Daktronics, Inc.

NASDAQ:DAKT

16.62 (USD) • At close January 15, 2025
Overzicht | Financiële gegevens

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

20242023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199519941993
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 81.29923.98217.14377.5940.39835.38329.72732.62328.32857.7845.56840.67630.59254.30863.60336.5019.3252.5926.92115.96116.2559.2772.0972.8961.2171.10.10.10.20.44.30.2
Kortetermijnbeleggingen 00.5344.0201.2326.34434.52232.71324.67225.34625.39824.05225.25822.94300008.318.105000000000000
Liquide middelen en kortetermijnbeleggingen 81.29924.51621.16377.5941.62861.72764.24965.3365383.12670.96664.72855.8522.94363.60336.5019.3252.5935.23124.06616.2559.2772.0972.8961.2171.10.10.10.20.44.30.2
Nettovorderingen 173.732158.309146.187102.8112.111102.578115.492118.134115.738125.252123.594107.435101.76396.18483.92769.37463.95186.56867.96746.07146.13328.56220.39323.21725.10327.516.114.212.79.56.47.8
Voorraad 138.008149.448134.39274.35686.80378.83275.33566.48669.82764.38962.22849.04554.92446.88935.67351.450.52545.83531.04524.61216.60414.86316.47219.71913.84913.91189.86.25.33.2
Overige vlottende activa 8.9110.38415.82810.25711.4610.5369.0577.7696.66623.34217.96618.98817.63817.49819.86222.15714.7712.9939.0219.5347.98616.02413.58513.5227.6931.71.71.42.121.50.7
Totaal vlottende activa 401.949342.657317.57265.003252.002253.673264.133257.725245.231291.095276.094240.148229.006237.822203.065206.973165.697147.986142.648104.28384.42168.72652.54759.35447.86244.228.923.724.818.117.511.9
Niet-vlottende activa:
Materiële vaste activa, netto 71.75272.14766.76558.68267.48465.31468.05966.74973.16372.84465.2761.62568.39669.86680.88589.42797.52386.12640.55931.05327.80224.78926.84521.87116.7911.79.27.46.56.25.54.6
Goodwill 3.2263.2397.9278.4147.7437.8898.2647.8129.2085.2694.5583.3063.3473.3843.3234.5494.7224.4082.7062.6211.4111.0431.11.50.40000000
Immateriële activa 0.841.1361.4722.0833.3544.9063.6824.7057.7211.8243.5061.9532.5663.0374.9585.1966.5597.2214.335.4443.7461.9162.0992.4390.850.60.833.71.82.20.8
Goodwill en immateriële activa 4.0664.3759.39910.49711.09712.79511.94612.51716.9297.0938.0645.2595.9136.4218.2819.74511.28111.6297.0365.4443.7461.9162.0992.4390.850.60.833.71.82.20.8
Langetermijnbeleggingen 2.37527.92832.32127.40327.6835.0525.0914.5342.4141.6550.826011.46500.12.5412.9988.76200-4.524-3.801-1.3-1.1-0.8-0.6-0.5-0.50000
Belastingvorderingen 25.86216.86713.33111.94413.27111.1687.9311.2929.4370.7020.1461.0610.030.180.0620.3110.1430.1360.2320.7824.5243.8011.31.10.80.60.50.50000
Overige niet-vlottende activa 21.884.131.491.6351.1141.2141.6412.6163.8666.097.05111.3251.15713.55813.45815.87916.83711.2118.7569.910.2677.0965.8556.556.9056.14.632.82.22.23.5
Totaal niet-vlottende activa 125.935125.447123.306110.161120.64995.54394.66797.708105.80988.38481.35779.2786.96190.025102.786117.903128.782117.86456.58347.17941.81533.80134.79930.8624.54518.414.613.41310.29.98.9
Totaal activa 527.884468.104440.876375.164372.651349.216358.8355.433351.04379.479357.451319.418315.967327.847305.851324.876294.479265.85199.231151.462126.236102.52787.34690.21472.40762.643.537.137.828.327.420.8
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 60.75767.52276.31340.25147.83444.87348.84551.49943.44152.74745.91338.65133.90629.22323.14930.27356.144.38720.44517.12112.5869.3126.6910.1997.3278.85.74.14.32.52.82.5
