Ebix, Inc.

NASDAQ:EBIX

1.16 (USD) • At close December 27, 2023
Overzicht | Financiële gegevens

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

202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199519941993199219911990198919881987
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 110.63799.625105.03573.228147.76663.895114.11857.17952.356.67436.44923.69623.39719.2279.47549.4665.0136.7335.8437.9154.9936.1673.067.0551.16.60.90.91.71.11.41.10.80.20.51
Kortetermijnbeleggingen 17.43816.46325.0194.44331.19225.5923.1051.5380.2810.8010.9711.5056.31.7991.536000000000000000000000
Liquide middelen en kortetermijnbeleggingen 128.075116.088130.05477.671178.95889.487117.22358.71752.58157.47537.4225.20129.69721.02611.01149.4665.0136.7335.8437.9154.9936.1673.067.0551.16.60.90.91.71.11.41.10.80.20.51
Nettovorderingen 164.434164.827147.558179.172174.34117.83862.71347.17141.140.7339.11731.13326.02822.86113.5628.8097.9733.5023.2561.7872.8632.4471.983.0976.45.28.17.69.78.38.55.11.95.83.35.6
Voorraad 82.23782.55612.62540.01756.07912.07517.21702.1134.085.0242.981000000300000000.6110.81.81.621.91.20.6
Overige vlottende activa 9.7743.09371.66167.07418.00333.53212.71610.9428.0670.0640.1084.5025.0572.6280.9511.130.9130.4440.5870.3640.340.2530.2160.5010.20.20.41.41.72.11.30.40.20.40.30.2
Totaal vlottende activa 384.52366.564361.898363.934427.38252.932209.869116.83103.861102.34981.66963.81760.78246.51525.52459.40513.89910.67912.68610.0668.1968.8675.25610.6537.7121010.914.112.3138.24.98.35.37.4
Niet-vlottende activa:
Materiële vaste activa, netto 62.08464.4164.89367.96550.29441.70437.06134.08824.6618.52810.0828.8347.8067.8653.7743.3562.1831.4881.451.3531.1310.8690.9042.0591.92.22.93.64.53.63.121.61.92.12.2
Goodwill 881.676939.249949.037952.404946.685666.863441.404402.259402.22337.068326.748259.218180.602154.04588.48836.40823.11812.20412.669000.12300000000000000
Immateriële activa 82.8985.00791.916108.193105.24596.26578.17886.22480.25881.62183.47868.83953.12649.72810.2357.3187.86715.4974.234000.1230.3130.503021.25.35.932.450000
Goodwill en immateriële activa 964.5661,024.2561,040.9531,060.5971,051.93763.128519.582488.483482.478418.689410.226328.057233.728203.77398.72343.72630.98515.49716.903000.1230.3130.503021.25.35.932.450000
Langetermijnbeleggingen 6.47.47.40.050.6812.9750.92500000000000000000000000000000
Belastingvorderingen 96.28984.51463.40269.22754.62943.52931.34523.73218.75820.61611.2459.412000000000000000000000000
Overige niet-vlottende activa 23.69626.10531.30729.84626.0338.7454.97312.8564.5533.6823.7241.0620.9840.81413.1462.0230.2850.3170.2960.5520.6390.5670.0890.1746.96.46.37.77.45.84.64.73.52.72.42.2
Totaal niet-vlottende activa 1,153.0351,206.6851,207.9551,227.6851,183.567860.081593.886559.159530.45451.515435.277347.365242.518212.452115.64349.10533.45317.30218.6491.9051.771.5591.3062.7368.810.610.416.617.812.410.111.75.14.64.54.4
Totaal activa 1,537.5551,573.2491,569.8531,591.6191,610.9471,113.013803.755675.989634.311553.864516.946411.182303.3258.967141.167108.5147.35227.98131.33511.9719.96610.4266.56213.38916.522.620.427.531.924.723.119.91012.99.811.8
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 77.71870.51464.76484.735130.22175.07344.85523.04340.1214.5155.60723.75319.8811.1121.3520.8911.0311.9621.7810.5231.7272.7764.3263.1662.44.76.86.47.74.57.153.3000
Kortlopende schulden 650.48939.31145.06357.56536.43423.62412.3730.6060.63613.88912.2596.83210.3752.37737.37516.1611.0090.9694.4770.0730.220.260.2380.31441.632.543.60001.500.2
