34,913.84,5954,308.43,227.82,787.62,447.22,420.72,208.91,797.51,360.81,142.2041,017.16883.65902.444807.759907.326693.9533.7492.2517.9482.1404.9358.3328265.2194.3169.9125.540.324.7