Benchmark Electronics, Inc.

NYSE:BHE

51.83 (USD) • At close November 8, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 283.213207.43271.749390.808363.956458.102742.546681.433465.995427.376345.555384.579283.92346.345421.243359.694199.198123.872110.845124.862356.14312.57659.87923.5419.43723.07621.02913.82.86.85.66.23.13.60.1
Kortetermijnbeleggingen 00.63900000000000000182.825100.46215.96242.506000000000000000
Liquide middelen en kortetermijnbeleggingen 283.213207.43271.749390.808363.956458.102742.546681.433465.995427.376345.555384.579283.92346.345421.243359.694382.023224.332326.805367.368356.14312.57659.87923.5419.43723.07621.02913.82.86.85.66.23.13.60.1
Nettovorderingen 624.383675.57511.126452.11485.485608.243436.56440.692479.14520.389559.763459.081425.936455.93417.268422.058485.907462.953365.568251.305208.81178.957181.732277.62200.5958.29840.08639.5720.616.312.58.46.642.5
Voorraad 683.801727.749523.24327.377314.956309.975397.181381.334411.986401.261396.699324.041391.58362.234315.743343.163361.952420.347361.554256.876238.629195.67197.278346.463214.55453.71861.13448.12313.218.98.35.84.52.5
Overige vlottende activa 44.3541.442.02926.87430.68527.2342.38328.20331.50739.52740.81646.49103.13254.50648.65739.03475.40962.97830.57926.0228.11321.12922.00821.547-0.0014.3870.0011.9110.62.257.40.13.60
Totaal vlottende activa 1,635.7471,652.1491,348.1441,202.3511,195.0821,403.551,618.671,531.6621,388.6281,388.5531,342.8331,214.1911,204.5681,219.0151,202.9111,163.9491,305.2911,170.611,084.506901.569831.692708.332460.897669.171442.413139.479125.154103.3824738.54230.315.615.75.1
Niet-vlottende activa:
Materiële vaste activa, netto 358.528304.559285.824265.238282.678210.954186.473166.148178.17190.18185.319176.104163.66127.442126.25134.618144.182110.91294.1471.56985.26594.0493.805136.388122.00845.56130.81630.63510.19.95.44.14.31.61.5
Goodwill 192.116270.623269.912276.646282.114285.279292.174300.858326.15399.148119.29837.91237.91237.91237.91237.912283.725112.999112.9780000166.514172.79148.90622.68124.350000000
Immateriële activa 51.02258.18664.23169.97775.79384.10590.86496.286107.40822.33425.95113.13713.92300000112.978112.853113.478119.823119.209000000000000
Goodwill en immateriële activa 192.116270.623269.912276.646282.114285.279292.174300.858326.15399.148119.29837.91237.91237.91237.91237.912283.725112.999112.978112.853113.478119.823119.209166.514172.79148.90622.68124.350000000
Langetermijnbeleggingen -219.0590-13.565-14.553-14.205-93.163-100.558-109.2420.9271.0089.92110.32424.67335.29745.68648.162-14.562-6.534-8.3270000000000000000
Belastingvorderingen 26.94312.2355.9724.9245.2742.4784.0346.57214.08825.01733.85629.53537.4219.73517.71321.65614.5626.5348.3270000000000000000
Overige niet-vlottende activa 280.48-12.2357.5939.6298.93190.68596.524102.67-14.088-25.017-33.85633.41132.23538.33138.48232.62429.6511.5996.7846.017.60310.05612.19419.14823.6257.9511.6719.807-0.1-0.1000.10.10
Totaal niet-vlottende activa 639.008575.182555.736541.884564.792496.233478.647467.006505.25290.336314.538287.286295.9258.717266.043274.972457.557235.51213.902190.432206.346223.919225.208322.05318.424102.41765.16864.792109.85.44.14.41.71.5
Totaal activa 2,274.7552,227.3311,903.881,744.2351,759.8741,899.7832,097.3171,998.6681,893.8781,678.8891,657.3711,501.4771,500.4681,477.7321,468.9541,438.9211,762.8481,406.121,298.4081,092.0011,038.038932.251686.105991.221760.837241.896190.322168.1745748.347.434.42017.46.6
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 367.48424.272426.555282.208302.994422.053362.701326.249251.163289.786320.953260.622285.671257.295275.9288.045359.422335.47371.887257.054268.034212.938144.15268.358215.97137.04631.69424.359.16.411.83.62.82.20
