Applied Materials, Inc.

NASDAQ:AMAT

168.88 (USD) • At close November 15, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 6,1321,9954,9955,3513,1293,4405,0103,4064,7973,0021,7111,3925,9601,857.6641,576.3811,411.6241,202.722861.463990.3422,281.8441,364.8571,284.7911,356.3041,647.604823.3575.2448403.9285.8160.3119.6159.5125.257.157.4100.870.721.835.7
Kortetermijnbeleggingen 7375864643874895902,266343168160180545283726.918638.349689.0441,166.8571,035.8754,944.9994,296.1524,128.3493,644.7353,485.0882,580.4351,937.21,188.41,094.9633.7483.50000000000
Liquide middelen en kortetermijnbeleggingen 6,8692,5815,4595,7383,6184,0307,2763,7494,9653,1621,8911,9376,2432,584.5822,214.732,100.6682,369.5791,897.3385,935.3416,577.9965,493.2064,929.5264,841.3924,228.0392,760.51,763.61,542.91,037.6769.3160.3119.6159.5125.257.157.4100.870.721.835.7
Nettovorderingen 5,4396,2415,1543,1112,6412,4222,3382,2791,7391,6701,6331,2201,5321,831.8631,226.2551,816.6322,049.4272,026.1991,615.5041,670.153912.8751,046.016776.4512,351.3791,198.1764.51,110.9822.4817.7405.8256191.5152.8147.3131.698.649.539.631.9
Voorraad 5,7255,9324,3093,9043,4743,7222,9302,0501,8331,5671,4131,2721,7011,547.3781,627.4571,987.0171,313.2371,406.7771,034.0931,139.368950.6921,273.8161,412.9971,503.751632.7555.9686.5478.6427.4245.7154.6110.7101.5102.37753.847.13430.9
Overige vlottende activa 1,8161,1711,185616473431431362851390705774879801.492620.505759.84873.381750.705863.745894.0021,014823.435751.334755.978469.21,623.4430.1988.2297.2418.7245.7120.154.760.276.92311.98.810.2
Totaal vlottende activa 19,14715,92516,10713,36910,20610,74712,9188,3539,2616,9675,6425,10210,3556,765.3155,688.9476,664.1576,605.6246,081.0199,448.68310,281.5198,370.7738,072.7937,782.1748,839.1475,060.53,5193,770.42,693.12,311.61,230.5775.9581.8434.2366.9342.9276.2179.2104.2108.7
Niet-vlottende activa:
Materiële vaste activa, netto 3,2012,3071,9341,6041,5291,4071,066937892861850910866963.0041,090.4331,094.21,051.2421,024.2941,275.0241,345.5281,559.831,764.9371,706.4881,366.7821,227.71,261.51,066.1919630.7452.5327.7258.5213.2181.582.1564743.435.7
Goodwill 3,7323,7003,4793,4663,3993,3683,3683,3163,3023,3043,2943,5181,3351,336.4261,170.9321,174.6731,000.176572.558338.982257.321223.521000000000000000000
Immateriële activa 2943391041531562134125757629511,1031,355211286.821306.416388.429373.178201.066420.075307.612316.033202.290000199.6000000000000
Goodwill en immateriële activa 4,0264,0393,5833,6193,5553,5813,7803,8914,0644,2554,3974,8731,5461,623.2471,477.3481,563.1021,373.354773.624420.075307.612316.033202.290000199.6000000000000
Langetermijnbeleggingen 2,2811,9802,0551,5381,7031,5681,1439299469351,0051,0559311,307.2831,052.1651,367.0561,362.4251,314.861-592.742-610.095-782.823000000000000000000
Belastingvorderingen 02,4752,1462,2232,031470512478145156149162163284.496265.35138.27146.37142.608592.742610.095782.823000000000000000000
Overige niet-vlottende activa 2,0740000000000000079.533115.06144.431125.375158.78664.986184.745339.848339.801418.3149.234.725.923.119.716.613.513.49.68.976.46.55.2
Totaal niet-vlottende activa 11,58210,8019,7188,9848,8187,0266,5016,2356,0476,2076,4017,0003,5064,178.033,885.2964,242.1614,048.4513,399.8181,820.4741,811.9261,940.8492,151.9722,046.3361,706.5831,6461,410.71,300.4944.9653.8472.2344.3272226.6191.1916353.449.940.9
Totaal activa 30,72926,72625,82522,35319,02417,77319,41914,58815,30813,17412,04312,10213,86110,943.3459,574.24310,906.31810,654.0759,480.83711,269.15712,093.44510,311.62210,224.7659,828.5110,545.736,706.54,929.75,070.83,6382,965.41,702.71,120.2853.8660.8558433.9339.2232.6154.1149.6
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,4781,7551,4721,124958996945813658613582396484657.971477.148588.255455.8942,023.651487.357350.1051,319.4711,348.1561,477.5312,268.608382.9151,041.31,157.8791.9659.6378.2282.7185.7147.1154.5122.90000
