Ciena Corporation

NYSE:CIEN

57.98 (USD) • At close September 19, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,010.618994.3521,422.5461,088.624904.045745.423640.513777.615790.971586.72346.487642.444541.896688.687485.705550.669892.061220.164372.781202.623309.665377.189397.89143.187143.4227.4263.1
Kortetermijnbeleggingen 104.753153.989181.483150.667109.94148.981279.133275.248135.107140.205124.97950.05700563.183366.336822.185628.393579.531753.251796.8091,130.414902.59495.13111900
Liquide middelen en kortetermijnbeleggingen 1,115.3711,148.3411,604.0291,239.2911,013.985894.404919.6461,052.863926.078726.925471.466692.501541.896688.6871,048.888917.0051,714.246848.557952.312955.8741,106.4741,507.6031,300.484238.318262.4227.4263.1
Nettovorderingen 1,003.876920.772884.958719.405724.854786.502622.183576.235550.792518.981488.578345.496417.509343.582118.251142.414112.848118.64272.78645.87843.628.68395.063248.95144.385.563.2
Voorraad 1,050.838946.73374.265344.379345.049262.751267.143211.251191.162254.66249.103260.098230.076261.61988.08693.452102.618106.08549.33347.61444.99547.023254.968141.27979.670.941.1
Overige vlottende activa 405.694370.053325.654308.084297.914198.945197.339172.843196.178192.624186.655117.595143.357147.6850.5374.4816.23724.90227.49129.90634.33454.351240.574184.46746.744.211.2
Totaal vlottende activa 3,575.7793,385.8963,188.9062,611.1592,381.8022,142.6022,006.3112,013.1921,864.211,693.191,395.8021,415.691,332.8381,441.5681,305.7621,184.7861,968.7591,098.1861,101.9221,079.2721,229.4031,637.6572,191.089813.014533428378.6
Niet-vlottende activa:
Materiële vaste activa, netto 315.287312.887329.253329.403286.884292.067308.465288.406191.973126.632119.729123.58122.558120.29461.86859.96746.67129.42728.0951.252114.93196.951331.49189.231125.3123.467.4
Goodwill 444.765328.322311.645310.847297.937297.968267.458266.974256.434000000455.673232.015232.015232.015408.615336.039212.5178.8910000
Immateriële activa 205.62769.51765.31496.647112.781148.225100.997146.711202.673128.677185.828257.137331.635426.41260.8292.24967.14491.274352.339616.63444.44762.45747.8749.04912.616.30
Goodwill en immateriële activa 650.392397.839376.959407.494410.718446.193368.455413.685459.107128.677185.828257.137331.635426.41260.82547.922299.159323.289352.339616.63444.447274.957226.7659.04912.616.30
Langetermijnbeleggingen 134.27835.38570.03882.22610.01458.9749.78390.17295.10550.05715.0310.4250.26408.03115634351156329.704519.744570.861494.6570000
Belastingvorderingen 809.306824.008800.18647.805714.942745.0391,155.1041.116000-0.42000-156-34-351-156-329.704-519.744-570.861186.8610000
Overige niet-vlottende activa 116.453113.61799.891102.8388.98671.65263.59375.87184.65674.07686.3884.736114.123129.81967.902231.919101.684388.811192.878389.9589.385641.457-113.56115.9076.94.71.2
Totaal niet-vlottende activa 2,025.7161,683.7361,676.3211,569.7581,511.5441,613.9211,945.4869.25830.841379.442406.968465.453618.58676.525198.621839.808447.514741.527573.3071,057.7821,148.7621,113.3651,126.212214.187144.8144.468.6
Totaal activa 5,601.4955,069.6324,865.2274,180.9173,893.3463,756.5233,951.7112,882.4422,695.0512,072.6321,802.771,881.1431,951.4182,118.0931,504.3832,024.5942,416.2731,839.7131,675.2292,137.0542,378.1652,751.0223,317.3011,027.201677.8572.4447.2
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 317.828516.047356.176291.904344.819340.582260.098235.942222.14209.777254.849179.704157.116200.61753.10444.76155.38939.27743.86831.50944.40239.84168.73570.2534.425.720.4
Kortlopende schulden 28.35525.85525.56225.96577352.293236.5582.5190.063194.051216.2100103.34996.143542.26279.28276.49176.04598.9260.9480.9950.712100
