Avnet, Inc.

NASDAQ:AVT

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

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989198819871986
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 310.941288.23153.693199.691477.038546.105621.125836.3841,031.478932.553928.9711,009.3431,006.864675.3341,092.102943.921640.449557.35276.713637.867312.667395.467159.23497.279167.192311.98282.60759.31247.80849.33253.9219.856.995.9103.993.8152.3213.3110.6
Kortetermijnbeleggingen 0000000281.3260000000000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 310.941288.23153.693199.691477.038546.105621.1251,117.711,031.478932.553928.9711,009.3431,006.864675.3341,092.102943.921640.449557.35276.713637.867312.667395.467159.23497.279167.192311.98282.60759.31247.80849.33253.9219.856.995.9103.993.8152.3213.3110.6
Nettovorderingen 4,391.1874,763.7884,301.0023,576.132,928.3863,168.3693,641.1393,337.6244,975.125,054.3075,220.5284,868.9734,607.3244,764.2933,574.5412,618.6973,367.4433,103.0152,477.0431,888.6271,743.9621,471.8061,374.0171,629.5661,750.827960.639894.289800.015802.442713.644573.6359.2312.7250.6257.5262297.6244.6232.4
Voorraad 5,468.735,465.0314,244.1483,236.8372,731.9883,008.4243,141.8222,824.7092,856.2312,482.1832,613.3632,264.3412,388.6422,596.471,812.7661,411.7551,894.4921,736.3011,616.581,224.6981,364.0371,097.581,417.3051,917.0441,887.28997.2471,061.7391,007.074935.612747.477627491.8458.2442.9425.5479.5538.5435.4414
Overige vlottende activa 199.694233.804177.783150.763191.394153.438206.513253.765141.144173.03191.337214.221251.609191.11150.759169.87968.76292.17997.12631.77563.32161.237254.976103.667.95643.45529.72230.03527.2813.8389.64.8251.3248.5242.8147.312.312.515.3
Totaal vlottende activa 10,370.55210,750.8538,876.6267,163.4216,328.8066,876.3367,610.5997,533.8089,003.9738,642.0738,954.1998,356.8788,254.4398,227.2076,630.1685,144.2525,971.1465,488.8454,467.4623,782.9673,483.9863,126.093,205.5323,747.4893,873.2552,313.3232,068.3571,896.4361,813.1421,524.2911,264.11,075.61,079.11,037.91,029.7982.61,000.7905.8772.3
Niet-vlottende activa:
Materiële vaste activa, netto 777.14663.255542.342634.44680.524452.171522.909519.575612.658568.779534.999492.606461.23419.173302.583305.682227.187179.533159.433157.428187.339250.412349.924417.159289.902194.012155.491181.509176.929145.611115.1102.5101.797.394.8106.2117.7121.598.9
Goodwill 780.984780.629758.833838.105773.734876.728980.8721,148.3471,281.221,278.7561,348.4681,261.2881,100.621885.072566.309550.1181,728.9041,402.471,296.597500.7660857,110844.5971,404.863856.831385.648460.882476.935494.666419.47940800000000
Immateriële activa 0012.65128.53965.437143.52219.913277.29178.39799.731184.308172.2120000000895.3894.882857.1100000000408.569.261.946.33337.134.135.136.9
Goodwill en immateriële activa 780.984780.629771.484866.644839.1711,020.2481,200.7851,425.6381,359.6171,378.4871,532.7761,261.2881,100.621885.072566.309550.1181,728.9041,402.471,296.597895.3894.882857.11844.5971,404.863856.831385.648460.882476.935494.666419.479408.569.261.946.33337.134.135.136.9
Langetermijnbeleggingen -0-242.069-211.1580-187.5530000000000000000000000000000000000
