DXC Technology Company

NYSE:DXC

22.41 (USD) • At close November 13, 2024
Overzicht | Financiële gegevens

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989198819871986
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,2241,8582,6722,9683,6792,8992,5931,2631,1782,0982,4432,0541,0931,8372,7842,297.3698.91,050.11,290.71,010.3609.7299.6149.1184.7260.403602.6274.7110.7104.9155.3126.8111.5115.773.3119.276.464.570.612.6
Kortetermijnbeleggingen 0000000066006000000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 1,2241,8582,6722,9683,6792,8992,5931,2631,1782,0982,4432,0541,0931,8372,7842,297.3698.91,050.11,290.71,010.3609.7299.6149.1184.7260.403602.6274.7110.7104.9155.3126.8111.5115.773.3119.276.464.570.612.6
Nettovorderingen 3,2533,4413,8544,1564,3925,2185,4811,6431,8272,3692,7593,1993,2573,7193,8493,786.44,459.84,184.33,746.33,537.73,616.33,320.22,753.92,620.82,191.5191,777.31,456.31,294943.4825665.3538.1487.2443.4389.5324.2302.6269.5274.7
Voorraad 05706527276466271,077012000000000000000000000000000000
Overige vlottende activa 6582552683572703454693414034384264205332,0011,7891,623.51,764.51,4721,268.91,141.8641.2468.3000289.1251.6207.796101.26598.263.3101.147.826.93244.212.9
Totaal vlottende activa 5,1356,1247,4468,2088,9879,0899,6203,2473,4204,9055,6285,6734,8837,5578,4227,707.26,923.26,706.46,305.95,689.84,867.24,088.13,304.23,2042,766.3352,6691,982.61,612.41,144.31,081.5857.1747.8666.2617.8556.5427.5399.1384.3300.2
Niet-vlottende activa:
Materiële vaste activa, netto 2,4022,8883,5454,3124,9753,1793,3639031,0251,5832,0312,1842,4412,4962,2412,3532,764.62,539.12,320.12,365.42,178.41,987.61,9081,858.41,274.9191,086.9957.2888.1640.8530.1393283.8270.2134.5138113.8121.3111.3100.5
Goodwill 5325396176412,0177,6067,6191,8551,2721,6711,6671,5161,7524,0383,8663,783.63,975.22,505.22,306.32,343.42,604.8001,653.6903.19400000000000000
Immateriële activa 2,1302,5693,3784,0435,7315,9397,1791,7941,0461,0771,0771,1161,2111,2095111,159.81,452.81,542.81,628.61,740.91,5351,279.11,367.800653538.4561.7420.8431.1324.1281.4280.4174.7133.38354.253.329.8
Goodwill en immateriële activa 2,6623,1083,9954,6847,74813,54514,7983,6492,3182,7482,7442,6322,9635,2474,3774,943.45,4284,0483,934.94,084.34,139.81,279.11,367.81,653.6903.194653538.4561.7420.8431.1324.1281.4280.4174.7133.38354.253.329.8
Langetermijnbeleggingen 048515751536501830000000000000000000000000000
Belastingvorderingen 804460221289265329373381338-18-30000000000000000000000000000
Overige niet-vlottende activa 2,8683,2174,8814,4883,9803,3055,7614786589659867629028201,415615.1659437382.4494.4618.63,078.42,030.51,458.8929.676598.8568.6518.7389.9291232.2140.6158.679.889.990.386.546.837.2
Totaal niet-vlottende activa 8,7369,72112,69313,83017,01920,41124,3015,4164,3395,2965,7615,5786,3068,5638,0337,911.58,851.67,024.16,637.46,944.16,936.86,345.15,306.34,970.83,107.7892,338.72,064.21,968.51,451.51,252.2949.3705.8709.2389361.2287.1262211.4167.5
Totaal activa 13,87115,84520,13922,03826,00629,50033,9218,6637,75910,20111,38911,25111,18916,12016,45515,618.715,774.813,730.512,943.312,633.911,80410,433.28,610.58,174.85,874.1245,007.74,046.83,580.92,595.82,333.71,806.41,453.61,375.41,006.8917.7714.6661.1595.7467.7
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 8467828409141,5981,6661,513410341422394373478517409636.5798.1855.7705.1836810.4643.2530.4502.5406.905375317.8295.1151.4182228.7105.969.853.844.30000
Kortlopende schulden 1,0138171,2881,5851,7581,9421,9187387819046812341,2541707561.9838.493.785.385.760.2274.83311,354.6249.227592.928.929.970.3137.450.516.740.332.727.57.615.219.919.8
