Artivion, Inc.

NYSE:AORT

24.97 (USD) • At close September 18, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 58.9439.35155.0161.95834.29441.48940.75357.34143.41833.37542.99318.33221.70535.49730.12117.20114.464.1336.6314.7135.67210.2777.20417.486.12812.90.11.40.22.61.41.21.1
Kortetermijnbeleggingen 0000.5460.5280.7470.7760.6990.8300000002.9873.9654.9683.9565.27214.58326.48321.23424.40300000000
Liquide middelen en kortetermijnbeleggingen 58.9439.35155.0161.95834.29441.48940.75357.34143.41833.37542.99318.33221.70535.49730.12117.20117.4478.09811.5998.66910.94424.8633.68738.71430.53112.90.11.40.22.61.41.21.1
Nettovorderingen 74.13869.58458.10548.75255.86151.43251.44130.09626.67222.86318.30716.5215.76714.31314.63613.99913.68413.95612.08712.258.24218.75417.29414.57212.33311.29.88.25.13.83.73.13
Voorraad 81.97674.47876.97173.03853.07145.47846.68426.29314.64312.7399.77110.5577.326.4296.4467.0775.6075.1534.6094.7674.454.5856.2593.9944.5973.41.80.30.40.91.30.30
Overige vlottende activa 15.8117.5557.61150.84144.16440.76941.17834.20230.7637.05140.60637.4171.73840.80644.32542.0926.90319.27813.9598.8228.8114.33224.19921.87820.08944.213.58.312.610.510.54.94.6
Totaal vlottende activa 230.864247.334247.697234.589187.39179.168179.28147.233109.663106.028106.32777.50383.8793.11895.52880.36765.45249.38545.20137.66135.76361.67884.46879.15867.5571.725.218.218.317.816.99.58.7
Niet-vlottende activa:
Materiële vaste activa, netto 82.1880.53383.23551.64854.14431.02833.57918.50211.48412.00212.17111.66712.30813.08614.30916.43818.6421.3924.37528.72432.88638.1339.24625.57918.67421.515.511.63.32.51.91.71.8
Goodwill 247.337243.631250260.061186.697188.781188.30578.29411.36511.36511.36511.3654.2200000000000000000000
Immateriële activa 172.231182.647201.496227.057157.734160.081179.4366.64119.89721.2821.91924.08220.3958.8836.9726.7237.1197.5885.3025.3715.5875.3244.3186.4583.9533.9124.71.71.21.20.90.3
Goodwill en immateriële activa 419.568426.278451.496487.118344.431348.862367.735144.93531.26232.64533.28435.44724.6158.8836.9726.7237.1197.5885.3025.3715.5875.3244.3186.4583.9533.9124.71.71.21.20.90.3
Langetermijnbeleggingen 172.231000001.97705025.90811.248-28.557550-0.026000000000000000
Belastingvorderingen 1.0871.3142.3571.4465.4814.1111.61018.18815.65916.88516.56413.2659.1828.07516.4990.1480.026000000000000000
Overige niet-vlottende activa -113.5337.3398.26714.60314.2087.9227.4895.475.5829.8234.01610.0672.55841.7263.9750.9681.3251.5021.9311.5050.7911.2821.2780.8143.8481.310.50.3-0.10.10.30.1
Totaal niet-vlottende activa 561.533515.464545.355554.815418.264391.923412.39168.90771.51670.12968.35679.65363.99444.3238.33145.62827.23230.4831.60835.639.26444.73644.84232.85126.47526.728.516.85.33.63.22.92.2
Totaal activa 792.397762.798793.052789.404605.654571.091591.67316.14181.179176.157174.683157.156147.864137.438133.859125.99592.68479.86576.80973.26175.027106.414129.31112.00994.02598.453.73523.621.420.112.410.9
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 13.31812.00410.3959.6239.7967.5479.7675.7444.594.4974.1373.7754.374.2432.9543.272.9562.4752.2392.5692.1713.8740.5552.9140.9751.71.63.71.41.31.71.21.6
Kortlopende schulden 6.4285.4295.3077.5727.2481.8891.2964.5620014.10114.02213.05910.87210.77113.9664.5494.5475.0841.3191.7387.7696.6021.1070.4670.71.500001.31.1
