Bruker Corporation

NASDAQ:BRKR

44.97 (USD) • At close March 13, 2025
Overzicht | Financiële gegevens

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 183.4488.3645.51,068.2681.8678.3322.4325342.4267.1319.5438.7310.6246230.4207.1166.272.87652.14753.15932.54762.64232.168.38121.7352.4430
Kortetermijnbeleggingen 00100100506.60114.2157.9201.2178000001.50046.41945.14414.19514.75161.7572.89400
Liquide middelen en kortetermijnbeleggingen 183.4488.3645.51,168.2731.8684.9322.4439.2500.3468.3497.5438.7310.6246230.4207.1167.772.87652.14799.57877.69176.83746.91170.13194.6292.4430
Nettovorderingen 565.5621.8595.3416.9335.3362.2357.2319.3243.9234.7293.2307.6289.3282.8232.9184.1171.9114.93888.63253.74467.32254.68927.18216.20311.62612.2040
Voorraad 1,067.8968.3803.7710.1692.3577.2509.6486.2440.4422477.4589.8611.5576.2511422.8425.1171.332134.50496.333107.748110.05267.70647.53136.7825.4420
Overige vlottende activa 236.585.872.3176.6165.6172115.1114.191.3106.598.295.898.389.176.859.55636.48419.46115.95418.539.0473.6755.0574.3861.4310
Totaal vlottende activa 2,053.22,164.22,124.52,471.81,924.91,796.31,304.31,358.81,272.81,231.61,366.31,431.91,309.71,194.11,051.1873.5820.7395.63294.744265.609271.291250.625145.474138.922147.42141.520
Niet-vlottende activa:
Materiële vaste activa, netto 814.8691.4487406.1462.9371.7270.6266.5239.1231.1249.9299.5283.6249233.7223.4221.3103.190.34972.33684.9981.35452.54337.25225.52825.3510
Goodwill 1,507.3582.6457.6339.5320.4293275.7169.8130.6130.6127.8127.4115.9100.298.347.546.440.7839.77717.51610.739000000
Immateriële activa 912.5330.5270.9211.8229.1603.5553.7323.2301268.2248.6256.9263.1267.42654.964.1285.57919.04912.1712.6433.411.5952.3350.4380
Goodwill en immateriële activa 2,419.8913.11,007772.1660.1603.5553.7323.2301268.2248.6256.9263.1267.426575.152.444.90845.35619.04912.1712.6433.411.5952.3350.4380
Langetermijnbeleggingen 08.323-160.9-111.6-77.3-59.3-71-93.1-62.9-37-23.9-30.2-30.8-30.6-22.70000001.67511.305000
Belastingvorderingen 286.2297.276.890.17260.550.95776.55329.718.717.617.212.513.40000007.4767.717000
Overige niet-vlottende activa 232.7175.7-99.870.839.616.88.41416.69.97.35.212.613.618.19.321.99.5752.7383.8933.0966.409-7.476-7.7179.2700
Totaal niet-vlottende activa 3,753.52,085.71,4941,178.21,123975.2824.3589.7540.1499.3498.5556.4546.7516.4498.7298.5295.6157.583138.44395.278100.256100.40657.62850.15237.13325.7890
Totaal activa 5,806.74,249.93,618.53,6503,047.92,771.52,128.61,948.51,812.91,730.91,864.81,988.31,856.41,710.51,549.81,1721,116.3553.213433.187360.887371.547351.031203.102189.074184.55467.30963.841
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 234.1202.7178.4147.4134.6118.4104.590.886.172.17674.869.672.36449.843.332.58423.10217.21122.65222.5220.6569.8727.6016.6610
Kortlopende schulden 32.5144.535.1130.323.521.118.5020.10.60.80.71.383.7214.4224113.826-22.1659.564-12.8518.58718.413.88502.4960
