Amdocs Limited

NASDAQ:DOX

86.87 (USD) • At close December 24, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 496.321542.962549.501688.374497.84479.446354.396436.826409.331446.163422.122412.439391.371346.665343.906326.176378.906364.937318.636288.636234.86168.883-5.06166.3865.97898.530.45.9
Afschrijvingen & Amortisatie 193.066195.701224.535208.83198.409205.772207.394214.885211.791174.795162.772140.776159.614181.477195.94198.119192.937164.994117.993.828100.87797.452309.821282.625155.35930.629.18.4
Uitgestelde Inkomstenbelasting -45.673-60.212-3.292-50.60530.239-13.9521.3986.551-2.315-26.887-6.5112.485-4.8571.252-22.23516.2491.111-21.09522.8118.062-11.2724.001-1.6655.018-1.196-4-2-11.9
Aandelen Gebaseerde Vergoedingen 104.5489.69871.80754.24942.43438.5547.47644.53942.744.5644.57840.33943.42936.63144.45542.911000000000000
Verandering in Werkkapitaal -29.99851.14-79.124249.095-110.93-54.178-74.739-62.032-34.767139.46489.19862.605-69.176-31.741100.743-72.382-152.975-135.439-98.067-13.23916.431102.18975.969-19.95742.8462610.621.7
Vorderingen -104.4133.457-64.978-69.051134.5846.589-67.198-41.075-70.85939.8295.5429.999-106.55138.062-131.387131.527000000000000
Voorraden 000-7.363-32.09537.13-48.816-42.77625.93833.30711.67651.78832.986000000000000000
Crediteuren 216.324158.876-83.932122.224-190.354-60.04225.34872.04959.98263.89473.949-4.10460.2000000000000000
Overig Werkkapitaal -141.909-111.19369.786203.285-23.065-37.85515.927-50.23-49.8282.434-1.967-15.078-55.811-69.803232.13-203.909-152.975-135.439-98.067000000000
Overige Niet-Contante Posten 6.1723.341-6.708-224.1360.1440.7371.324-4.657-6.506-5.473-2.9021.903-6.3121.20822.3898.08359.05953.54271.1814.4643.5089.44633.2123.91584.6010.2-1.41.8
Kasstroom uit Operationele Activiteiten 724.428822.63756.719925.807658.136656.377557.249636.112620.234772.622709.258670.547514.069535.492685.198519.156483.621423.995429.22381.751344.404381.971412.276337.987287.588152.366.525.9
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -105.495-124.362-227.219-210.438-205.51-128.086-231.146-133.392-130.086-120.503-111.569-106.724-122.053-109.779-86.945-83.325-135.823-166.426-80.717-71.374-54.148-62.41-58.562-91.891-56.571-42.2-26.6-49.1
Netto Overnames -86.824-121.818-14.43146.293-249.358-60.572-355.142-18.064-283.45-263.193-180.54-112.405122.053-162.964-200.307-65.89-58.772-90.724-624.801-262.253-10.651-30.98-213.1800000
Aankoop van Beleggingen -9.0610-34.275-276.978-0.7530-76.037-281.983-370.742-250.184-389.8-386.876-337.989-521.999-1,449.494-963.433-685.873-969.198-1,216.259-747.073-1,325.3830-344.095-237.0690000
Verkoop/verval van Beleggingen 68.65925.98421.94818.2050101.287303.09278.066361.96252.818379.484311.677451.317591.1471,503.2311,045.278708.1781.2391,288.261948.7111,125.538137.8721.79500000
Overige Investeringsactiviteiten 5.315-4.301-8.525-6.082-6.1040.615-3.157-29.94-18.5331.4083.872-2.801-130.617-18.07622.0090.9942.6553.8324.2745.8294.4312.532-39.584-10.22953.9020.50.90
Kasstroom uit Investeringsactiviteiten -127.406-224.497-262.501-329-461.725-86.756-362.392-185.313-440.851-379.654-298.553-297.129-17.289-221.671-211.506-66.376-169.713-441.277-629.242-126.16-260.21347.014-653.626-339.189-2.669-41.7-25.7-49.1
Financieringsactiviteiten:
Schuldaflossingen 000-100743.91900-200-2010100-5049.122199.384-450.747-0.717-0.025-7.918-22.43914.011-58.436-60.873457.93310.847-93.378.9-12.9
Uitgifte van Gewone Aandelen 000000000000000037.57774.663106.85324.02412.0772.325.16113.96721.3642.5330.691.7
Terugkoop van Gewone Aandelen -563.121-489.524-508.472-679.996-360.912-398.057-419.228-340.597-413.422-454.02-372.014-367.061-484.608-624.241-389.287-20.014-247.63-49.8370-99.976-407.5270-109.28100000
Uitgekeerde Dividenden -211.967-199.46-186.073-177.472-164.061-147.616-134.292-121.503-109.304-100.79-90.939-84.00800000000000000-478.7-18
Overige Financieringsactiviteiten 4.07137.55464.6486.53796.19928.901127.83592.25296.4384.146131.325212.68585.61556.47423.64427.89337.7880.7950.722008.07600000.10.1
Kasstroom uit Financieringsactiviteiten -771.017-651.43-629.905-870.931315.145-516.772-425.685-569.848-446.296-460.664-321.628-238.384-448.993-518.645-166.259-442.868-210.55925.59699.657-98.391-381.439-48.04-164.993471.932.207-50.8-69.160.9
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 00000000000000000000000000023.2
Netto Kasstroomverandering -173.995-53.297-135.687-274.124511.55652.849-230.828-119.049-266.913-67.69689.077135.03447.787-204.824307.4339.912103.3498.314-100.365157.2-297.248380.945-406.343470.698317.12659.8-28.360.9
Kaspositie aan het Einde van de Periode 346.085520.08573.377709.064983.188471.632418.783649.611768.661,035.5731,103.2691,014.192879.158831.3711,036.195728.762718.85615.501607.187707.552550.352847.6466.655872.998402.385.225.477