InterDigital, Inc.

NASDAQ:IDCC

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

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 437.076693.479941.627473.474745.491475.056433.014404.074510.207428.567497.714349.843342.211215.451210.863100.14492.018166.38527.87715.73720.87722.33717.89212.34314.59220.117.8129.46.38.89.85.54.96.74.814.57.34.6
Kortetermijnbeleggingen 569.28508.298235.345453.173179.204470.724724.981548.687423.501275.361200.737227.436335.783326.218198.94341.51685.44997.58177.831116.08185.0565.22972.47176.64468.5500000000000000
Liquide middelen en kortetermijnbeleggingen 1,006.3561,201.777941.627926.647924.695945.781,157.995952.761933.708703.928698.451577.279677.994541.669409.806141.66177.467263.966105.708131.818105.92787.56690.36388.98783.14220.117.8129.46.38.89.85.54.96.74.814.57.34.6
Nettovorderingen 137.12753.18231.11316.00828.27235.032216.293228.46453.86851.70292.83169.87428.07933.632212.90533.892130.88131.85219.53411.61237.83953.48614.47916.92810.884153.113.93.220.94.79.95.22.110.91.70.90
Voorraad 15.238072.467000000026.19736.997-624.004-506.533-341.3060000000003.0925.112.313.94.951072.53.34.46.73.50.10.2
Overige vlottende activa 8.90389.7165.07884.22463.36543.43821.50639.89423.39187.54940.03630.197686.818550.788420.91765.46963.06657.98450.47313.1878.6287.6276.38510.06611.62535.213.446.956.55.11.52.10.913.21.92.10.20.3
Totaal vlottende activa 1,167.6241,344.6751,050.2851,026.8791,016.3321,024.251,395.7941,221.1191,010.967843.179857.514814.347768.887619.556702.322241.021371.413453.802175.715156.617152.394148.679111.227115.981108.74375.446.686.77437.32528.814.111.315.314.321.88.55.1
Niet-vlottende activa:
Materiële vaste activa, netto 27.312365.337376.962434.973446.556464.618336.081323.394289.72712.546215.906185.381145.96138.649129.56920.97424.59416.68210.6610.71612.13714.09114.40211.3027.3939.711.410.54.52.37.56.441.81.72.21.70.70.3
Goodwill 22.42122.42122.42122.42122.42122.4211616.1720000000000000000000000000000000
Immateriële activa 313.001353.999363.585418.343436.339456.394327.471313.068277.579265.54206.371177.557137.963130.305119.17125.53987.09270.49659.51640.97232.24615.01611.33410.1029.7239.99.39.82.42.610.310.59.51.91.81.30.90.70.3
Goodwill en immateriële activa 335.422376.42386.006418.343436.339456.394327.471329.24277.579265.54206.371177.557137.963130.305119.17125.53987.09270.49659.51640.97232.24615.01611.33410.1029.7239.99.39.82.42.610.310.59.51.91.81.30.90.70.3
Langetermijnbeleggingen 31.89519.59321.28-498.723-509.507-533.619-412.053-478.772-438.1510-242.997-208.244-192.073-202.059-150.822000000000000000000000000
Belastingvorderingen 128.96794.37398.40880.3873.16877.22584.582149.532160.57271.78336.62630.68754.1171.75431.6527.72414.8346.41848.68127.1640000000000000000000
Overige niet-vlottende activa 79.594-300.293-304.785154.423149.194137.69122.545183.34173.7911.54339.76356.88182.121116.43873.89410.5136.95216.6784.9656.4518.38813.39211.4184.240.7124.52.15.62.31.61.50.72.45.65.97.59.96.41
Totaal niet-vlottende activa 603.19555.43577.871589.396595.75602.308458.626506.734463.518351.412255.669242.262228.081255.087203.463164.747163.472110.274123.82285.30352.77142.49937.15425.64417.82824.122.825.99.26.519.317.615.99.39.41112.57.81.6
Totaal activa 1,770.8141,900.1051,628.1561,616.2751,612.0821,626.5581,854.421,727.8531,474.4851,194.5911,113.1831,056.609996.968874.643905.785405.768534.885564.076299.537241.92205.165191.178148.381141.625126.57199.569.4112.683.243.844.346.43020.624.725.334.316.36.7
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 7.8469.9977.15510.97913.39319.36710.2614.0519.00234.65424.5049.67.117.5726.2849.12740.8521.9137.1636.7586.4355.4124.4124.4822.45468.215.24.39.55.65.751.90.60000
Kortlopende schulden 578.7523.1673.8443.1794.17000227.1740000.180.2880.5841.6081.3110.3690.350.2120.1930.1890.1840.3260.4460.70.90.80.40.21.966.75.39.623.20.10.1