Belastingschulden 142.5138.710490.5116.569.960.244.823.750.536.89.560.955.8000000002.051.806000
Uitgestelde opbrengsten 438.2400225.7197.5189.2137.9124.4111.7149178.3189.5258.6267.3351.6242.2219.244.724.41649.46129.23221.04523.19318.24314.885000
Overige kortlopende verplichtingen 434316.2596.8234.4210.1436.2416.1388.9394.8431.3469.1563.6467.5192.4240.6249.2390.7164.237100.70884.75255.25844.317.06423.75928.76620.2830
Totaal kortlopende verplichtingen 1,281.31,202.1913.8938.5793.6645.6598524.5525.9554.6582.7648.6681.9755.8831.5539.1519.7252.953195.128111.527111.16108.658.1839.32236.36729.440
Langlopende verplichtingen:
Langetermijnschulden 2,180.71,219.31,235.31,263.6889.3859.8329.7416.9391.6265.2354.2354.3335.9219.486.6116.8182.86.39422.86325.0727.76326.3748.03811.32312.03712.8440
Uitgestelde opbrengsten niet-vlottend 091.556.250.250.942.838.348.746.844.437.133.734.932.729.334.135.4000001.2480.675000
Uitgestelde belastingverplichtingen niet-vlottend 118.567.762.34643.148.851.124.310.19.517.822.612.123.818.825.2-35.4000007.4767.7177.4758.7860
Overige niet-vlottende verplichtingen 411256211.9266.9295.4257.4182.5200.6145.4123.5101.378.98253.956.239.165.734.66923.49116.25515.15613.5079.25810.2074.5036.1820
Totaal niet-vlottende verplichtingen 2,710.21,634.51,572.91,626.71,278.71,208.8625.5690.5593.9443.4510.4489.5464.9329.8190.9214.1283.941.06346.35441.32542.91939.88118.54422.20524.01527.8110
Totaal passiva 3,991.52,836.62,486.72,565.22,072.31,854.41,223.51,2151,119.89981,093.11,138.11,146.81,085.61,022.4753.2803.6294.016241.482152.852154.079148.48176.72461.52760.38257.25153.501
Eigen vermogen:
Preferente aandelen 0000008.58.16.76.85.84.103.42.71.600000000000
Gewone aandelen 1.81.71.71.71.71.71.71.71.71.71.71.71.71.71.61.61.61.051.020.8980.8950.8650.550.5490.5480.4550
Ingehouden winsten 2,406.72,323.81,9261,659.51,406.51,274.71,102.5942885.2757.4655.8599.1519441.5349.2253.8172.648.24517.467-18.544-22.19-14.3596.09912.2998.6626.4120
Overige gereserveerde algehele resultaten -103.5614.8-8.23.7-25.51727-75.9-44.228.2182.4137.8142.5152.4153.5137.837.85623.51910.28424.69816.4711.773-4.969-3.052-2.8550
Overige totale aandeelhoudersvermogen -523.8-954.3-828.7-582.5-450.7-344.1-224.6-245.3-124.611.280.262.948.135.821.58.3-0.1171.508149.46235.246213.872199.449177.496119.668118.0146.04510.34
Totaal eigen vermogen van aandeelhouders 1,781.21,377.21,125.71,084.6975.6917.1905.1733.5693.1732.9771.7850.2706.6624.9527.4418.8311.9258.659191.466207.802217.275202.426126.378127.547124.17210.05810.34
Totaal eigen vermogen 1,799.31,413.31,131.81,084.8988.7927.4913.6741.6699.8739.7777.5854.3709.7628.3530.1420.4312.7259.197191.705208.035217.468202.55126.378127.547124.17210.05810.34
Totaal passiva en aandeelhoudersvermogen 5,806.74,249.93,618.53,6503,047.92,771.52,128.61,948.51,812.91,730.91,864.81,988.31,856.51,710.51,549.81,1721,116.3553.213433.187360.887371.547351.031203.102189.074184.55467.30963.841