Dolby Laboratories, Inc.

NYSE:DLB

73.53 (USD) • At close November 13, 2024
Overview | Financials

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003
Operationele Activiteiten:
Nettowinst 191.736183.898317.823231.619255.505122.805202.427186.402181.198208.72190.302265.134310.582282.827242.991199.458142.83189.54952.29339.84230.969
Afschrijvingen & Amortisatie 71.257103.609112.75790.87885.12381.28384.30885.15269.13353.27853.24543.87643.99434.93728.73224.81414.80512.86211.3488.5177.498
Uitgestelde Inkomstenbelasting -21.653-29.465-37.048-5.274-40.19189.934-29.368-22.798-14.484-6.696-19.6421.2086.784-16.0315.237-21.75-33.119-18.694-0.107-10.126-2.987
Aandelen Gebaseerde Vergoedingen 90.291114.92599.69886.62876.5871.24965.34366.98567.06965.6864.32847.58143.66527.69421.75822.33219.84119.13814.18400
Verandering in Werkkapitaal -42.616-56.254-24.638-81.051-94.427-25.61948.51537.70320.91940.251-22.13115.719-10.362-0.306-11.47356.25420.18244.046-4.806-1.160.435
Vorderingen 43.546-14.314-49.0341.251-27.492-65.7231.04124.886-7.00810.165-53.63918.831-8.514-31.3291.7970.987-5.0121.289-5.13200
Voorraden -2.425-11.75917.154-11.784-16.098-6.602-11.922-2.9495.8353.8189.1663.0512.105-15.696-3.638-7.567-9.795-1.7-4.611-2.4341.403
Crediteuren -83.737-33.54244.23-45.1850.16915.6944.4532.834-8.27133.71421.89-6.64131.55632.677033.87438.31514.6212.6100
Overig Werkkapitaal 42.6163.361-36.988-25.333-51.00631.01614.94312.93230.363-7.4460.4520.478-35.50914.042-9.63228.96-3.32629.837-7.6731.274-0.968
Overige Niet-Contante Posten -6.9491.863-20.83921.04945.08412.55-0.1743.395-14.4459.9048.55916.2799.025-1.823-14.02-16.634-1.567-14.3997.519.7853.727
Kasstroom uit Operationele Activiteiten 282.066318.576447.753343.849327.674352.202371.051356.839309.39371.137274.661389.797403.688327.298273.225264.474162.973132.50280.42246.85839.642
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -22.154-59.456-54.454-68.987-113.536-85.357-104.867-221.782-194.968-126.258-30.761-167.699-47.362-38.307-23.565-13.61-15.803-8.039-14.734-12.522-6.75
Netto Overnames 25.703-38.171-4.52.64-14.919-22.852-5.25-121.02-66.3-6.708-4.05-12.521-3.35-5.601-16.621-253.047-30.2080-4.589-18.44-7.051
Aankoop van Beleggingen -123.075-316.313-67.101-287.777-265.361-174.195-289.53-426.118-392.936-389.282-485.37-611.211-619.238-646.052-373.223-304.097-427.825-221.065000
Verkoop/verval van Beleggingen 193.443118.00564.785491.138337.587360.49236.371366.112451.377296.618692.493594.677429.681643.443176.908299.376280.941115.7000
Overige Investeringsactiviteiten 0016.365-2.640-12.3791.544120.311-0.7684.3884.5532.0753.5672.1600.040.098-1.044-11.7540.052-0.25
Kasstroom uit Investeringsactiviteiten 73.917-295.935-44.905134.374-56.22978.25-161.732-282.497-203.595-221.242176.865-194.679-236.702-44.357-236.501-271.338-192.797-114.448-31.077-30.91-14.051
Financieringsactiviteiten:
Schuldaflossingen 000000000000000000000
Uitgifte van Gewone Aandelen 37.23157.848122.08882.65857.346106.16269.99871.11128.62733.37315.95817.3865.4424.063.50214.68610.1467.717246.0781.3630.033
Terugkoop van Gewone Aandelen -152.895-566.904-278.069-196.807-363.373-172.614-117.676-114.486-123.057-69.679-91.073-272.038-192.41-241.3620002.207-0.072-0.144-0.038
Uitgekeerde Dividenden -77.584-100.067-89.172-88.581-77.496-66.155-57.059-48.397-41.0180-408.20600-35.5690000000
Overige Financieringsactiviteiten -0.766-1.435-7.362-5.045-1.758-1.0224.6483.011-3.0842.434-4.5640.85224.4795.77719.54320.2120.37810.278-1.292-1.239-1.397
Kasstroom uit Financieringsactiviteiten -194.014-610.558-252.515-207.775-385.281-133.629-100.089-88.761-138.532-33.872-487.964-254.318-162.498-184.77421.52334.89630.52420.202244.714-0.02-1.402
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 8.819-16.7442.723.938-5.821-5.7771.675-1.395-3.809-1.948-1.7650.2881.163-3.984-1.33-1.7384.231.828-0.3670.8610.339
Netto Kasstroomverandering 170.788-604.661153.053274.386-119.657291.046110.905-15.814-36.546114.075-38.203-58.9125.65194.18356.91726.2944.9340.084293.69216.78924.528
Kaspositie aan het Einde van de Periode 799.159628.3711,233.0321,079.979805.593918.063627.017516.112531.926568.472454.397492.6551.512545.861451.678394.761368.467412.487372.40378.71161.922