F5, Inc.

NASDAQ:FFIV

256.2 (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 566.778394.948322.16331.241307.441427.734453.689420.761365.855365.014311.183277.314275.186241.397151.15391.53574.3317766.00551.73332.9534.087-8.61-30.7913.65-4.3-3.7
Afschrijvingen & Amortisatie 106.991112.702115.609115.42495.85768.50759.49161.14856.77652.58346.12140.00535.13920.88723.83326.40723.62315.86211.5856.7975.3655.2456.0557.9734.4623.10.7
Uitgestelde Inkomstenbelasting -68.523-108.521-40.244-76.937.2937.4420.81-4.6262.967-12.571-3.090.474-4.2934.4878.243-6.057-5.6066.42918.946-7.733-33.8860-0.4433.398-3.39800
Aandelen Gebaseerde Vergoedingen 219.108236.65249.216243.279201.948162.914157.855175.326156.76145.553127.156104.21295.34889.74770.77356.06460.58241.21204.5730.0100.4432.625000
Verandering in Werkkapitaal -64.014-25.725-250.287-47.628-2.57565.168.02987.745126.958132.19264.94776.8591.93959.60158.52931.40337.95513.7983.511-4.6698.5693.9121.618-13.082-14.266-1.8-1.1
Vorderingen 63.95316.704-130.605-46.28946.502-18.305-4.889-24.1159.732-38.68-40.895-18.867-20.207-54.526-6.365-12.555-7.94-30.0040-20.456-4.1520-4.5950.423000
Voorraden -40.50432.491-46.315.8436.503-3.832-0.7344.218-0.334-9.246-5.445-1.617-0.2621.666-4.996-3.6710.523-2.366-2.997-1.002-0.928-0.4081.8990.79-5.639-0.50
Crediteuren 40.368-63.119.163-223.613-91.094-23.48122.63630.52433.21739.52118.33916.799.95328.47612.15710.2484.00616.59209.2836.16300.154-3.018000
Overig Werkkapitaal -127.831-11.82-92.535216.43135.514110.71851.01677.11884.343140.59792.94880.544102.45583.98557.73337.38141.36629.5766.5087.5067.4864.324.16-11.277-8.627-1.30
Overige Niet-Contante Posten 32.07943.35546.17779.8150.93416.1461.194-0.0732.2191.772.6750.8382.1180.8191.0812.6292.80715.34924.88534.28627.5791.36610.44218.2179.37810.7
Kasstroom uit Operationele Activiteiten 792.419653.409442.631645.196660.898747.841761.068740.281711.535684.541548.992499.693495.437416.938313.612201.981193.692169.65125.37884.98740.5914.619.505-11.6599.826-2-3.4
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -30.412-54.184-33.624-30.651-59.94-103.542-53.465-42.681-68.238-67.086-22.718-26.583-30.117-36.16-12.625-12.375-27.923-16.454-21.4-9.293-5.775-2.584-3.199-9.152-13.334-2.6-0.7
Netto Overnames -32.939-35.049-67.911-411.319-955.574-611.551-4-4.75-6.779-49.439-212.642-128.335-5.715-2.53-0.706-0.995-207.144-42.778-0.395-29.201-27.37300000
Aankoop van Beleggingen -2.1-1.789-61.284-472.165-584.24-602.987-855.424-446.838-354.708-609.875-515.737-938.571-1,059.853-979.597-877.003-414.857-494.082-902.25-557.999-407.533-335.231-157.834-104.97500-30
Verkoop/verval van Beleggingen 6.237127.415380.935468.8852.752903.445451.866457.307485.669666.619738.476825.938866.045876.019651.405328.11535.494937.716417.817290.351205.662149.72495.4810000
Overige Investeringsactiviteiten 0125.626319.651-3.365268.512300.4580.0363.9274.7476.4220.059-0.612-0.0195.7342.530.7191.216-0.009-0.0490.11-0.1680.0140.031.068-3.1690-0.1
Kasstroom uit Investeringsactiviteiten -59.21436.393218.116-445.335-747.002-414.634-455.987-32.28562.72-10.699150.641-352.47-352.279-139.719-238.223-99.10913.71-188.141-204.409-126.76-164.713-38.053-12.663-8.084-16.503-5.6-0.8
Financieringsactiviteiten:
Schuldaflossingen 0-350-20-203900000000000000000000.1880.28100
Uitgifte van Gewone Aandelen 55.07900000000000000018.50223.28944.25868.867138.46812.8335.48337.23734.80326.210.6
Terugkoop van Gewone Aandelen -500.558-350.049-500.023-500-100.016-201.045-600.081-600.09-700.124-606.858-650.542-200-184.776-271.526-75-87.436-200000000-1.08200-0.2
Uitgekeerde Dividenden 000000000000000000000000000
Overige Financieringsactiviteiten -11.52346.7543.51551.7247.25945.59848.81854.05847.47749.95645.58233.68235.54544.86258.20216.7318.28112.19720.88700-7.3500000
Kasstroom uit Financieringsactiviteiten -457.002-653.299-476.508-468.28337.243-155.447-551.263-546.032-652.647-556.902-604.96-166.318-149.231-226.664-16.798-70.706-181.71935.48665.14568.867138.46812.8335.48336.34335.08426.210.4
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 1.3022.125-6.365-0.074-0.567-1.4-2.339-3.3072.503-7.982-2.864-2.3930.47-2.525-0.6740.368-1.676-0.445-0.235-0.1280.2050.160.155-0.016-0.18704.2
Netto Kasstroomverandering 277.50538.628177.874-268.493250.572176.36-248.521158.657124.111108.95891.809-21.488-5.60348.0357.91732.53424.00716.55-14.12126.96614.55-10.452.4816.58428.2218.610.4
Kaspositie aan het Einde van de Periode 1,078.34800.835762.207584.333852.826602.254424.707673.228514.571390.46281.502189.693211.181216.784168.754110.83778.30354.29637.74651.86724.90110.35120.80169.78353.01724.810.5