HealthStream, Inc.

NASDAQ:HSTM

32.24 (USD) • At close November 8, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 40.33346.02346.90536.566131.538134.32184.76849.63482.0181.99559.53741.36576.90417.86812.2874.1073.59910.7265.7262.25714.224.074.74719.83113.6
Kortetermijnbeleggingen 30.87.8855.0419.92841.32834.49746.3553.5466.97638.97348.65951.9526.5525.7030001.76.17514.0252.95812.08712.7017.4510
Liquide middelen en kortetermijnbeleggingen 71.13353.90851.94646.494172.866168.818131.118103.174148.986120.968108.19693.31783.45623.57112.2874.1073.59912.42611.90116.28217.17816.15717.44927.28213.6
Nettovorderingen 38.44642.7134.9246.130.37641.00443.45147.38638.34634.84526.70616.51117.3312.43411.2169.9779.7377.8625.4524.6133.213.9014.884.5850.6
Voorraad 000000000002.4598.4890-5.966000001.531.4231.1700
Overige vlottende activa 20.63117.75919.97922.13121.3331.61225.15926.87722.20618.79812.2226.0041.8048.26512.3542.782.3421.9231.8741.5770.2390.4061.0312.7870.3
Totaal vlottende activa 130.21114.377106.845114.725224.572241.434199.728177.437209.538174.611147.124118.291111.07944.27129.89116.86315.67822.21119.22722.47322.15621.88824.52934.65514.5
Niet-vlottende activa:
Materiële vaste activa, netto 33.11938.24243.11850.29955.6814.0848.99210.24512.4719.4429.0387.826.0873.8252.9343.4754.3832.1842.1032.3192.0032.6683.6944.2751.3
Goodwill 191.379273.951271.706279.155162.277145.522179.114188.129139.03956.70944.61638.10421.14721.14721.14721.14721.14710.31710,317.3933,306.6883,306.6883,306.688000
Immateriële activa 108.67437.11832.41226.63121.44518.35218.69716.3113.95512.70611.0779.7321.9577.1777.9739.13110.1635.32813.5823.4733.8174.95711.87318.0251.1
Goodwill en immateriële activa 300.053311.069304.118305.786183.722163.874197.811204.439152.99469.41555.69347.83623.10428.32324.93830.27731.3115.64513.5823.4733.8174.95711.87318.0251.1
Langetermijnbeleggingen 4.1344.5187.0436.8456.7823.3763.7723.2763.641.7570.497-2.4595.996000000003,066.067000
Belastingvorderingen 0.2460.3830.6010.9740.2690.145-3.772-3.276-3.64-1.757-0.4972.4595.085.3478.6262.0081.630000-3,066.067000
Overige niet-vlottende activa 32.1829.15225.02821.68418.51917.2534.5433.8794.5663.7940.7390.5812.8910.2454.6130.1730.360.9680.3040.2920.4233.4019.1513.4970.6
Totaal niet-vlottende activa 369.732383.364379.908385.588264.972198.732211.346218.563170.03182.65165.4756.23743.15837.7441.11135.93437.68318.79815.9896.0846.24311.02624.71735.7973
Totaal activa 499.942497.741486.753500.313489.544440.166411.074396379.569257.262212.594174.528154.23782.01171.00252.79753.36141.00835.21628.55728.39932.91349.24770.45217.5
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 7.4657.28726.53438.26639.67439.01132.11226.42823.9823.54318.04411.8862.5852.3751.5521.3871.7421.6160.9340.8310.8650.7190.8891.1510.4
Kortlopende schulden 2.9742.84-21.408-28.933-34.864-32.296-27.276-23.301-19.364-18.79-15.733-10.82900.0810.3161.0920.8310.1770.1660.0240.0390.0670.1270.2891.4
Belastingschulden 0000000000000000000000000
Uitgestelde opbrengsten 83.62379.46973.81681.17665.51166.06168.95468.54265.09853.71638.16823.14622.75916.7412.23410.2029.4935.3764.5033.9883.0593.3463.27400
Overige kortlopende verplichtingen 24.29927.61721.40828.93334.86432.29627.27623.30119.36418.7915.73310.8297.1045.5515.0753.0334.5193.8953.5971.9551.8762.8442.2956.7781.3
Totaal kortlopende verplichtingen 118.361117.213100.35119.442105.185105.072101.06694.9789.07877.25956.21235.03232.44824.74619.17715.71416.58411.0639.26.7985.8396.9766.5848.2183.1
Langlopende verplichtingen:
Langetermijnschulden 20.24723.32126.17828.47930.7330000000000.0040.321.0640.1070.2160.0290.0010.0410.1190.2160.2
Uitgestelde opbrengsten niet-vlottend 2.1692.9371.5831.6031.9182.8686.3027.8594.353.6570000-8,626.4-2,008.355-1,629.58200000000
Uitgestelde belastingverplichtingen niet-vlottend 16.13217.99618.14614.52313.18311.0681.9265.9684.7635.8386.1736.4740.3235,346.5368,626.42,008.3421,629.5500000000
Overige niet-vlottende verplichtingen 2.2812.211.4772.2040.3572.2111.611.0951.0582.6490.7760.8260.551-5,346.06200.0130.0320.2040000000.1
Totaal niet-vlottende verplichtingen 40.82946.46447.38446.80946.19116.1479.83814.92210.17112.1446.9497.30.8740.4740.0040.321.0640.3110.2160.0290.0010.0410.1190.2160.3
Totaal passiva 159.19163.677147.734166.251151.376121.219110.904109.89299.24989.40363.16142.33233.32225.2219.18116.03417.64811.3749.4166.8275.8417.0176.7038.4343.4
Eigen vermogen:
Preferente aandelen 00000000000000000000000019.1
Gewone aandelen 249.075254.832270.791271.784290.021286.597282.666280.813278.799174.926166.888158.02154.40997.22796.40795,320.88997,126.5295,134.5593.891.64291.41791.22391.27591.2224
Ingehouden winsten 92.36880.21368.12262.27748.14332.37317.5425.3461.591-7.03-17.424-25.842-33.487-40.431-44.586-58.558-61.413-65.5-68-69.913-68.864-65.452-48.811-29.235-8.9
Overige gereserveerde algehele resultaten -0.691-0.9810.1060.0010.004-0.023-0.038-0.051-0.07-0.037-0.0310.018-0.007-15.288-14.881-12.746-10.828-8.9-7.636-6.2810.0050.1260.0790.031-0.6
Overige totale aandeelhoudersvermogen -000000000-000015.28214.881-95,212.822-97,018.566-95,030.5167.6366.28100000.5
Totaal eigen vermogen van aandeelhouders 340.752334.064339.019334.062338.168318.947300.17286.108280.32167.859149.433132.196120.91556.7951.82136.76335.71429.63425.821.7322.55825.89642.54362.01714.1
Totaal eigen vermogen 340.752334.064339.019334.062338.168318.947300.17286.108280.32167.859149.433132.196120.91556.7951.82136.76335.71429.63425.821.7322.55825.89642.54362.01714.1
Totaal passiva en aandeelhoudersvermogen 499.942497.741486.753500.313489.544440.166411.074396379.569257.262212.594174.528154.23782.01171.00252.79753.36141.00835.21628.55728.39932.91349.24770.45217.5