Diodes Incorporated

NASDAQ:DIOD

59.07 (USD) • At close September 18, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 230.648339.255236.28899.229154.115105.4060.26618.47726.51365.63324.10425.98253.50780.2649.84838.97559.65748.14333.32925.55110.0955.8020.12414.8955.62.75.134.72.41.60.30.20.2-0.6
Afschrijvingen & Amortisatie 137.33127.759122.435108.007109.584104.64495.68198.96580.176.77173.60764.19361.43851.79656.12241.64728.33321.06516.22813.17311.0739.7478.675.0032.81.210.70.30.30.20.30.30.20.2
Uitgestelde Inkomstenbelasting -13.349-39.22521.459-14.4569.9043.67425.326-15.9781.484-3.611-1.959-13.051-21.916-4.04-1.09701.6640.929-0.58400.270.646-2.978-1.195-1.30.50.3-0.50000000
Aandelen Gebaseerde Vergoedingen 30.91136.28733.20525.2620.53520.73618.60914.02918.9714.10413.55114.39813.70313.05110.93610.1360000000000000000000
Verandering in Werkkapitaal -77.587-81.108-39.184-31.445-40.271-46.44540.5725.536-9.692-14.435-14.111-14.674-37.275-26.069-1.052-22.138-11.108-8.84-1.224-10.114-4.1053.4328.659-9.1511.3-2.30.8-9.70.3-2.8-1.20.5-0.51.2
Vorderingen -2.611-20.163-52.721-10.501-30.775-29.47822.2610.533-9.711.81-18.241-6.36-4.406-23.604-26.75824.880000000000000000000
Voorraden -28.947-29.675-43.038-4.56-11.325-2.154-17.1995.176-2.165-2.7514.86-5.492-20.187-30.38812.34-20.336-4.662-16.283-2.373-6.074-1.2482.10213.975-9.277-2.8-0.3-0.33-9.3-1.2-1.4-1.10.2-0.41.1
Crediteuren -2.165-50.07655.6287.4223.5139.97717.3132.64-8.617-9.512-8.594-7.44-3.5847.03214.414-11.2390000000000000000000
Overig Werkkapitaal 33.72318.8060.947-23.806-1.684-24.7918.197-2.81310.8-3.983-2.1364.618-9.09820.891-1.048-15.443-6.4467.4431.149-4.04-2.8571.33-5.3160.1273.81.6-2-2.2-0.41.5-1.4-0.10.3-0.10
Overige Niet-Contante Posten -27.0399.533-35.660.625-24.095-2.4490.6693.7130.736-4.1914.699-12.627-7.8073.003-9.23-11.4499.8649.3432.8060.691.4730.5370.4630.655-0.1-0.2-0.1-0.1-0.100.10.1-0.1-0.20.1
Kasstroom uit Operationele Activiteiten 280.914392.501338.543187.22229.772185.566181.123124.742118.111134.272109.89164.22161.65118.00565.52757.17190.77172.08150.55529.318.80620.16414.93810.20885.543.6-4.83-0.9-0.50.9-0.30.9
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -150.769-211.728-141.195-75.813-98.505-87.507-111.161-58.549-133.244-57.766-47.054-58.166-80.941-88.809-22.477-53.246-56.101-45.656-19.583-26.201-15.646-6.951-8.477-16.968-9.9-9.8-1.5-1.8-0.3-0.5-0.5-0.1-0.1-0.3-0.2
Netto Overnames 6.289-64.709-0.157-24.593-33.028-0.0411.2190.156-348.8871.48-124.916-20.04800-0.03-153.1580-29.43300000000000000000
Aankoop van Beleggingen -27.224-13.412-22.673-17.617-19.271-15.901-12.205-23.459-62.431-20.681-28.315-3.413-14.11700-4.435-32.464-250.66-46.220000000000000000
Verkoop/verval van Beleggingen 6.53117.4317.32810.27721.84712.57638.656.16884.48631.2437.4584.0910296.624.0257.2820000000000000000000
Overige Investeringsactiviteiten 6.8517.15512.4680.97428.5311.9295.26-1.6670.632.9566.4250.117-3.2541.7780.3420.0560.2020.05400.0680.3570.0030-4.4210.60.4-2-1.5-1.80.4-0.40000
Kasstroom uit Investeringsactiviteiten -158.322-265.263-144.229-106.772-100.426-88.944-78.287-27.351-459.446-42.768-186.402-77.419-98.312209.5691.86-203.501-88.363-325.695-65.803-26.133-15.289-6.948-8.477-21.389-9.3-9.4-3.5-3.3-2.1-0.1-0.9-0.1-0.1-0.30.1
Financieringsactiviteiten:
Schuldaflossingen -178.528-599.244-28.41-785.654-118.402-525.27-160.461-88.932-70.491-54.323-77.345-40.296-134.991-304.625-58.852-24.8980000000000000000000
Uitgifte van Gewone Aandelen 00.144.3376.8311.9014.86213.6060.1210.1925.7612.6351.3183.5264.8181.7022.9577.5734.32776.3675.6282.3890.3210.1220.33710.30.101.70.20.40001.8
Terugkoop van Gewone Aandelen -15.637-12.3-14.823-296.705-4.432-11.294-9.023-18.014-11.00900003.7620000000000000000000-0.2-0.1
Uitgekeerde Dividenden -0.10-2.172-2.112-3.81800-4.86900000-2.3-1.498000-0.75-0.3000000000000000
Overige Financieringsactiviteiten 33.905497.991-115.2082,055.07310.402468.49711.348.237785.09812.803187.07177.5223.7522.996126.563218.809-2.899224.662-4.788-3.165-0.527-14.316-2.60711.7631.43.6013.9-2.20.81.1-0.4-0.40
Kasstroom uit Financieringsactiviteiten -144.723-125.713-158.441-54.302-112.432-51.911-158.184-63.458321.362-35.759112.36138.542-107.713-295.34967.915196.8684.674228.98970.8292.1631.862-13.995-2.48512.12.43.90.115.6-21.21.1-0.4-0.60.3
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -0.485-27.24410.41634.8760.76-8.07811.366-4.566-4.592-9.383.6642.2672.984-3.2773.155-3.2210.2090.225-1.2630.7930.184-0.04-0.34900.10000000000
Netto Kasstroomverandering -22.616-25.71946.28961.02217.67436.633-43.98229.367-24.56546.36539.51427.611-141.39128.948138.45747.3177.291-24.454.3186.1235.563-0.8193.6270.9191.200.61.3-1.30.9-0.60.50.4-1.21.3
Kaspositie aan het Einde van de Periode 318.483341.099366.818320.529259.507241.833203.82247.802218.435243196.635157.121129.51270.901241.953103.49656.17948.88873.28818.9712.8477.2848.1034.4763.62.32.41.80.41.70.71.40.80.41.5