Garmin Ltd.

NYSE:GRMN

210.34 (USD) • At close November 7, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,693.4521,279.1941,498.0581,458.4421,027.5671,201.732891.488846.883833.071,196.2681,179.1491,231.181,287.161,260.9361,091.581696.335707.689337.321334.352249.909274.329216.768192.842251.731104.079
Kortetermijnbeleggingen 274.618173.288347.98387.642376.463182.989161.687266.952215.161167.989149.862153.083124.63924.41819.58312.88637.55173.03332.0564.36753.127113.33640.83500
Liquide middelen en kortetermijnbeleggingen 1,968.071,452.4821,846.0381,846.0841,404.031,384.7211,053.1751,113.8351,048.2311,364.2571,329.0111,384.2631,411.7991,285.3541,111.164709.221745.24410.354366.402314.276327.456330.104233.677251.731104.079
Nettovorderingen 815.243656.847843.445849.469706.763569.833590.882527.062531.481570.191701.965603.673607.45747.249874.11741.321952.513403.524170.997110.11982.71858.27847.99832.71935.908
Voorraad 1,345.9551,515.0451,227.609762.084752.908561.84517.644484.821500.554420.475382.226389.931397.741387.577309.938425.312505.467271.008199.841154.9896.79457.50761.13289.85551.248
Overige vlottende activa 318.556315.915328.719191.569169.044120.512153.91289.90381.64548.61555.24335.52152.7878.57598.659108.571129.55584.19863.92757.59632.9619.33716.913.7166.747
Totaal vlottende activa 4,464.143,955.1514,261.7723,669.3513,057.852,665.3682,363.9252,263.0162,211.0872,510.9762,595.6362,536.122,569.772,498.7552,393.8711,984.4252,332.7751,169.084801.167636.971539.928465.226352.735388.021197.982
Niet-vlottende activa:
Materiële vaste activa, netto 1,367.8211,285.0451,156.935950.165792.51663.527595.684482.878446.089430.887414.848409.751417.105427.805441.338445.252374.147250.988179.173171.63104.78474.4470.08664.70455.851
Goodwill 608.474567.994575.08584.21467.108301.017286.982224.553187.791178.638179.29176.0590000000000000
Immateriële activa 186.601178.461215.993244.356192.521116.063122.81980.44957.76139.44540.20456.538252.163185.152221.656230.954196.0367.5835.86649.48542.31124.47916.9854.7740
Goodwill en immateriële activa 795.075746.455791.073828.566659.629417.08409.801305.002245.552218.083219.494232.597252.163185.152221.656230.954196.0367.5835.86649.48542.31124.47916.9854.7740
Langetermijnbeleggingen 1,125.1911,208.361,268.6981,131.1751,205.4751,330.1231,260.0331,213.2851,343.3871,407.3441,502.1061,488.3121,083.516777.401748.511262.009-107.376-55.996-29.615-38.5270090.700
Belastingvorderingen 754.635441.071260.205245.455268.518176.959199.343110.293116.51867.71288.32493.92107.1973.61320.49849.825107.37655.99629.61538.527001.100
Overige niet-vlottende activa 96.70795.088115.744206.661182.817129.801181.474150.659136.75858.30159.19558.42441.59425.9620-47.884388.508409.368346.029259.305169.922133.970.5495.8480.812
Totaal niet-vlottende activa 4,139.4293,776.0193,592.6553,362.0223,108.9492,717.492,646.3352,262.1172,288.3042,182.3272,283.9672,283.0041,901.5681,489.9331,432.003940.156958.685727.936561.068480.42317.017232.889179.4275.32656.663
Totaal activa 8,603.5697,731.177,854.4277,031.3736,166.7995,382.8585,010.264,525.1334,499.3914,693.3034,879.6034,819.1244,471.3383,988.6883,825.8742,924.5813,291.461,897.021,362.2351,117.391856.945698.115532.155463.347254.645
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 253.79212.417370.048258.885240.831204.985169.64172.404178.905149.094146.582131.263164.01132.348203.388160.094341.05388.37576.51653.67340.67132.44618.83722.49615.402