Kortlopende schulden 3.4842.2532.3091.8812.416001.4090.5851.2230.8090.3561.4592.3163.3320.3670.9125.6170.4911.2921.3953.1314.30511.7949.5514.663.47.10.30.42.9
Belastingschulden 4.9472.8590.4080.7380.8440.4680.661.5440.310.6361.1621.6890.6651.2810.3612.9350.9490.0390.555001.5560000000000
Uitgestelde opbrengsten 65.52491.54990.39364.49550.89747.17839.37937.53237.08550.14947.85935.73222.57720.0587.7669.5316.985.3334.0662.9832.8291.7097.3376.98100000000
Overige kortlopende verplichtingen 57.58445.9844.27139.25543.97441.55342.42453.10966.46954.72978.10264.88436.18156.78452.88659.32438.21327.70642.16120.619.61613.31813.19910.39410.32110.24.95.23.93.12.33
Totaal kortlopende verplichtingen 192.296210.163213.694146.62145.965134.072131.308130.595121.517142.02133.708114.692109.173109.65787.494102.43103.152103.08267.71841.99635.29729.02624.19432.38727.19923.616.612.715.35.95.58.4
Langlopende verplichtingen:
Langetermijnschulden 53.16417.750000.5780000001.00910.5184.8295.5870.0556.4315.1432.1231.4985.4499.57410.3447.8938.30.81.71.51.21.53.4
Uitgestelde opbrengsten niet-vlottend 16.34213.09610.99810.7210.70710.0537.4755.4345.6033.9144.9784.4244.3614.5594.30800001.3571.1341.3380000000000
Uitgestelde belastingverplichtingen niet-vlottend 0.1430.1950.2870.410.4520.5330.6140.8360.7540.9390.001-12.0561.4530.0112.1674.9483.6072.6291.5993.4332.0431.2961.2821.050.7720.60.50.50.50.50.40.4
Overige niet-vlottende verplichtingen 27.14726.02224.33323.8638.54716.31721.78720.28221.00720.56715.64512.056000-2.8624.4120-0.574-2.714000.7110.5310.3120.60.40.40.60.60.91.1
Totaal niet-vlottende verplichtingen 96.79657.06335.61834.9949.70627.48129.87626.55228.45625.4220.62416.4815.98915.08811.30410.5358.0749.066.1685.5564.6758.08311.56711.9258.9779.51.72.62.62.32.84.9
Totaal passiva 289.092267.226249.312181.61195.671161.553161.184157.147149.973167.44154.332131.172125.162124.74598.798112.965111.226112.14273.88647.55239.97237.10935.76144.31236.17633.118.315.317.98.28.313.3
Eigen vermogen:
Preferente aandelen 00000000000000000000000000000000
Gewone aandelen 65.52563.02361.79460.57560.0157.69954.73152.5351.34748.9643.93537.42934.631000021.95419.55117.73916.40614.65413.53312.912.23211.811.711.70000
Ingehouden winsten 138.031103.4196.60896.01685.0993.593107.105113.967117.276132.771129.266123.75131.83149.291159.842170.705147.912124.469102.38183.33767.67749.9537.49232.623.91517.713.510.18.68.87.85.8
Overige gereserveerde algehele resultaten -6.525-5.529-4.925-2.335-5.277-4.356-2.714-4.381-2.898-2.3760.004-0.1180.0330.001-0.447-0.555-0.686-0.137-0.0580.159-0.084-0.038-0.02-0.009-13.3-11-9.5-8.1-6.9-6.1-5.2-4.3
Overige totale aandeelhoudersvermogen 41.76139.97438.08739.29837.15740.72738.49436.1735.34232.68429.91427.18524.31153.8147.65841.76136.0277.4223.4712.6752.2650.7370.4960.3320.084119.58.118.217.416.56
Totaal eigen vermogen van aandeelhouders 238.792200.878191.564193.554176.98187.663197.616198.286201.067212.039203.119188.246190.805203.102207.053211.911183.253153.708125.345103.9186.26465.30351.50145.82336.23129.525.221.819.920.119.17.5
Totaal eigen vermogen 238.792200.878191.564193.554176.98187.663197.616198.286201.067212.039203.119188.246190.805203.102207.053211.911183.253153.708125.345103.9186.26465.41851.58545.90236.23129.525.221.819.920.119.17.5
Totaal passiva en aandeelhoudersvermogen 527.884468.104440.876375.164372.651349.216358.8355.433351.04379.479357.451319.418315.967327.847305.851324.876294.479265.85199.231151.462126.236102.52787.34690.21472.40762.643.537.137.828.327.420.8