Belastingschulden 3.842.6353.6342.8082.9842.254.020.0020.0580.0461.37700000001.02400000000000000
Uitgestelde opbrengsten 3.8424.49928.17324.09126.3392.2529.45118.675000.3161.4011.892.0952.6461.5921.1111.22313.84200000000000000
Overige kortlopende verplichtingen 34.2767.7431.07819.1821.81222.8372.4261.12115.01516.132.1682.2322.1382.1182.8452.16916.08614.6680.11414.08417.06412.21910.6436.6886.1873.23.51.72.21.81.81.3
Totaal kortlopende verplichtingen 57.86249.67544.95360.46845.19534.52342.9430.10219.60520.62720.72221.4321.45719.32819.21620.99724.70222.91321.27917.97220.97323.86217.810.7097.6229.46.37.23.13.53.54.34
Langlopende verplichtingen:
Langetermijnschulden 305.531351.4356.736309.802237.904221.658225.09267.0120000000.3150.3150.0810.12400.530.7510.9718.7411.9056.1776.616.92.80000.80.3
Uitgestelde opbrengsten niet-vlottend 47.38205.9525.5184.4345.7076.285-0.0071.735000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 21.85124.49928.79934.71325.84427.26730.4310.00700000000.91900.20000.9860.449000.40.3000000
Overige niet-vlottende verplichtingen 77.99152.89555.88450.196.5816.8697.88710.0434.5886.8459.2147.6144.8694.1683.8824.4385.2744.544.9095.0994.9650.7950.882001.600.100000
Totaal niet-vlottende verplichtingen 452.755428.794447.371400.223274.763261.501269.69577.0556.3236.8459.2147.6144.8694.1684.1975.6725.3554.8644.9095.6295.7162.75210.07111.9056.1778.617.22.90000.80.3
Totaal passiva 510.617478.469492.324460.691319.958296.024312.635107.15725.92827.47229.93629.04426.326251.3823.41326.66930.05727.77726.18823.60126.68926.61427.87122.61413.7991823.510.13.13.53.55.14.3
Eigen vermogen:
Preferente aandelen 0000001.97700000000000.0030.00300000000000000
Gewone aandelen 0.4260.4180.4140.4040.390.3850.3760.3420.2980.2920.2820.2750.3010.30.2950.2910.2850.2580.2560.2480.2110.2090.2020.2010.13400000000
Ingehouden winsten -47.907-17.2171.97520.02236.70434.98437.60934.14323.36522.76818.7415.536-1.037-8.408-12.352-20.073-52.981-59.177-58.569-38.257-19.50812.78640.54731.38123.56419.112.67.941.80.50-0.7
Overige gereserveerde algehele resultaten -12.01-21.609-9.8876.743-8.589-6.0721.857-0.429-0.076-0.1210.007-0.039-0.006-0.032-0.038-0.0800.0870.1230.1390.3560.261-0.178-1.133-0.84200000000
Overige totale aandeelhoudersvermogen 341.271322.737308.226301.544257.191245.77237.216174.927131.664125.746125.717122.34122.28-105.802122.541119.188115.323110.917108.80887.5367.27966.54460.86858.94657.3761.317.61716.516.116.107.3
Totaal eigen vermogen van aandeelhouders 281.78284.329300.728328.713285.696275.067279.035208.983155.251148.685144.747128.112121.538-113.942110.44699.32662.62752.08850.62149.6648.33879.8101.43989.39580.22680.430.224.920.517.916.67.36.6
Totaal eigen vermogen 281.78284.329300.728328.713285.696275.067279.035208.983155.251148.685144.747128.112121.538-113.942110.44699.32662.62752.08850.62149.6648.33879.8101.43989.39580.22680.430.224.920.517.916.67.36.6
Totaal passiva en aandeelhoudersvermogen 792.397762.798793.052789.404605.654571.091591.67316.14181.179176.157174.683157.156147.864137.438133.859125.99592.68479.86576.80973.26175.027106.414129.31112.00994.02598.453.73523.621.420.112.410.9