Belastingvorderingen 253.163242.069211.1580187.5530000000000000000000000000000000000
Overige niet-vlottende activa 77.264282.422198.08260.917256.696215.801262.552220.568263.557210.614233.543363.908351.576374.117283.322273.464272.893284.271292.201262.52297.444265.939281.901294.637224.36791.71448.96739.19136.91936.214000000.10.100
Totaal niet-vlottende activa 1,888.5511,726.3061,511.9061,762.0011,776.3911,688.221,986.2462,165.7812,235.8322,157.882,301.3182,117.8021,913.4271,678.3621,152.2141,129.2642,228.9841,866.2741,748.2311,315.2481,379.6651,373.4611,476.4222,116.6591,371.1671.374665.34697.635708.514601.304523.6171.7163.6143.6127.8143.4151.9156.6135.8
Totaal activa 12,259.10312,477.15910,388.5328,925.4228,105.1978,564.5569,596.8459,699.58911,239.80510,799.95311,255.51710,474.6810,167.8669,905.5697,782.3826,273.5168,200.137,355.1196,215.6935,098.2154,863.6514,499.5514,681.9545,864.1485,244.3552,984.6972,733.6972,594.0712,521.6562,125.5951,787.71,247.31,242.71,181.51,157.51,1261,152.61,062.4908.1
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 3,345.513,373.823,431.6832,401.3571,754.0781,864.3422,269.4781,861.6353,233.7813,338.0523,402.3693,278.1523,230.7653,561.6322,862.291,957.9932,293.2432,228.0171,654.1541,296.7131,099.703802.039891.234853.1961,102.51480.377451.441433.762353.918314.887252.9182.2144.1103114.4112.1000
Kortlopende schulden 546.704122.428228.95181.42453.364300.538165.3850.1131,152.599331.115865.088838.19872.404243.07936.54923.29443.80453.367316.01661.298160.66187.65659.3091,302.129499.2870.2880.2430.1780.2820.49300.10.41.33.12.75.343.4
Belastingschulden 46.14393.52124.831034.58812.313108.38661.55243.23227.81640.82954.03985.02572.495100.422000000000000000000000000
Uitgestelde opbrengsten 46.14300000108.38661.55243.23227.81640.82954.03985.02572.496100.422000291.036000-59.707-1,302.260-0.802-0.5770.5130.0220000000000
Overige kortlopende verplichtingen 526.912753.13591.02572.457472.924413.696426.217480.471512.881575.313670.54651.063610.458600.521440.354474.573442.545495.601177.118359.507384.63316.3553861,717301.977316156143165151.82123.290.285.774.768.464.7230176.5145.8
Totaal kortlopende verplichtingen 4,465.2694,249.3784,251.6543,055.2382,280.3662,578.5762,969.4612,453.7714,942.4934,272.2964,978.8264,821.4444,798.6524,477.7283,439.6152,455.862,779.5922,776.9852,438.3241,717.5181,644.9931,306.051,276.8362,570.0651,903.774795.863607.107577.453519.222467.2376.1272.5230.2179185.9179.5235.3180.5149.2
Langlopende verplichtingen:
Langetermijnschulden 2,406.6293,178.651,636.8181,431.1671,678.511,419.9221,489.2191,729.2121,339.2041,646.5011,213.8141,206.9931,271.9851,273.5091,243.681946.5731,181.4981,155.99918.811,183.1951,196.161,278.3991,565.836919.4931,438.61791.226810.695514.426497.223419.016303.1106.6175.3201.1201.9211.1221.2224111.9
Uitgestelde opbrengsten niet-vlottend 173.886-54.799-54.6320-66.3160000000000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 49.95654.79954.632066.3160000000000000000000000000000000000
