Harvard Bioscience, Inc.

NASDAQ:HBIO

2.28 (USD) • At close November 12, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 4.2834.5087.8218.3178.3358.1735.7335.5966.74414.13425.77120.68117.91619.70416.58813.69817.8899.3577.63213.8678.22315.31329.38535.8172.3960.957
Kortetermijnbeleggingen 00000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 4.2834.5087.8218.3178.3358.1735.7335.5966.74414.13425.77120.68117.91619.70416.58813.69817.8899.3577.63213.8678.22315.31329.38535.8172.3960.957
Nettovorderingen 16.09916.70521.83417.76620.70421.46320.44919.92121.4220.88317.65518.97617.57915.4414.38317.55917.17115.72413.42921.48220.35414.3957.6046.4494.3940
Voorraad 24.71626.43927.58722.26222.06125.08721.35319.95522.34320.53115.77717.76218.1615.83214.40611.90114.98310.7439.08625.46524.67915.4675.9733.7222.850
Overige vlottende activa 3.943.4724.3413.3552.4723.1094.21319.9210.04230.2751.5471.5533.9085.4410.5730.3064.26817.31223.9440.4952.5220.2830.2440.9321.6480
Totaal vlottende activa 49.03851.12461.58351.753.57254.72347.53545.47250.54950.80660.7558.97257.56350.97645.37743.46454.31153.28555.39661.30955.77848.41444.75346.91911.2880.957
Niet-vlottende activa:
Materiële vaste activa, netto 8.7543.3663.4153.964.7765.8984.144.2965.9025.194.3754.5513.0863.1463.5453.2214.4654.613.9837.1436.7465.9183.5061.7161.560
Goodwill 57.06556.2657.68958.5957.38157.30439.96938.03240.35739.82236.60536.234.20933.41632.10824.82729.02822.90600000000
Immateriële activa 16.03621.01427.38533.15138.40545.76417.20418.6822.09522.40520.29822.50123.63623.18422.4058.95510.6411.51332.22769.93864.55451.34633.1959.5626.5830
Goodwill en immateriële activa 73.10177.27485.07491.74195.786102.52857.17356.71262.45262.22756.90358.70157.84556.654.51333.78239.66834.41932.22769.93864.55451.34633.1959.5626.5830
Langetermijnbeleggingen 0-0.333-1.558-0.255-0.251-0.211000-16.2460000-0.31800000000000
Belastingvorderingen 0.4360.3331.5580.2550.2510.2110.1821.1570.99511.05613.11610.777.92511.5660.3180.2380.3460.6950.2730.810.40.6690.256000
Overige niet-vlottende activa 6.03713.59612.2728.85310.7364.9240.3240.1280.31922.8830.3160.490.2152.5093.7960.5660.0630.2190.1560.6810.9521.2370.6530.6111.1790
Totaal niet-vlottende activa 88.32894.236100.761104.554111.298113.3561.81962.29369.66885.1174.7174.51269.07173.82161.85437.80744.54239.94336.63978.57272.65159.16937.60911.8899.3220
Totaal activa 137.366145.36162.344156.254164.87168.073109.354107.765120.217135.916135.46133.484126.634124.797107.23181.27198.85393.22892.035139.881128.429107.58482.36258.80920.617.22
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 5.5546.4474.9115.9725.3397.3595.4046.1968.7826.2944.6824.684.9594.9214.8564.6655.6114.494.0266.2516.4575.5253.12.1171.880
Kortlopende schulden 7.2753.8113.2351.7216.91.9992.7652.3722.455512.9516.30.0040.0131.3612.16930.0210.020.3980.6993.8940.0072.9940
Belastingschulden 000.2240.2860.9541.4010.3870.2230.290.5540.0990.5060.2510.5780.3690.4271.0910.1950.6471.8861,218.0261,150.6421,442.311000
Uitgestelde opbrengsten 7.7093.374.2663.7713.9494.1920.6330.50.7520.6550.640.4820.4830.4510.4340.5890.4420.2380.2752.1592.081.4590.6000
Overige kortlopende verplichtingen 0.453.1747.7693.3312.831-0.804-0.552-0.886-1.647-0.6980.982-13.397-17.3930.4211.731-0.4921.4172.2714.001-0.503-1,217.821-1,147.25-1,440.852.1260.750
Totaal kortlopende verplichtingen 26.54223.24925.31621.05325.31221.50614.04114.60119.40918.09916.0859.9019.55911.29612.25911.21516.34114.68412.99616.06415.59616.59912.1566.3687.5050
Langlopende verplichtingen:
Langetermijnschulden 30.70443.01345.09546.28646.91758.7968.98311.37416.4516.4519.7512.9516.318.00913.3080.0595.57838.516.5212.7870.40.6370.0015.0730
Uitgestelde opbrengsten niet-vlottend 4.7940-1.558-1.899-1.974000000000-0.00100000000000
Uitgestelde belastingverplichtingen niet-vlottend 0.7760.591.5581.8991.9742.3013.9646.4173.7751.3250.160.2770.3690.9542.0371.2161.561.3421.2351.5070.2070.932.7570.1050.0490
Overige niet-vlottende verplichtingen 1.4766.2888.53212.23410.9473.2861.4663.1772.9854.5744.986.1434.9074.294.3712.0631.2372.3190.8881.4330.961.2730000
Totaal niet-vlottende verplichtingen 37.7549.89153.62758.5257.86464.38314.41320.96823.2122.34924.8919.3721.57623.25319.7153.3388.3756.66110.62319.4613.9552.6043.3940.1065.1220
Totaal passiva 64.29273.1478.94379.57383.17685.88928.45435.56942.61940.44840.97529.27131.13534.54931.97414.55324.71621.34523.61935.52429.55119.20215.556.47412.6266.542
Eigen vermogen:
Preferente aandelen 0000000000.2330000000.34000000.6131.1872.50
Gewone aandelen 0.4340.4540.4520.4440.4380.4360.4190.4180.4160.3970.390.370.3620.3610.360.3580.3550.3520.3510.3510.3480.3470.3130.2940.1030
Ingehouden winsten -145.605-142.19-132.674-132.386-124.576-119.889-116.967-116.03-111.723-92.684-95.039-77.26-79.63-83.442-102.457-109.69-111.363-110.009-108.139-76.262-78.591-82.851-83.588-78.38-28.3740
Overige gereserveerde algehele resultaten -14.19-15.052-10.027-13.066-12.689-13.532-10.676-16.658-11.884-8.233-2.644-4.863-5.722-3.896-1.834-2.7596.666.1743.1787.4675.341-0.069-2.538-2.14331.140
Overige totale aandeelhoudersvermogen 232.435229.008225.65221.689218.521215.169208.124204.466200.789195.755191.778185.966180.489177.225179.188178.809178.145175.366173.026172.801171.781170.954152.012131.3762.6150.678
Totaal eigen vermogen van aandeelhouders 73.07472.2283.40176.68181.69482.18480.972.19677.59895.46894.485104.21395.49990.24875.25766.71874.13771.88368.416104.35798.87988.38166.81252.3357.9840.678
Totaal eigen vermogen 73.07472.2283.40176.68181.69482.18480.972.19677.59895.46894.485104.21395.49990.24875.25766.71874.13771.88368.416104.35798.87988.38166.81252.3357.9840.678
Totaal passiva en aandeelhoudersvermogen 137.366145.36162.344156.254164.87168.073109.354107.765120.217135.916135.46133.484126.634124.797107.23181.27198.85393.22892.035139.881128.429107.58482.36258.80920.617.22