Harmonic Inc.

NASDAQ:HLIT

13.7 (USD) • At close December 26, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 84.26989.586133.43198.64593.05865.98957.02455.635126.1973.03290.32996.6790.98396.533152.477179.891129.00533.45437.81826.60341.87721.54236.00513.50524.89.213.716.422.1
Kortetermijnbeleggingen 00000006.92326.60431.84780.252104.50670.85423.838118.593147.272140.25558.91773.0174.00470.7227.61618.27286.16464.90000
Liquide middelen en kortetermijnbeleggingen 84.26989.586133.43198.64593.05865.98957.02462.558152.794104.879170.581201.176161.837120.371271.07327.163269.2692.371110.828100.607112.59749.15854.27799.66989.79.213.716.422.1
Nettovorderingen 146.303114.0196.6376.027102.46992.93469.84486.76569.51574.14475.05285.92109.886101.65264.83863.92369.30264.67443.43364.14838.52825.3834.40267.72635.417.616.512.65.8
Voorraad 83.982120.94971.19535.03129.04225.63825.97641.19338.81932.74736.92664.2770.64958.06535.06626.87534.25142.11638.55241.76322.42525.90430.94480.19135.322.415.514.89.2
Overige vlottende activa 16.17820.75421.87128.33226.79319.44618.93126.31925.00320.91446.17154.24270.9897.07768.14568.35438.48412.80716.6717.0086.1965.49418.8441.4679.31.21.71.40.2
Totaal vlottende activa 330.732347.692323.127238.035251.362196.702171.775216.835286.131232.684328.73396.872391.878348.551418.298470.33393.808211.968201.148215.022179.746105.936138.463289.053169.750.447.445.237.3
Niet-vlottende activa:
Materiële vaste activa, netto 57.565.28373.68970.69722.92822.32129.26532.16427.01227.22134.94538.12240.46939.82541.67115.42814.08214.81617.0419.61123.45832.45645.75547.36614.910.710.18.84.5
Goodwill 239.15237.739240.213243.674239.78240.618242.827237.279197.781220.613242.409282.537212.417211.87863.95341.67445.79337.14100000000000
Immateriële activa 0000.5084.46112.81721.27929.2314.09710.59931.11958.44787.651118.0725.26512.06917.84416.6348.1097.72321.52235.36253.83889.5251.11.2000
Goodwill en immateriële activa 239.15237.739240.213244.182244.241253.435264.106266.51201.878220.613242.409282.537301.819332.01112.06578.60563.63753.7758.1097.72321.52235.36253.83889.5251.11.2000
Langetermijnbeleggingen 0-11.77603.63.5933.5934.85.5912.1-37.918-33.442-29.783-41.911-49.35-61.246-3.506000000000000
Belastingvorderingen 104.70711.7760-3.610.5758.695-4.8-5.5-93.37524.6521.8728.03239.84926.50336.3843.506000009.065000000
Overige niet-vlottende activa 36.11759.30456.65738.60954.62826.08942.91338.569.936-15.47513.26811.5721.7512.06222.84724.8624.2521.4030000-9.065000.11.40.60
Totaal niet-vlottende activa 437.474362.326370.559353.488335.965314.133336.284337.234238.826247.834277.354320.659342.288371.835153.73694.03381.97169.99425.14927.33444.9867.81899.593136.891161211.59.44.5
Totaal activa 768.206710.018693.686591.523587.327510.835508.059554.069524.957480.518606.084717.531734.166720.386572.034564.363475.779281.962226.297242.356224.726173.754238.056425.944185.762.458.954.641.8
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 38.56267.45564.42923.54340.93333.77833.11228.89219.36415.31822.3825.44730.53726.322.06513.36620.533.86319.37822.38114.8637.25810.29632.78318.97.53.75.62.2
Kortlopende schulden 126.591125.5149.16219.12558.96910.9127.617.2750000000000.5320.8121.0671.0271.8621.281000.2000