Overige niet-vlottende verplichtingen 237.859297.462307.3354.833419.923425.585453.084334.538266.822196.135172.684157.118191.49798.26289.969110.226104.34921.49927.376100.46969.07282.5834.77200000000000000.100.1
Totaal niet-vlottende verplichtingen 2,868.333,476.1121,944.1181,7862,098.4331,845.5071,942.3032,063.751,606.0261,842.6361,386.4981,364.1111,463.4821,371.7711,333.651,056.7991,285.8471,177.489946.1861,283.6641,265.2321,360.9791,600.608919.4931,438.61791.226810.695514.426497.223419.016303.1106.6175.3201.1201.9211.1221.3224112
Totaal passiva 7,333.5997,725.496,195.7724,841.2384,378.7994,424.0834,911.7644,517.5216,548.5196,114.9326,365.3246,185.5556,262.1345,849.4994,773.2653,512.6594,065.4393,954.4743,384.513,001.1822,910.2252,667.0292,877.4443,489.5583,342.3841,587.0891,417.8021,091.8791,016.445886.216679.2379.1405.5380.1387.8390.6456.6404.5261.2
Eigen vermogen:
Preferente aandelen 000000000000000000000027.2590000000000000000
Gewone aandelen 89.04691.50495.70299.60198.793104.038115.825123.081127.377135.496138.286137.127142.586152.835151.874151.099150.417149.826146.667120.771120.483119.555119.431117.8490.75744.41644.33544.03243.84241.2044100000000
Ingehouden winsten 3,601.8123,378.2122,921.3992,516.172,421.8452,767.4693,235.8943,799.3633,632.2713,582.5993,257.4072,802.9662,545.8582,293.511,624.4411,257.2612,379.7231,880.6421,487.5751,283.0281,114.7891,041.8921,088.0081,770.6451,616.6921,496.3571,342.9881,215.551,058.35896.102780.3719.3671.6642.4602.1567.1531496.6491.6
Overige gereserveerde algehele resultaten -486.723-409.381-481.248-153.747-388.38-304.039-195.351-243.866-520.775-441.038139.51228.895-45.832377.21127.362218.094482.178276.509186.876123.705151.195103.20727.812-56.297-52.289-46.041-41.804-24.767-4.2430.814-20-159.8-144.5-135.7-129.6-111.2-113.2-96.7-77.2
Overige totale aandeelhoudersvermogen 1,721.3691,691.3341,656.9071,622.161,594.141,573.0051,528.7131,503.491,452.4131,407.9641,354.9881,320.1371,263.121,232.5141,205.441,134.4031,122.3731,093.6681,010.065569.529566.959567.868542542.402246.811-97.124-29.624267.377407.262301.259307.2308.7310.1294.7297.2279.5278.2258232.5
Totaal eigen vermogen van aandeelhouders 4,925.5044,751.6694,192.764,084.1843,726.3984,140.4734,685.0815,182.0684,691.2864,685.0214,890.1934,289.1253,905.7324,056.073,009.1172,760.8574,134.6913,400.6452,831.1832,097.0331,953.4261,832.5221,804.512,374.591,901.9711,397.6081,315.8951,502.1921,505.2111,239.3791,108.5868.2837.2801.4769.7735.4696657.9646.9
Totaal eigen vermogen 4,925.5044,751.6694,192.764,084.1843,726.3984,140.4734,685.0815,182.0684,691.2864,685.0214,890.1934,289.1253,905.7324,056.073,009.1172,760.8574,134.6913,400.6452,831.1832,097.0331,953.4261,832.5221,804.512,374.591,901.9711,397.6081,315.8951,502.1921,505.2111,239.3791,108.5868.2837.2801.4769.7735.4696657.9646.9
Totaal passiva en aandeelhoudersvermogen 12,259.10312,477.15910,388.5328,925.4228,105.1978,564.5569,596.8459,699.58911,239.80510,799.95311,255.51710,474.6810,167.8669,905.5697,782.3826,273.5168,200.137,355.1196,215.6935,098.2154,863.6514,499.5514,681.9545,864.1485,244.3552,984.6972,733.6972,594.0712,521.6562,125.5951,787.71,247.31,242.71,181.51,157.51,1261,152.61,062.4908.1