Belastingschulden 16.34111.47213.5776.34800000000000-1.1297.7685.9815.7853.3544.6406.6490000
Uitgestelde opbrengsten 154.419137.899118.007108.7111.381111.134102.418109.009126.111104.68888.5579.51699.37375.33440.56536.76733.02519.63727.81721.56614.47315.38829.480000
Overige kortlopende verplichtingen 431.419360.782409.285334.132382.74504.287322.934310.353316.283276.60877.605209.54197.004193.9941.8111.66899.71623.40730.28829.45928.398167.641155.172102.37770.136.233.2
Totaal kortlopende verplichtingen 932.0211,040.583909.03760.701845.94963.0031,037.743891.862667.034781.136615.055684.97453.493469.945198.829179.339730.392161.603178.464158.579186.199223.818254.382173.339105.561.953.6
Langlopende verplichtingen:
Langetermijnschulden 1,576.6651,103.517711.919737.771680.406686.45583.6881,025.9911,271.6391,274.7911,212.0191,225.8061,442.3641,459.14806.554798800875.047648.752690791.74848.625869.8654.8824.900
Uitgestelde opbrengsten niet-vlottend 74.04162.33657.45749.66345.49258.32382.58973.85462.96240.9323.6227.5624.42529.71535.36837.6630.61521.03915.70116.0114.54715.444-834.72726.935000
Uitgestelde belastingverplichtingen niet-vlottend 00000-350.7550000000-1,212.9040-37.66-30.615-21.039-15.701-16.01-14.547151.3164.07239.1453734.128.2
Overige niet-vlottende verplichtingen 170.407150.335166.803123.185148.747470.168111.349124.39472.5445.3934.75331.77917.2631,212.9047.79448.30635.72749.437112.646134.05369.409-15.444834.727-26.935-0.11.51.8
Totaal niet-vlottende verplichtingen 1,821.1131,316.188936.179910.619874.645864.186777.6261,224.2391,407.1411,361.1111,270.3921,285.1451,484.0521,488.855849.716846.306835.727924.484761.398824.053861.149999.935933.93744.02741.835.630
Totaal passiva 2,753.1342,356.7711,845.2091,671.321,720.5851,827.1891,815.3692,116.1012,074.1752,142.2471,885.4471,970.1151,937.5451,958.81,048.5451,025.6451,566.1191,086.087939.862982.6321,047.3481,223.7531,188.319217.366147.397.583.6
Eigen vermogen:
Preferente aandelen 0000000000000001.2751.2431.0767.45416.57410.1123.86600000
Gewone aandelen 1.4481.4841.5491.5461.5441.5431.431.3981.3561.071.0371.0060.9740.9410.920.9050.8680.8495.8035.7174.7324.3283.282.8651.400
Ingehouden winsten -3,377.403-3,632.23-3,785.132-4,283.122-4,644.413-4,947.652-4,664.253-5,926.206-5,998.79-6,010.457-5,969.82-5,884.389-5,740.368-5,544.847-5,211.333-4,630.179-4,669.212-4,752-4,752.595-4,316.896-3,527.432-3,140.915-1,543.416250.646169.3179.5117.5
Overige gereserveerde algehele resultaten -37.767-46.6450.439-35.358-22.084-5.78-11.017-24.329-22.126-14.668-7.774-3.3540.0311.0621.223-1.275-1.243-1.076-7.454-16.574-7.6654.9741.606-0.933-0.2-41.1-11.5
Overige totale aandeelhoudersvermogen 6,262.0836,390.2526,803.1626,826.5316,837.7146,881.2236,810.1826,715.4786,640.4365,954.445,893.885,797.7655,753.2365,702.1375,665.0285,628.2235,518.4985,504.7775,482.1595,465.6014,851.074,655.0163,667.512557.257360336.5257.6
Totaal eigen vermogen van aandeelhouders 2,848.3612,712.8613,020.0182,509.5972,172.7611,929.3342,136.342766.341620.876-69.615-82.677-88.97213.873159.293455.838998.949850.154753.626735.3671,154.4221,330.8171,527.2692,128.982809.835530.5474.9363.6
Totaal eigen vermogen 2,848.3612,712.8613,020.0182,509.5972,172.7611,929.3342,136.342766.341620.876-69.615-82.677-88.97213.873159.293455.838998.949850.154753.626735.3671,154.4221,330.8171,527.2692,128.982809.835530.5474.9363.6
Totaal passiva en aandeelhoudersvermogen 5,601.4955,069.6324,865.2274,180.9173,893.3463,756.5233,951.7112,882.4422,695.0512,072.6321,802.771,881.1431,951.4182,118.0931,504.3832,024.5942,416.2731,839.7131,675.2292,137.0542,378.1652,751.0223,317.3011,027.201677.8572.4447.2