Belastingschulden 0000.360.0511.50814.88110.661.40507.0563.963.2653.67533.825015.6750000000000000000000000
Uitgestelde opbrengsten 153.597189.059291.673219.935146.654111.672307.142360.192106.229124.69560.176106.305134.087134.804193.40978.64678.89970.70920.05528.07522.38117.08710.490000000000000000
Overige kortlopende verplichtingen 140.93369.12368.88961.67851.34148.35659.03951.23847.56845.8241.75857.00831.77635.89652.28337.15636.12428.23722.96614.78811.0614.1468.44520.60710.3451414.613.610.317.412.86.88.21.94.711.82.11.62.4
Totaal kortlopende verplichtingen 881.128271.346371.561295.762305.558179.395376.441425.48399.973205.169126.438172.913173.153178.56252.56126.537157.184121.22850.53449.83340.06936.83423.53125.41513.24520.723.729.61527.120.318.519.99.114.913.85.31.72.5
Langlopende verplichtingen:
Langetermijnschulden 46.404660.666484.215415.878396.59351.516295.16286.992263.578217.835209.061203.171198.1810.7938.8441.3212.4061.2031.5721.6721.7771.972.1582.2342.55933.64.20.60.58.78.18.20.30.20.30.20.10
Uitgestelde opbrengsten niet-vlottend 223.866237.5819.463108.069123.653157.634309.671261.013289.039293.342243.864161.82153.953332.174474.844181.056224.5450000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 18.413-53.6-61.47-47.886-46.002-34.139-10.034-14.971-3.9830-0.248-2.78-5.651-10.613-8.3760-224.5450000000000000000000000
Overige niet-vlottende verplichtingen 19.45453.661.4747.88646.00234.13910.03414.9713.9832.5680.2482.785.65110.6138.3769.194238.228166.16973.11774.75665.83473.58362.41840.0661.2603.66.31.300.50.50.114.27.27.27.95.70.7
Totaal niet-vlottende verplichtingen 308.137898.246503.678523.947520.243509.15604.831548.005552.617513.745452.925364.991352.133342.967483.688191.571240.634167.37274.68976.42867.61175.55364.57642.33.81937.210.51.90.59.28.68.314.57.47.58.15.80.7
Totaal passiva 1,189.2651,169.592875.239819.709825.801688.545981.272973.485952.59718.914579.363537.904525.286521.527736.248318.108397.818288.6125.223126.261107.68112.38788.10767.71517.06423.730.940.116.927.629.527.128.223.622.321.313.47.53.2
Eigen vermogen:
Preferente aandelen 000000000000000000000.0050.0050.0050.0050.01000000.60.600.10.10000
Gewone aandelen 0.6940.7190.7170.7140.7120.7110.7070.7030.7010.6980.6960.6950.6910.6860.6680.6590.6530.6440.6050.5970.5850.5630.5440.5380.5100000000000000
Ingehouden winsten 1,462.071,492.0461,441.1051,413.9691,412.7791,426.2661,249.0911,120.766847.033757.05680.718659.235466.727395.799246.771159.515133.308115.383-109.839-164.524-164.613-198.945-201.32-181.899-133.588-160-196.8-162.2-150.3-184.7-170.3-135.4-112.5-104.7-91.3-69.3-45.4-33.2-23.3
Overige gereserveerde algehele resultaten -0.647-0.916-0.571-0.184-0.074-2.471-2.083-0.514-0.1780.118-0.0140.864-0.4390.1110.2770.2450.206-0.046-6.038-3.342-0.992-0.628-2.564-4.597-1.76900000000000000
Overige totale aandeelhoudersvermogen -880.568-766.954-696.012-641.13-651.86-497.481-392.448-381.246-337.037-289.538-152.75-142.0894.703-43.48-78.179-72.7592.9159.495289.586282.928262.5277.796263.609259.863244.344235.8235.3234.7212.8199.6184.3153.5114.3101.693.673.366.34226.8
Totaal eigen vermogen van aandeelhouders 581.549724.895745.239773.369761.557927.025855.267739.709510.519468.328528.65518.705471.682353.116169.53787.66137.067275.476174.314115.65997.48578.79160.27473.91109.50775.838.572.562.514.914.618.71.8-32.4420.98.83.5
Totaal eigen vermogen 581.549730.513752.917796.566786.281938.013873.148754.368521.895475.677533.82518.705471.682353.116169.53787.66137.067275.476174.314115.65997.48578.79160.27473.91109.50775.838.572.566.316.214.819.31.8-32.4420.98.83.5
Totaal passiva en aandeelhoudersvermogen 1,770.8141,900.1051,628.1561,616.2751,612.0821,626.5581,854.421,727.8531,474.4851,194.5911,113.1831,056.609996.968874.643905.785405.768534.885564.076299.537241.92205.165191.178148.381141.625126.57199.569.4112.683.243.844.346.43020.624.725.334.316.36.7