American Software, Inc.

NASDAQ:AMSWA

10.95 (USD) • At close October 1, 2024
Overzicht | Financiële gegevens

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989198819871986
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 59.51291.6110.6988.65879.81461.28852.79466.00149.00444.65555.80341.16439.11123.92821.7337.62959.23645.62729.42531.14737.5330.72431.42910.05712.9121.5672.1613.4421.91.22.21.33.91.41.73.743.837.425.3
Kortetermijnbeleggingen 24.26123.45116.82616.00614.16124.7126.12119.33220.95717.58414.79618.60220.25120.63916.316.37116.90527.14232.72424.89828.29729.01720.43315.11821.45727.29758.06220.96424.231.3000000000
Liquide middelen en kortetermijnbeleggingen 83.773115.051127.516104.66493.97585.99878.91585.33369.96162.23970.59959.76659.36244.56738.035476.14172.76962.14956.04565.82759.74151.86225.17534.36748.86460.22324.4061.91.22.21.33.91.41.73.743.837.425.3
Nettovorderingen 28.33928.00923.60826.63925.00720.29422.01819.87120.54819.60319.79516.9219.81218.5611.1413.22915.87416.34915.81612.5119.58410.6211.67615.62420.37621.07327.419.09115.116.419.929.131.821.925.519.41615.611.7
Voorraad 000-42.645-39.168-49.0870000-1.1390-56.144-41.572-34.6570000000-0.003-0.0410.0740.0533.43.76100000000000
Overige vlottende activa 4.0847.0815.06747.96545.85255.2976.5924.3223.5863.7484.0923.16259.36244.56738.033.1322.9462.562.5712.2380.8761.0351.22.9431.1171.0629.144.450.25761.965.154.84810.82.1
Totaal vlottende activa 116.196150.141156.191136.623125.666112.502107.525109.52694.09585.5993.34779.84882.39266.12252.54370.36194.96191.67880.53670.79476.28771.39664.73543.65858.81772.9992.1448.31846.16272.387.497.688.48271.160.853.839.1
Niet-vlottende activa:
Materiële vaste activa, netto 5.5996.8864.5894.8825.4263.5853.0342.0553.3963.5483.6814.4824.9125.7236.497.1896.9037.087.6697.9777.578.91810.21316.84218.61416.54217.18917.40317.618.117.517.417.818.116.715.810.611.411.6
Goodwill 45.78229.55825.88825.88825.88825.88825.88819.54918.74918.74913.81912.60112.60112.60112.60111.70911.91211.2111.1210.3444.3464.3467.776.450000000000000
Immateriële activa 10.5782.5341.7335.1279.49413.79514.84812.01310.99812.56311.2669.3959.0549.4429.5675.8096.2437.6098.60412.4824.3464.34612.09413.91323.39116.24831.22924.225.80000005.42.60
Goodwill en immateriële activa 56.3632.09227.62131.01535.38239.68340.73631.56229.74731.31225.08521.99621.65522.04322.16817.51818.15518.81919.72412.4824.3464.34612.09413.91323.39116.24831.22924.225.80000005.42.60
Langetermijnbeleggingen 00.486-1.772-2.6270.7012.4848.8934.4557.92413.1568.9756.6587.50810.84415.84917.094-0.64-0.9110.4993.0160.5390.8365.45.99.90.0030.0380.036-26.2-34000000000
Belastingvorderingen 001.7722.6272.1773.1942.6151.9941.31900.4180.332000.0630.2460.640.9110.2481.972-0.539-0.836-5.41.321.36.33.128.2000000000
Overige niet-vlottende activa 14.2896.3444.4344.6371.941-0.1380.162-0.8180.2430.66-0.286-0.2460.0860.10.062-0.0890.1980.2391.2138.1039.0339.687.1330.4540.3250.275-4.211-0.74527.127.727.826.720.315.6118.10.10.10.3
Totaal niet-vlottende activa 76.24845.80836.64440.53445.62748.80855.4439.24842.62948.67637.87333.22234.16138.7144.63241.95825.25626.13829.35333.5520.94922.94429.4438.40954.2334.36850.51648.79444.745.845.344.138.133.727.723.916.114.111.9
Totaal activa 192.444195.949192.835177.157171.293161.31162.965148.774136.724134.266131.22113.07116.553104.83297.175112.319120.217117.816109.889104.34497.23694.3494.17582.067113.047107.358142.65697.11290.8107.8117.6131.5135.7122.1109.79576.967.951
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1.2482.4272.5061.7321.6432.4481.9741.5411.280.921.3821.2071.0421.0110.9860.8221.5781.1380.9171.3130.6780.4121.822.6583.5053.4422.9725.2214.95.14.44.34.24.24.26.7000