Kortlopende schulden 286857364600002001,20000001.2581.241.068165.467202.5357.57445.864105.29249.7764.807106.29742.273866.5100.182.858.548.733.936.727.414.310.54.78.710
Belastingschulden 83334975825521524818215111819311474158273.42115.922173.394157.549209.859139.798347.056216.114000000000000000000
Uitgestelde opbrengsten 2,9753,1422,0761,3211,3361,3471,6651,3767659407947551,116847.231864.280445.4750318.10600000000000000000000
Overige kortlopende verplichtingen 1,8002,0481,9651,6951,3382,6781,3231,0921,0571,0779531,0401,0361,107.995580.8671,775.3231,311.9440812.5791,544.9560103.52450.478384.8061,244.21269177.843.2119.359.749.128.616.213.35.7106.543.423.730.6
Totaal kortlopende verplichtingen 7,3727,3796,3444,4594,4474,0684,1153,6323,7982,8232,4432,2652,7942,887.8761,939.4572,945.5522,373.4232,436.0451,765.4142,287.9811,640.8771,501.4561,532.8162,759.7111,669.41,118.31,402.1935.2861.7496.4380.5248.2200195.2142.911748.132.440.6
Langlopende verplichtingen:
Langetermijnschulden 5,7135,7445,6805,6434,7135,3095,3043,1253,3421,9471,9461,9461,947204.271200.654201.576202.281204.708407.38410.436456.422573.853564.805573.126584.4616.6623.1275.5279.8209.1121.1118.412453.629.411.321.119.616.9
Uitgestelde opbrengsten niet-vlottend 0000-11-12-5-1-56-32-710000000-167.81400000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 0000111251563271341000000167.814133.001146.289129.807124.152108.54533.211.347.211.611.611.67.26.16.57.86.178.58.24.7
Overige niet-vlottende verplichtingen 1,2951,4091,5541,6731,6501,557651613499504495315246315.085339.524310.232256.962188.684167.81400000-0.04362.956.245.328.819.312.674.81.11.13.11.31.11
Totaal niet-vlottende verplichtingen 7,0087,1537,2347,3166,3636,8665,9553,7393,8972,4492,5122,6022,267519.356540.178511.808459.243393.392575.194543.437602.711703.66688.957681.671700.5690.8726.5332.4320.2240140.9131.5135.362.536.621.430.928.922.6
Totaal passiva 14,38014,53213,57811,77510,81010,93410,0707,3717,6955,2724,9554,8675,0613,407.2322,479.6353,457.362,832.6662,829.4372,340.6082,831.4182,243.5882,205.1162,221.7733,441.3822,369.91,809.12,128.61,267.61,181.9736.4521.4379.7335.3257.7179.5138.47961.363.2
Eigen vermogen:
Preferente aandelen 0000000003400000000000000000000000000000
Gewone aandelen 88999101111111212121313.2813.40913.30813.85713.91716.06716.80316.77416.488.1588.1253.83.73.71.81.80.8000000000
Ingehouden winsten 43,72637,89232,24627,20924,38620,87418,25815,25213,96713,07212,48712,70013,02911,510.84310,934.00411,501.28810,863.2919,472.3038,227.7937,164.175,812.8675,962.0145,693.015,185.1813,075.62,328.92,0981,599.61,000545.9325.2225.5186.1159.8125.874.334.232.931.7
Overige gereserveerde algehele resultaten -217-202-260-299-180-125-64-115-92-76-38-6161.666-1.68-26.5711.353-19.01-37.24810.32114.8418.60924.445-19.17-0.3-4.1-10.45.721.728.9000000000
Overige totale aandeelhoudersvermogen -27,168-25,504-19,748-16,341-16,001-13,920-8,856-7,931-6,273-5,140-5,373-5,416-4,248-3,989.676-3,851.125-4,039.068-3,067.092-2,815.81721.9372,070.7332,223.5532,022.5461,881.1241,930.2121,443.723792.1850.9763.3760390.7273.6248.6139.4140.5128.6126.5119.459.954.7
Totaal eigen vermogen van aandeelhouders 16,34912,19412,24710,5788,2146,8399,3497,2177,6137,9027,0887,2358,8007,536.1137,094.6087,448.9587,821.4096,651.48,928.5499,262.0278,068.0348,019.6497,606.7377,104.3484,336.63,120.62,942.22,370.41,783.5966.3598.8474.1325.5300.3254.4200.8153.692.886.4
Totaal eigen vermogen 16,34912,19412,24710,5788,2146,8399,3497,2177,6137,9027,0887,2358,8007,536.1137,094.6087,448.9587,821.4096,651.48,928.5499,262.0278,068.0348,019.6497,606.7377,104.3484,336.63,120.62,942.22,370.41,783.5966.3598.8474.1325.5300.3254.4200.8153.692.886.4
Totaal passiva en aandeelhoudersvermogen 30,72926,72625,82522,35319,02417,77319,41914,58815,30813,17412,04312,10213,86110,943.3459,574.24310,906.31810,654.0759,480.83711,269.15712,093.44510,311.62210,224.7659,828.5110,545.736,706.54,929.75,070.83,6382,965.41,702.71,120.2853.8660.8558433.9339.2232.6154.1149.6