Belastingschulden 5.0715.5696.867.47916.655.2136.93712.70125.22812.2119.5640000000000000000000000000
Uitgestelde opbrengsten 55.65857.55732.89828.71235.60922.56222.56420.51922.19218.91819.88816.7268.617.7545.3835.6455.5522.7942.9892.1412.8692.57300000000000000
Overige kortlopende verplichtingen 42.60132.24441.80556.39498.51420.462.983-5.603-19.57817.1429.3722.4680.2250.2729.7443.0062.4161.451.5222.5420.3520.5734.7256.1973.67.811.57.87.46.65.61.91.74.935.3
Totaal kortlopende verplichtingen 831.537205.195191.39234.885317.428146.93289.71251.26668.59966.67556.6949.77939.08571.51553.85425.70220.0087.17510.7695.2795.1686.1829.2899.6771014.121.316.719.114.712.76.956.435.5
Langlopende verplichtingen:
Langetermijnschulden 6.772631.217680.082705.7699.253385.507259.853206.5121.35842.96469.43240.21825.2050.67115.2920.4860.9431.8442.79600.0730.2540.3170.7290.20.21.54.34.104.62.90001.1
Uitgestelde opbrengsten niet-vlottend 14.0988.1938.0338.5419.0511.4231.8861.9682.4960.3910.3751.2670.680.9480.33000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 1.151.151.2351.2351.2820.6381.0092.7741.88512.7422.63503.5345.529-0.3300000000000000000.20.10.20.10.1
Overige niet-vlottende verplichtingen 24.55827.9429.00941.81339.49644.75412.6594.517.75217.86725.6593.8033.5289.5611.8812.1960.2351.4614.262000.0950.2200.2-0.1122.50.30.30.20.10.20.50.4
Totaal niet-vlottende verplichtingen 46.578668.5718.359757.289749.082432.322275.407215.752133.49173.96498.10145.28832.94716.70917.17122.6821.1783.3057.0582.7370.0730.3490.5370.7290.40.12.56.36.60.34.93.30.20.40.61.6
Totaal passiva 878.115873.695909.749992.1741,066.51579.254365.119267.018202.09140.639154.79195.06772.03288.22471.02548.38421.18610.4817.8275.2795.2416.5319.82610.40610.414.223.82325.71517.610.25.26.83.67.1
Eigen vermogen:
Preferente aandelen 00000033.6770000002.2950000000000.049007.2812.594.900000
Gewone aandelen 3.0823.0683.0523.0493.0573.1483.2093.3423.6193.8053.7093.6383.6021.1480.9810.3370.2860.2730.2910.2320.2291.8331.1381.076000000000000
Ingehouden winsten 814.78759.208700.304618.503535.118510.975457.364378.787309.726257.574201.094137.55967.6428.623-30.199-57.513-69.724-75.689-80.011-82.251-83.92-84.422-84.54-73.166-43.5-40.6-34.7-22.9-21.2-12.3-10.92.3-3.4-1.8-10.7
Overige gereserveerde algehele resultaten -219.437-122.022-101.503-78.398-63.377-24.023-33.677-30.278-18.149-12.294-6.918-4.5246.8790.349-11.1032.680.8390.0920.5110.005-0.025-0.426-0.448-8.430-6.2-8.3-6.4-6.4-6.4-6.5-3-2.6-2.2-1.7-1.3
Overige totale aandeelhoudersvermogen 18.815.06811.1266.963.3971.41-33.67757.12137.025164.14164.27179.442153.145158.328110.463114.62294.76592.82592.71788.70688.44186.9180.58683.45449.655.232.425.821.319.41810.410.810.18.95.3
Totaal eigen vermogen van aandeelhouders 617.225655.322612.979550.114478.195491.51426.896408.971432.221413.225362.155316.115231.268170.74370.14260.12626.16617.50113.5086.6924.7253.895-3.2642.9836.18.4-3.44.56.29.75.59.74.86.16.24.7
Totaal eigen vermogen 659.44699.554660.104599.445544.437533.759438.636408.971432.221413.225362.155316.115231.268170.74370.14260.12626.16617.50113.5086.6924.7253.895-3.2642.9836.18.4-3.44.56.29.75.59.74.86.16.24.7
Totaal passiva en aandeelhoudersvermogen 1,537.5551,573.2491,569.8531,591.6191,610.9471,113.013803.755675.989634.311553.864516.946411.182303.3258.967141.167108.5147.35227.98131.33511.9719.96610.4266.56213.38916.522.620.427.531.924.723.119.91012.99.811.8