Kortlopende schulden 0.0470.4110.5410.7390.7635.9959.6776.5887.2366.5456.7723.2937.6026.595.2964.6512.94.2194.1952.0961.98702.6261.5871.4934.9954.3725.91600000000000
Belastingschulden 00000000010.4020017.27111.134000000000.7010000000000000000
Uitgestelde opbrengsten 47.62143.12441.95337.14234.22733.28333.22629.43727.99928.51123.63821.29119.44117.30715.14716.10116.44115.44115.30613.73110.05910.1810.57313.63315.93616.29817.28311.32100000000000
Overige kortlopende verplichtingen 11.42710.36512.48911.05110.351.3751.2465.1712.7793.2742.7352.9694.1984.4991.9863.3555.987.5295.0725.4493.6026.5688.49210.17914.6798.234.5234.36819.620.521.621.220.223.219.519.618.215.68.6
Totaal kortlopende verplichtingen 60.34356.32757.48950.66446.98343.10146.12342.73739.29439.2534.52728.7632.28329.40723.41524.92926.89928.32725.4922.58916.32617.1623.51128.05735.61332.96529.1526.82624.525.62625.524.427.423.726.318.215.68.6
Langlopende verplichtingen:
Langetermijnschulden 00.0650.4610.8211.424-0.14700000000000000000.21.0450.9070.950000000.30.300000
Uitgestelde opbrengsten niet-vlottend 000000.1470.1470.2140.6120.290.67000000000000-5.1-6.8-6.20000000000000
Uitgestelde belastingverplichtingen niet-vlottend 001.7722.6272.8973.5142.6151.9941.3190.9951.9361.0661.241.3751.481.1631.2021.6970.870.1210001.281.9751.2946.263.13428.27.485.143.43.13.42.20.7
Overige niet-vlottende verplichtingen 1.620.2230.1370.6540.0920.0881.4960.0790.6050.8051.5270000000-0.002000-0.0485.16.86.20000-0.100.2-0.10000.10
Totaal niet-vlottende verplichtingen 1.620.2882.374.1024.4133.6024.2582.2872.5362.094.1331.0661.241.3751.481.1631.2021.6970.8680.121000.1522.3252.8822.2446.263.13428.27.385.64.23.43.13.42.30.7
Totaal passiva 61.96356.61559.85954.76651.39646.70350.38145.02441.8341.3438.6629.82633.52330.78224.89526.09228.10130.02426.35822.58916.32617.1623.66330.38238.49535.20935.4129.9626.533.833.333.53031.627.129.421.617.99.3
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000000000000
Gewone aandelen 3.8753.8733.8233.7453.6823.583.5193.4213.3463.3163.2673.1773.1393.042.9652.9522.9352.8572.8242.7742.7292.582.5722.5712.5572.4242.4172.3792.42.4000000000
Ingehouden winsten -26.93-21.702-17.236-15.287-9.013-1.7293.3664.6082.8974.1597.3685.3988.0246.2578.20911.62517.72518.69817.91619.66323.04522.87215.286-3.41519.16520.40853.22545.4343.152.863.176.878.766.357.543.534.128.120.4
Overige gereserveerde algehele resultaten -00-00-00-28.644-28.153-32.437-31.632-30.5-29.5-28.6-27.4-26.200.0670.0670.1360.1390.2360.2360.2480.2430.2470.244-26.6-24.2-21.8-19.3-16.9-14.4-16.7-14.4-11.5-9.1-7.2-5.2-3.3
Overige totale aandeelhoudersvermogen 153.536157.163146.389133.933125.228112.756134.343123.874121.088117.083112.425104.169100.46792.15387.30665.26265.76861.10958.49655.20150.44347.2948.31148.45247.73744.12171.49543.54340.638.138.135.643.738.636.631.228.427.124.6
Totaal eigen vermogen van aandeelhouders 130.481139.334132.976122.391119.897114.607112.584103.7594.89492.92692.5683.24483.0374.0572.2879.83986.49582.73179.37277.77776.45372.97866.41747.85169.70667.197100.53767.15264.37484.398105.790.582.665.655.35041.7
Totaal eigen vermogen 130.481139.334132.976122.391119.897114.607112.584103.7594.89492.92692.5683.24483.0374.0572.2886.22792.11687.79283.53181.75580.9177.1870.51251.68574.55272.149107.24667.15264.37484.398105.790.582.665.655.35041.7
Totaal passiva en aandeelhoudersvermogen 192.444195.949192.835177.157171.293161.31162.965148.774136.724134.266131.22113.07116.553104.83297.175112.319120.217117.816109.889104.34497.23694.3494.17582.067113.047107.358142.65697.11290.8107.8117.6131.5135.7122.1109.79576.967.951