Belastingschulden 13412019739887208145384000057396284317.2310752.9655.4395.8301.7217.81440000000000000000
Uitgestelde opbrengsten 8661,0541,0531,0791,0211,7211,7685564516807016646199871,189915.31,078.51,025.5629.1562.7334.2222.6284.2198.9137.06100000000000000
Overige kortlopende verplichtingen 2,6461,6322,6353,2601,8332,1332,9957986281,1731,2921,7051,6501,5911,7561,448.81,767.21,676.11,361.11,161.7936.3985.68881,030.4783.868738.5550.3467387.3276.5153.3216.1220.8214.7227.1237.4229.4202.8185.9
Totaal kortlopende verplichtingen 4,3945,1876,8538,1507,8959,3369,8522,9502,5823,6013,4623,3494,5364,1784,1224,016.25,590.35,259.64,141.13,877.93,253.22,987.22,7083,588.91,983.9662,081.41,214.81,087.1760.4777.9661.2444.6400.7355343.2245244.6222.7205.7
Langlopende verplichtingen:
Langetermijnschulden 4,3154,5484,8805,3839,7355,4706,0922,2251,8631,7652,2072,4981,4862,4093,6694,172.62,635.31,412.21,376.81,3032,306.42,204.91,873.11,029.4652.367397.9736.1630.8405.5310.3273.3295.3349.4108.9116.58183.888.148.1
Uitgestelde opbrengsten niet-vlottend 671788862622735256795286348412557501000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 1305879941,6671,9181,1841,329765795000357511550485.61,235.6000000083.796001167252.635.600000000
Overige niet-vlottende verplichtingen 1,2959151,1759085941,5202,0162711601,4741,2191,7431,9761,4621,6061,434.4851.81,173.2653.5958.3740.7634.7405.8341.3110.021128.594.677.452.244.330.618.318.516.7-0.1000.10
Totaal niet-vlottende verplichtingen 6,4116,8387,9118,58012,9828,43010,2323,5473,1663,6513,9834,7423,8194,3825,8256,092.64,722.72,585.42,030.32,261.33,047.12,839.62,278.91,370.7846.184526.4830.7824.2529.7407.2339.5313.6367.9125.6116.48183.888.248.1
Totaal passiva 10,80512,02514,76416,73020,87717,76620,0846,4975,7487,2527,4458,0918,3558,5609,94710,108.810,3137,8456,171.46,139.26,300.35,826.84,986.94,959.62,830.152,607.82,045.51,911.31,290.11,185.11,000.7758.2768.6480.6459.6326328.4310.9253.8
Eigen vermogen:
Preferente aandelen 0000000002860555662000000000000000000000000
Gewone aandelen 2233333152149148155159164163162159.7159.2181.1194.9191.7188.3187.2171.6169.1167.90300000000000000
Ingehouden winsten -3,839-4,665-4,450-5,331-5,1774781,301-170339122,7702,5641,9306,2965,7094,892.404,250.65,042.14,408.10002,294.22,061.0431,578.11,2371,055.2911.9770.2659.4597.2519.1450.9385.9320.4267.9224.4192.2
Overige gereserveerde algehele resultaten -732-774-385-302-603-24458-162-11121-898-1,354-1,093-690-1,052-1,003.9100.6-68.5106.8254.9198.4-142.5-215.4-195.8-75.95500000000000000
Overige totale aandeelhoudersvermogen 7,3809,25710,20710,93810,90611,14712,1252,0681,9401,8401,8861,7661,7781,7351,6271,461.75,2021,522.31,428.11,6405,1174,561.73,667.4947.7890.983821.8764.3614.4393.8378.4146.398.287.775.372.268.264.860.421.7
Totaal eigen vermogen van aandeelhouders 2,8113,8205,3755,3085,12911,38413,4871,8882,0112,9493,9193,1352,8347,5606,5085,509.95,461.85,885.56,771.96,494.75,503.74,606.43,623.63,215.23,043.9742,399.92,001.31,669.61,305.71,148.6805.7695.4606.8526.2458.1388.6332.7284.8213.9
Totaal eigen vermogen 3,0664,1435,6985,6435,47311,70713,8372,1662,0182,9773,9503,1602,8897,6166,5705,509.95,461.85,885.56,771.96,494.75,503.74,606.43,623.63,215.23,043.9742,399.92,001.31,669.61,305.71,148.6805.7695.4606.8526.2458.1388.6332.7284.8213.9
Totaal passiva en aandeelhoudersvermogen 13,87115,84520,13922,03826,00629,47333,9218,6637,75910,20111,38911,25111,18916,12016,45515,618.715,774.813,730.512,943.312,633.911,80410,433.28,610.58,174.85,874.1245,007.74,046.83,580.92,595.82,333.71,806.41,453.61,375.41,006.8917.7714.6661.1595.7467.7