Kortlopende schulden 19.7694.2750.9859.1618.8256.79318.27412.39612.2840.6760.5820.4970.4190.3620.30.2560.4300021.01728.62822.36720.27519.1848.1990.1560.2390000000
Belastingschulden 22.22512.2366.1645.5727.89510.43511.6623.5345.0695.479.573.8285.2244.8466.4643.7451.69931.329.6940000000000000000
Uitgestelde opbrengsten 204.883197.937118.12484.1220000000000-2.64749.48559.50900057.95367.986031.30907.96806.2050000000
Overige kortlopende verplichtingen 121.415122.652108.718105.645147.426108.31397.34173.73669.64768.63676.84269.39665.8663.6963.383.7451.69974.24866.25674.57718.8096.40726.5411.91129.3330.0025.4250.0020.61.21.10.90.50.62.3
Totaal kortlopende verplichtingen 713.547749.136654.382481.136459.245537.159478.316412.381333.094359.098398.377330.515351.95321.347336.933341.531421.06409.718438.143331.631365.813315.959193.058321.853264.48853.21537.27530.7969.77.612.94.53.32.82.3
Langlopende verplichtingen:
Langetermijnschulden 326.5407.362220.167203.171206.81147.277193.406211.252222.9098.8459.52110.10310.611.01911.38111.68312.0960000.011108.539124.895173.7202.8146.1130.3330.4850000000.1
Uitgestelde opbrengsten niet-vlottend 00.495-0.084-4.788-13.504-14.323-7.02700-2.106-2.071-1.75600000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 00.4950.0844.78813.50414.3237.027002.1062.0711.75600009.4089.07411.6866.4225.0035.7778.6999.6725.6654.571.8461.8930.70.60.30.30.20.20.1
Overige niet-vlottende verplichtingen 155.62343.42755.52970.3478.98783.12296.7769.5715.97119.90622.4421.33421.724.3523.85629.25231.7622.3062.462.4312.8862.9467.77174.0515.9390.001-0.001000000.20.20.6
Totaal niet-vlottende verplichtingen 482.123451.779275.696273.511285.797230.399290.182220.822238.8828.75131.96131.43732.335.36935.23740.93553.26611.3814.1468.8537.9117.262141.365257.423214.41450.68132.17532.3780.70.60.30.30.40.40.8
Totaal passiva 1,195.671,200.915930.078754.647745.042767.558768.498633.203571.974387.849430.338361.952384.25356.716372.17382.466474.326421.098452.289340.484373.713433.221334.423579.276478.902103.89669.4563.17410.48.213.24.83.73.23.1
Eigen vermogen:
Preferente aandelen 0000000000000.4705.88100000000000000000000
Gewone aandelen 3.5663.5163.5213.6293.6964.1364.9144.9335.0185.35.3835.5195.7796.1096.416.5237.0586.4754.2174.164.092.4351.971.9591.6241.1631.1570.5740000000
Ingehouden winsten 560.537519.895479.992492.205515.876584.274697.862748.615704.905645.5586.422493.666449.193415.003356.802318.576486.848398.949287.272206.683135.69280.25644.36398.67578.77466.850.42835.33826.520.314.6106.84.72.7
Overige gereserveerde algehele resultaten -13.86-16.233-17.158-16.651-16.759-11.124-8.149-14.176-13.016-9.475-9.094-10.536-13.45-6.962-4.993-10.1851.616-6.479-8.175-11.648-13.798-19.357-14.406-6.4180.6770000000000
Overige totale aandeelhoudersvermogen 528.842519.238507.447510.405512.019554.939634.192626.093624.997649.715644.322650.876674.226706.866732.684741.541793586.077562.805552.322538.341435.696319.755317.729200.8670.03769.28769.08820.119.819.619.69.59.50.8
Totaal eigen vermogen van aandeelhouders 1,079.0851,026.416973.802989.5881,014.8321,132.2251,328.8191,365.4651,321.9041,291.041,227.0331,139.5251,116.2181,121.0161,096.7841,056.4551,288.522985.022846.119751.517664.325499.03351.682411.945281.935138120.872104.99946.640.134.229.616.314.23.5
Totaal eigen vermogen 1,079.0851,026.416973.802989.5881,014.8321,132.2251,328.8191,365.4651,321.9041,291.041,227.0331,139.5251,116.2181,121.0161,096.7841,056.4551,288.522985.022846.119751.517664.325499.03351.682411.945281.935138120.872104.99946.640.134.229.616.314.23.5
Totaal passiva en aandeelhoudersvermogen 2,274.7552,227.3311,903.881,744.2351,759.8741,899.7832,097.3171,998.6681,893.8781,678.8891,657.3711,501.4771,500.4681,477.7321,468.9541,438.9211,762.8481,406.121,298.4081,092.0011,038.038932.251686.105991.221760.837241.896190.322168.1745748.347.434.42017.46.6