Blackbaud, Inc.

NASDAQ:BLKB

86.34 (USD) • At close October 17, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220001999
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 728.25731.69155.14635.7531.8130.86629.8316.90215.36214.73511.88913.49152.5227.97422.76916.36114.77567.78322.68342.1446.70818.7031.7074.558
Kortetermijnbeleggingen 0.3530.2490.9770.3210.5241.7531.53600000000000000000
Liquide middelen en kortetermijnbeleggingen 728.25731.69155.14635.7531.8130.86629.8316.90215.36214.73511.88913.49152.5227.97422.76916.36114.77567.78322.68342.1446.70818.7031.7074.558
Nettovorderingen 102.215103.058103.70395.72589.39288.34897.82988.93280.04677.52366.96975.69262.65659.80450.2252.55450.23629.50525.57719.5814.51813.14800
Voorraad -16.198702.24596.616609.219545.485418.98610.344353.771255.038155.132120.79683.97600029.515.684015.940.5421.7992.11400
Overige vlottende activa 99.28581.65495.50678.36667.85259.78856.09948.31448.66640.39230.11540.58972.77255.3736.7576.9923.60113.1540.4011.8062.7131.25200
Totaal vlottende activa 929.757918.643850.971819.06734.539597.982794.102507.919399.112287.782229.769213.748187.948143.148109.746105.41774.296110.44264.60164.07225.73835.2171.7074.558
Niet-vlottende activa:
Materiële vaste activa, netto 135.616153.325165.311127.848139.94640.03142.24350.26952.65150.40249.5549.06334.39722.96322.50721.38416.96210.5248.77.1996.6216.70100
Goodwill 1,053.7381,050.2721,076.482635.854634.088545.213530.249438.24436.449349.008264.599265.05590.12276.24773.91973.61558.2752.5182.2081.6730000
Immateriële activa 742.131776.159795.329389.333419.197366.716368.749291.258314.223229.307143.441168.03744.6638.51542.01948.17137.2727.9862.6041.6731.3860.85200
Goodwill en immateriële activa 1,795.8691,826.4311,871.8111,025.1871,053.285911.929898.998729.498750.672578.315408.04433.092134.782114.762115.938121.78695.54710.5042.6041.6731.3860.85200
Langetermijnbeleggingen 16.19831.877.16002.261.1380.2060.406-14.423-13.434-15.799000000000000
Belastingvorderingen -16.198-31.87-7.1600-2.26-1.138-0.206-0.40614.42313.43415.79929.37644.63955.5764.76250.41962.30271.48787.52286.96688.82900
Overige niet-vlottende activa 51.03794.30477.26672.63965.19365.36324.08322.52421.41826.68419.2519.8446.0872.5790.4680.5370.470.0480.1060.3420.2551.30800
Totaal niet-vlottende activa 1,982.5222,074.062,114.3881,225.6741,258.4241,017.323965.324802.291824.741655.401476.841491.999204.642184.943194.483208.469163.39883.37882.89796.73695.22897.6900
Totaal activa 2,912.2792,992.7032,965.3592,044.7341,992.9631,615.3051,759.4261,310.211,223.853943.183706.61705.747392.59328.091304.229313.886237.694193.82147.498160.808120.966132.907136.589142.63
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 25.18442.55922.06727.83647.67634.53824.69323.27419.20811.43610.24413.62313.4649.88310.6837.0235.8025.8634.6832.6532.592.11600
Kortlopende schulden 19.25918.80218.69712.847.57.58.5764.3754.3754.37517.15810001.28860.4330.51316.04700.0440.1425.29500
Belastingschulden 00000003.4523.923007.607000000000000
Uitgestelde opbrengsten 392.53382.419374.499312.236314.335295.991276.456244.5230.216212.283181.475173.899153.665141.149129.412113.80293.10672.01559.45952.30343.67339.04700
Overige kortlopende verplichtingen 760.164786.862694.369660.492619.326467.626666.279407.967312.499192.91147.805114.17372.91244.68138.84834.12120.5750.51815.80616.0199.6597.75600
Totaal kortlopende verplichtingen 1,197.1371,230.6421,109.6321,013.404988.837805.655976.004680.116566.298421.004356.682311.695240.041195.713180.231215.379119.99694.44379.94871.01956.06454.21400
Langlopende verplichtingen:
Langetermijnschulden 760.405885.159990.869535.55555.224379.624429.648338.018404.229276.196135.75205.50001.4910.5860005.04445.18600
Uitgestelde opbrengsten niet-vlottend 2.3972.8174.2474.6781.8022.5643.6436.447.1198.9919.09911.1199.7726.96.1725.8382.9941.8741.27900000
Uitgestelde belastingverplichtingen niet-vlottend 93.292125.759142.20754.08644.59444.29137.59729.55827.99643.63936.8824.468000-5.838-2.9940000000
Overige niet-vlottende verplichtingen 50.3434.2941.34410.8665.7429.3885.6328.5337.6237.4376.6555.2812.7752.4191.726.5084.0090.27100.70000
Totaal niet-vlottende verplichtingen 906.4371,018.0291,138.667605.18607.362435.867476.52382.549446.967336.263188.384246.36812.5479.3197.8927.9994.5952.1451.2790.75.04445.18600
Totaal passiva 2,103.5742,248.6712,248.2991,618.5841,596.1991,241.5221,452.5241,062.6651,013.265757.267545.066558.063252.588205.032188.123223.378124.59196.58881.22771.01961.10899.4137.41148.473
Eigen vermogen:
Preferente aandelen 000000000000000000000000
Gewone aandelen 0.0690.0680.0660.0610.060.0590.0590.0580.0570.0560.0560.0550.0540.0530.0520.0510.050.0490.0480.043000.740
Ingehouden winsten 198.869197.049242.456236.714234.855246.477195.649152.729134.877131.658125.398116.862131.921126.285115.911105.10492.71678.17259.94735.16322.5222300
Overige gereserveerde algehele resultaten -1.6888.9386.522-2.497-5.29-5.11-0.649-0.457-0.825-1.032-1.385-1.973-1.148-0.512-0.201-0.8990.1370.232-6.405-0.709-4.277-0.23300
Overige totale aandeelhoudersvermogen 611.455537.977468.016191.872167.139132.357111.84395.21576.47955.23437.47532.749.175-2.7670.344-13.74820.218.77912.68155.29241.61310.74-1.561-5.843
Totaal eigen vermogen van aandeelhouders 808.705744.032717.06426.15396.764373.783306.902247.545210.588185.916161.544147.684140.002123.059116.10690.508113.10397.23266.27189.78959.85833.507-0.821-5.843
Totaal eigen vermogen 808.705744.032717.06426.15396.764373.783306.902247.545210.588185.916161.544147.684140.002123.059116.10690.508113.10397.23266.27189.78959.85833.507-0.821-5.843
Totaal passiva en aandeelhoudersvermogen 2,912.2792,992.7032,965.3592,044.7341,992.9631,615.3051,759.4261,310.211,223.853943.183706.61705.747392.59328.091304.229313.886237.694193.82147.498160.808120.966132.907136.589142.63