Amkor Technology, Inc.

NASDAQ:AMKR

27.75 (USD) • At close November 7, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,119.818959.072826.744698.002894.948681.569596.364549.518523.172449.946610.442413.048434.631404.998395.406424.316410.07244.694206.575372.284313.259311.249200.05793.51798.045227.58790.917
Kortetermijnbeleggingen 474.869281.964251.53133.7696.3480000000000000000000136.59512.524
Liquide middelen en kortetermijnbeleggingen 1,594.6871,241.0361,078.274831.771894.948681.569596.364549.518523.172449.946610.442413.048434.631404.998395.406424.316410.07244.694206.575372.284313.259311.249200.05793.517234.64228.58793.441
Nettovorderingen 1,149.4931,365.5041,258.767962.643850.753724.456692.287563.107526.143469.683385.542403.097325.74410.297346.918273.813398.431386.857386.584269.495322.464265.613221.243310.014170.028141.133122.114
Voorraad 393.128629.576484.959297.293220.602230.589326.492267.99238.205223.379200.423227.439198.427191.072155.185134.045149.014164.178138.109111.61692.43972.12173.784108.61391.46585.628115.87
Overige vlottende activa 58.50265.12333.60140.21834.6232.00533.72727.08127.9652.25933.32843.44435.35237.91832.73723.86227.2939.6535.22232.59149.60648.66137.10636.87311.11716.68726.997
Totaal vlottende activa 3,195.813,301.2392,856.5632,132.9322,001.5331,671.2081,650.871,409.6961,317.481,197.9481,232.4161,089.708996.831,062.067932.925860.916987.414837.857766.49785.986777.768697.644532.19549.017507.25472.035358.422
Niet-vlottende activa:
Materiële vaste activa, netto 3,416.4513,306.7773,030.82,713.2382,553.3992,650.4482,695.0652,564.6482,579.0172,206.4762,006.5531,819.9691,656.2141,537.2261,364.631,473.7631,455.1111,443.6031,419.4721,380.3961,007.648968.9431,392.2741,478.51859.768416.111427.061
Goodwill 20.00321.51724.51627.32525.97625.7225.03624.12219.4430000000673.385671.9653.717656.0520000000
Immateriële activa 0000026.84526.84526.84526.84526.8453.1894.7668.38213.5249.97511.54620.32129.694692.108700.6667.58673.132696.18737.593233.53200
Goodwill en immateriële activa 20.00321.51724.51627.32525.97625.7225.03624.12219.44326.8453.1894.7668.38213.5249.97511.546693.706701.594692.108700.6667.58673.132696.18737.593233.53200
Langetermijnbeleggingen 0.7993.3343.8153.1882.9743.8934.4873.9772.176117.733105.21438.6936.70728.21519.10803.0196.6759.66813.7620000000
Belastingvorderingen 73.58586.61683.59695.04590.465-3.893-4.487-3.97770.784-26.845000000-3.019-6.675-9.668-13.7620000000
Overige niet-vlottende activa 64.477102.27439.26450.58321.268148.071150.53893.6242.4113.24879.92670.38274.91495.79106.27137.76856.37558.2177.02198.386118.878218.265602.674628.164154.539115.45170.109
Totaal niet-vlottende activa 3,575.3153,520.5183,181.9912,889.3792,694.0822,824.2392,870.6392,682.392,713.822,437.4572,194.8821,933.8071,776.2171,674.7551,499.9841,523.0772,205.1922,203.4072,188.6012,179.3821,794.1061,860.342,691.1282,844.2671,247.839531.562497.17
Totaal activa 6,771.1256,821.7576,038.5545,022.3114,695.6154,495.4474,521.5094,092.0864,031.33,635.4053,427.2983,023.5152,773.0472,736.8222,432.9092,383.9933,192.6063,041.2642,955.0912,965.3682,571.8742,557.9843,223.3183,393.2841,755.0891,003.597855.592
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 754.453899.164828.727636.434571.054530.398569.085487.43434.222309.025365.334439.663424.504443.333361.263241.684359.313291.847326.712211.706227.239180.999148.923133.047122.14796.948113.037
Kortlopende schulden 223.001214.804217.241149.007144.479114.579123.84835.19276.77561.35-13.55959.395150.08188.94454.609152.489185.414184.38952.24931.35575.65659.93199.31722.67452.086197.082