Belastingschulden 00001.2261.0990.2331.1660.3070.8931.0411.7972.296.7910.6091.4340.4817.0986.487.0996.9356.92.804000000
Uitgestelde opbrengsten 46.21762.38357.22654.29437.11741.59252.42952.41433.85638.60127.0233.23533.09546.27932.85529.90937.86529.05219.68715.46961.53258.6757.474000000
Overige kortlopende verplichtingen 61.02466.72453.64450.33353.65452.76148.70555.1531.35435.11834.63942.41546.89651.28337.58450.4951.68644.02537.43851.89461.53258.6757.47461.65221.410.44.95.42.6
Totaal kortlopende verplichtingen 272.394322.072224.461147.295148.524136.405142.089144.89784.88189.9385.79102.894112.818130.65393.11395.199110.532114.5783.79597.9184.35774.6971.85594.43540.318.18.6114.8
Langlopende verplichtingen:
Langetermijnschulden 29.4635.271141.05165.664168.281127.563124.253117.17498.295000006.9080000.461.2720.6290.711.465000.4000
Uitgestelde opbrengsten niet-vlottend 00006.333004.652000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 0000-6.15500-1.72603.095000.65514.849003.454000009.06535.21500000
Overige niet-vlottende verplichtingen 29.47828.16931.37920.2629.33318.61723.37416.70513.61315.6826.83861.22456.37754.68164.5454.84727.3822.25829.0632.61733.57936.17120.6170.5920.50.40.400
Totaal niet-vlottende verplichtingen 58.93863.44172.429185.926183.947146.18147.627138.531111.90818.77526.83861.22457.03269.5371.44854.84730.83422.25829.5233.88934.20836.88131.14735.8070.50.80.400
Totaal passiva 331.332385.512396.89333.221332.471282.585289.716283.428196.789108.705112.628164.118169.85200.183164.561150.046141.366136.828113.315131.799118.565111.571103.002130.24240.818.99114.8
Eigen vermogen:
Preferente aandelen 00000000000000000000000000000
Gewone aandelen 0.1120.110.1030.0980.0920.0870.0830.0780.0760.0880.0992,432.9042,433.282,397.7832,280.0412,263.3310.0940.0780.0740.0720.0710.060.0590.05800000
Ingehouden winsten -1,962.575-2,046.569-2,087.957-2,101.211-2,071.94-2,067.416-2,057.812-1,976.222-1,903.908-1,888.247-1,841.999-1,879.026-1,868.089-1,876.868-1,872.533-1,848.394-1,912.386-1,933.709-1,934.715-1,928.984-1,930.558-1,901.125-1,824.207-1,657.8-3.8-27.5-6-10.9-16.9
Overige gereserveerde algehele resultaten -5.706-9.686-3.2725.856-3.065-1.2163.382-7.27-4.418-1.98-0.209-0.465-0.875-0.712-0.035-0.62-0.17-0.099-0.467-0.2690.1260.0140.1590.660.10000
Overige totale aandeelhoudersvermogen 2,405.0432,380.6512,387.0392,353.5592,327.3592,296.7952,272.692,254.0552,236.4182,261.9522,336.2752,432.792,433.1642,397.6712,279.9452,263.2362,246.8752,078.8642,048.092,039.7382,036.5221,963.2341,959.0431,952.784148.67155.954.553.9
Totaal eigen vermogen van aandeelhouders 436.874324.506296.796258.302254.856228.25218.343270.641328.168371.813493.456553.413564.316520.203407.473414.317334.413145.134112.982110.557106.16162.183135.054295.702144.943.549.943.637
Totaal eigen vermogen 436.874324.506296.796258.302254.856228.25218.343270.641328.168371.813493.456553.413564.316520.203407.473414.317334.413145.134112.982110.557106.16162.183135.054295.702144.943.549.943.637
Totaal passiva en aandeelhoudersvermogen 768.206710.018693.686591.523587.327510.835508.059554.069524.957480.518606.084717.531734.166720.386572.034564.363475.779281.962226.297242.356224.726173.754238.056425.944185.762.458.954.641.8