Coherent, Inc.

NASDAQ:COHR

110.02 (USD) • At close November 8, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst -156.154-259.458234.759297.552-67.029107.51788.00295.27465.48665.97538.31651.93161.27583.01838.73538.85864.26837.96610.79424.84317.33711.627.2649.4917.445.56.87.14.42.51.10.10.70.411.7
Afschrijvingen & Amortisatie 559.761681.687286.779270.069220.88292.36580.7763.63756.66353.08353.09840.92934.69325.66921.03915.35415.52416.74515.78412.7059.6339.3278.7928.70454.63.93.22.521.81.81.61.51.30.9
Uitgestelde Inkomstenbelasting -112.096-206.822-8.154-0.371-42.454-10.4620.945-1.1840.977-3.781-4.4351.9620.577-2.068-0.951-3.851-0.292-3.993-2.9440.02-0.1691.3610.7941.5180.6620.3-0.6-0.1-0.10.10.1-0.20-0.10.10.1
Aandelen Gebaseerde Vergoedingen 126.895148.87273.21470.95368.4821.94615.31211.7569.67511.3412.34711.95911.5849.9728.794.95100000000000000000000
Verandering in Werkkapitaal -40.136124.628-191.667-103.16576.117-45.382-21.271-48.848-9.162-0.11-4.4120.365-15.645-41.3762.169-7.752-8.469-6.567-1.374-18.7853.4342.801-0.21-5.891-0.198-0.8-3.9-1.5-30.90.2-0.9-0.2-0.5-1.80.1
Vorderingen 60.58168.315-55.193-51.697-91.981-50.764-21.044-26.247-20.77-10.742-28.4866.097-8.931-7.197-23.4479.35500000000000000000000
Voorraden -23.196174.136-230.882-44.645112.572-36.392-38.732-24.992-8.65-4.20712.7945.273-8.988-40.4032.657-7.106-7.17-5.814-3.082-11.329-3.373-3.5491.7-1.745-4.4781.1-2.5-2.6-1.3-0.4-0.3-0.1-0.20-1-0.5
Crediteuren 205.044-83.3397.0532.26645.02615.99917.4366.7045.7150.06119.813-9.5492.8982.6476.488-7.26900000000000000000000
Overig Werkkapitaal -282.565-34.493-2.645-9.08910.525.77521.069-4.31314.54314.778-8.533-1.456-0.6243.57716.471-2.732-1.299-0.7531.708-7.4566.8076.35-1.91-4.1464.28-1.9-1.41.1-1.71.30.5-0.800-0.80.6
Overige Niet-Contante Posten 167.461145.11818.40139.31541.29612.491-2.744-2.019-0.6692.8590.5480.461-4.415-1.7212.6381.353-0.1520.74218.934-0.1710.1640.532-0.5021.682-0.3680.20.7-0.2-0.10.1-0.800.30.20-0.1
Kasstroom uit Operationele Activiteiten 545.731634.025413.332574.353297.292178.475161.014118.616122.97129.36695.462107.60788.06973.49472.4248.91345.91644.35140.78818.61230.39925.64116.13815.50412.5369.86.98.43.75.42.40.82.41.50.62.7
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -346.816-436.06-314.332-146.337-140.627-137.122-153.438-138.517-58.17-52.313-29.22-25.273-42.84-40.859-13.837-15.557-17.855-20.184-15.624-17.656-12.729-7.017-8.663-44.425-8.877-5.4-20.5-7.4-6.1-2.4-1.8-1.9-1.1-0.8-2.5-3.7
Netto Overnames 0-5,488.5560-34.394-1,038.663-87.547-132.559-40.015-77.1570-177.676-124.055-42.663-12.813-46.5973.063-2.387-4.748-1.678-29.743-3.754-2.755-2.1720000000000000
Aankoop van Beleggingen 0000000000000-1.18-4.814-4.853-30000000000000000000
Verkoop/verval van Beleggingen 000000000000000330.236000000000000000.80000
Overige Investeringsactiviteiten -3.897-4.01-5.757.774-5.8040.6931.0471.2910.1610.0670.0794.7970.6152.360.186-0.913-1.403-3.4050.048-2.0650.0080.485-1.3810.259-2.108-0.60-0.1-2-2.5-0.1-0.1-0.1000
Kasstroom uit Investeringsactiviteiten -350.713-5,928.626-320.082-172.957-1,179.29-223.976-284.95-177.241-135.166-52.246-206.817-144.531-84.888-52.492-65.062-15.265.591-28.337-17.254-49.464-16.475-9.287-12.216-44.166-10.985-6-20.5-7.4-8.1-4.9-1.9-1.1-1.2-0.8-2.5-3.7
Financieringsactiviteiten:
Schuldaflossingen -228.863-1,333.736-76.938-925.65-874.668-135-292-25-65.7-68.5-55-11-14.2950-0.558-7.50900000000000000000000
Uitgifte van Gewone Aandelen 0004600000000000003.7643.261.4021.2911.3130.5480.370.4660.6810.20.20.311.10.3000.1000.1
Terugkoop van Gewone Aandelen -22.315-54.172-21.2491,242.36-1.625-1.616-49.8750-6.284-12.729-19.973-19.978-4.98800-12.88-5.865-0.501-5.221-0.18200000-1.10000-0.2-0.20000
Uitgekeerde Dividenden 0-27.6-34.508-20.31900000000000000000000000000000000
Overige Financieringsactiviteiten 758.2724,915.355974.399-80.6642,049.918141.493438.844136.572133.4365.165174.055116.7574.47919.1543.58710.112-7.617-13.483-12.49729.475-8.564-10.885-2.58429.264-1.39-1.97.2-0.1-1.11.3-0.4-0.7-0.1-0.31.5-0.1
Kasstroom uit Financieringsactiviteiten 758.2723,554.019862.953675.7271,173.6254.87796.969111.57261.452-76.06499.08285.779-14.80419.1543.029-10.277-9.718-10.724-16.31630.584-7.251-10.337-2.21429.73-0.709-2.87.40.2101.6-0.6-0.9-0.9-0.31.50.3
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -1.17-4.22334.27621.723-3.453-1.5422.1170.496-4.445-2.0821.51.634-2.8931.2781.7092.719-4.5720.443-2.0080.26-0.573-0.044-0.1910.695-0.070.5-0.50.100000000
Netto Kasstroomverandering 952.12-1,744.805990.4791,098.846288.174-42.166-24.8553.44344.811-1.026-10.77350.489-14.51641.43412.09626.09537.2175.7335.21-0.0086.15.9731.5171.7630.7721.4-6.71.35.62.1-0.1-1.20.30.4-0.4-0.7
Kaspositie aan het Einde van de Periode 1,789.686837.5662,582.3711,591.892493.046204.872247.038271.888218.445173.634174.66185.433134.944149.46108.02695.9369.83532.61826.88521.67521.68315.5839.618.0936.335.64.210.79.43.81.81.932.82.32.6