Kortlopende schulden 225.47525.14920.50318.87414.762000000000000000004.1770.5870.005
Belastingschulden 225.475246.18128.08368.58556.91351.64233.63816.16321.674182.2638.04332.03177.78456.02822.84620.07576.89594.66863.15470.93300000
Uitgestelde opbrengsten 101.18991.09287.65486.86594.56296.372139.681146.564164.982203.598256.908252.375188.98789.71127.91000000010.26200
Overige kortlopende verplichtingen 730.233882.977969.943799.593685.778619.956519.335463.767522.111680.569501.814525.388505.282446.978452.37319.082460.83249.307118.969122.59463.76340.95915.75218.95816.834
Totaal kortlopende verplichtingen 1,310.6871,211.6351,448.1481,164.2171,035.933921.313828.656782.735865.9981,033.261905.304909.026858.279669.037683.668479.176801.883337.682195.485176.267104.43473.40549.02842.04132.241
Langlopende verplichtingen:
Langetermijnschulden 113.035114.54170.04475.95849.238131.847138.295121.174101.68980.611140.933181.754161.90400000.2480002028.01146.35927.715
Uitgestelde opbrengsten niet-vlottend 36.14835.70241.61849.93467.32976.566163.84140.407128.731135.13171.012193.047188.132108.07638.5740000000000
Uitgestelde belastingverplichtingen niet-vlottend 114.682129.965117.595116.844114.75492.94475.21561.2256.2139.4971.7582.4674.9516.986265.918218.43611.9351.1919.4865.2672.8212.2111.1479.6160
Overige niet-vlottende verplichtingen 16.95734.98762.863108.304106.049-2.7861.7881.5941.6371.4370.891.0341.491155.0271.2671.115127.0280000000.0920.09
Totaal niet-vlottende verplichtingen 280.822315.195292.12351.04337.37298.571379.138324.395288.267256.675314.593378.302356.478270.089305.759219.551138.9631.4399.4865.2672.82122.21129.15856.06727.805
Totaal passiva 1,591.5091,526.831,740.2681,515.2571,373.3031,219.8841,207.7941,107.131,154.2651,289.9361,219.8971,287.3281,214.757939.126989.427698.727940.846339.121204.971181.534107.25595.61678.18698.10860.046
Eigen vermogen:
Preferente aandelen 0000000000000000000000000
Gewone aandelen 19.58817.97917.97917.97917.97917.97917.97917.9791,797.4351,797.4351,797.4351,797.4351,797.4351,797.4351.0011.0021.0861.0821.0811.0841.0821.081.0781.0821
Ingehouden winsten 5,263.5284,733.5174,320.7373,754.3723,229.0612,710.6192,368.8742,056.7021,930.5171,859.9721,865.5871,604.6251,413.5821,264.6132,816.6072,262.5032,171.1341,478.6551,072.454815.209663.604507.884365.087253.14176.431
Overige gereserveerde algehele resultaten -65.614-114.533117.835183.42755.8748.4356.045-36.761-30.4282.57138.041138.55487.19356.004-13.382-37.65146.13-5.275-12.51310.615-20.268-35.896-39.327-22.908-12.425
Overige totale aandeelhoudersvermogen 1,794.5581,567.3771,657.6081,560.3381,490.5821,425.9461,359.5681,380.083-352.398-256.611-41.357-8.818-41.629-68.4932.2210132.26483.43796.242108.949105.272129.431127.131133.92529.593
Totaal eigen vermogen van aandeelhouders 7,012.066,204.346,114.1595,516.1164,793.4964,162.9743,802.4663,418.0033,345.1263,403.3673,659.7063,531.7963,256.5813,049.5622,836.4472,225.8542,350.6141,557.8991,157.264935.857749.69602.499453.969365.239194.599
Totaal eigen vermogen 7,012.066,204.346,114.1595,516.1164,793.4964,162.9743,802.4663,418.0033,345.1263,403.3673,659.7063,531.7963,256.5813,049.5622,836.4472,225.8542,350.6141,557.8991,157.264935.857749.69602.499453.969365.239194.599
Totaal passiva en aandeelhoudersvermogen 8,603.5697,731.177,854.4277,031.3736,166.7995,382.8585,010.264,525.1334,499.3914,693.3034,879.6034,819.1244,471.3383,988.6883,825.8742,924.5813,291.461,897.021,362.2351,117.391856.945698.115532.155463.347254.645