Belastingschulden 35.21550.68538.95726.60211.66138.56756.66437.96121.44831.5817.5288.3414.44610.4222.947000000000000
Uitgestelde opbrengsten 71.11781.459117.74130.26916.17716.73663.19665.65349.24356.82944.76452.7734.44634.16449.13600000178.1184.223145.544088.57777.00443.973
Overige kortlopende verplichtingen 335.904466.984516.026500.277328.093496.71605.66417.386457.194329.736219.488151.85153.841144.63106.494258.449165.271145.501123.631175.0753.15770.24316.936214.06779.554.61442.549
Totaal kortlopende verplichtingen 1,384.4751,662.4111,679.7351,315.9871,059.8031,158.4231,361.7891,005.6611,017.429700.59690.936630.727642.186772.208605.837554.742677.073622.762634.732439.03439.851511.121371.334446.431312.898280.652396.641
Langlopende verplichtingen:
Langetermijnschulden 1,071.8321,164.2661,068.9251,089.7591,396.8621,217.7321,240.5811,439.6381,519.1071,525.8241,591.391,5451,287.2561,214.2191,345.2411,438.7511,611.571,819.9011,956.2472,040.8131,650.7071,737.691,771.4531,585.536687.456221.846196.934
Uitgestelde opbrengsten niet-vlottend 89.529-46.626-49.378-39.508-26.33000-4.93000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 11.98146.62649.37839.50826.330004.93000000000000000000
Overige niet-vlottende verplichtingen 218.273295.379317.348262.606248.711263.392228.36243.383268.876278.055180.032160.794142.384113.71492.13147.337242.322200.078135.861109.31778.97467.66164.07746.48316.99410.738161.86
Totaal niet-vlottende verplichtingen 1,391.6151,459.6451,386.2731,352.3651,645.5731,481.1241,468.9411,683.0211,787.9831,803.8791,771.4221,705.7941,429.641,327.9331,437.3711,586.0881,853.8922,019.9792,092.1082,150.131,729.6811,805.3511,835.531,632.019704.45232.584358.794
Totaal passiva 2,776.093,122.0563,066.0082,668.3522,705.3762,639.5472,830.732,688.6822,805.4122,504.4692,462.3582,336.5212,071.8262,100.1412,043.2082,140.832,530.9652,642.7412,726.842,589.162,169.5322,316.4722,206.8642,078.451,017.348513.236755.435
Eigen vermogen:
Preferente aandelen 1,785.83500000000000000000000000000
Gewone aandelen 0.2920.2910.290.2890.2870.2850.2850.2840.2830.2820.2620.1980.1970.1830.1830.1830.1820.1780.1780.1760.1750.1660.1620.1520.1310.1180.046
Ingehouden winsten 2,159.8311,874.6441,163.939562.502234.077113.189-42.851-303.557-459.395-516.962-647.348-736.444-798.462-890.27-1,122.241-1,278.221-821.526-1,041.39-1,105.961-969.072-931.536-933.734-106.975343.886189.733109.73870.621
Overige gereserveerde algehele resultaten 16.3516.69919.97827.2719.11523.81222.5196.262-2.084-32.867-0.25511.24110.84915.4575.02118.201-6.223-6.0623.65814.84615.201-5.292-8.011-4.23-4.087-0.556-0.663
Overige totale aandeelhoudersvermogen 01,777.1181,758.0691,735.6381,710.261,693.2541,687.3751,680.5991,669.8341,665.7821,601.0811,403.161,480.6821,504.6431,500.2461,496.9761,482.1861,441.1941,326.4261,323.5791,317.1641,170.2271,123.541975.026551.964381.06120.871
Totaal eigen vermogen van aandeelhouders 3,962.3083,668.7522,942.2762,325.6991,963.7391,830.541,667.3281,383.5881,208.6381,116.235953.74678.155693.266630.013383.209237.139654.619393.92224.301369.529401.004231.3671,008.7171,314.834737.741490.36190.875
Totaal eigen vermogen 3,995.0353,699.7012,972.5462,353.9591,990.2391,855.91,690.7791,403.4041,225.8881,130.936964.94686.994701.221636.681389.701243.163661.641398.523228.251376.208402.342241.5121,016.4541,314.834737.741490.361100.157
Totaal passiva en aandeelhoudersvermogen 6,771.1256,821.7576,038.5545,022.3114,695.6154,495.4474,521.5094,092.0864,031.33,635.4053,427.2983,023.5152,773.0472,736.8222,432.9092,383.9933,192.6063,041.2642,955.0912,965.3682,571.8742,557.9843,223.3183,393.2841,755.0891,003.597855.592