IDEXX Laboratories, Inc.

NASDAQ:IDXX

517.06 (USD) • At close September 19, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 845.042679.089744.844582.131427.792377.047263.269222.054192.135181.951187.794178.287161.754141.32122.235116.16994.01493.67878.25478.33257.0945.38937.6236.63232.6-15.2-21.132.621.513.39.74.93.2
Afschrijvingen & Amortisatie 114.908111.9104.59695.99888.01183.17883.1478.21868.95658.88854.59652.40848.20245.95649.77348.81941.129.81624.36918.42718.89720.12422.22919.48117.215.914.410.45.74.53.83.51
Uitgestelde Inkomstenbelasting -48.306-35.065-3.377-38.0826.1621.209-7.91820.8815.1430.832.073-1.975.996-0.9083.275.634-9.074-6.135-4.4774.599-1.1923.75-0.383.381200000000
Aandelen Gebaseerde Vergoedingen 59.73949.7737.75530.95139.27825.15723.51719.89119.88418.09916.53915.95215.49613.26211.62310.5018.77610.8420.1350.1350.138000000000000
Verandering in Werkkapitaal -72.429-273.53-137.523-31.761-104.969-91.648.383.002-69.811-9.718-3.0632.2636.512-3.135-11.559-33.206-1.011-10.23610.745-13.63721.81833.06-13.105-31.2540.88.15.4-35-20.5-3.2-6.1-8.6-0.3
Vorderingen -53.871-41.398-33.141-60.722-22.472-18.401-24.918-22.554-50.142-3.626-15.9463.487-24.809-6.914-1.155-10.266-25.535-6.583-5.162-5.162-5.5677.800000000000
Voorraden -28.651-121.731-52.919-18.885-37.306-25.623-19.0627.648-34.969-38.31-1.347-13.752-6.31-19.4696.223-18.468-5.23-25.6797.4330.7580.07111.405-20.319-28.5065.24.9-11.2-19.2-7.4-6.2-1.6-4.3-0.6
Crediteuren -0.5573.46711.2330.9811.957-0.1661.3912.117-2.4686.703-4.399-1.30413.8843.482-9.156-4.3275.8514.352-5.791-5.7919.56-1.5900000000000
Overig Werkkapitaal 10.65-113.868-62.69646.865-47.148-47.4550.96915.79117.76825.51518.62913.83223.74719.766-7.471-0.14523.90317.67414.265-3.44217.75415.4457.214-2.748-4.43.216.6-15.8-13.13-4.5-4.30.3
Overige Niet-Contante Posten 7.55610.829.2518.8262.8845.1332.888-9.4750.057-14.204-11.943-16.658-17.26-17.662-1.624-4.5741.319-8.1397.5267.52320.4040.9300037.314.800.10.200.1-0.1
Kasstroom uit Operationele Activiteiten 906.51542.984755.546648.063459.158400.084373.276334.571216.364235.846245.996230.282220.7178.833173.718143.343135.124109.826116.55295.379117.155103.25346.36428.2452.646.113.586.814.87.4-0.13.8
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -133.631-148.838-119.549-107.626-155.224-122.936-76.704-64.787-82.921-60.698-78.636-69.05-100.221-39.302-57.843-89.971-66.244-71.355-24.199-31.705-16.896-15.087-17.381-15.52-12.4-48.1-35.5-11.8-15.9-4.4-2.1-2.3-9.4
Netto Overnames 0-46.512-173.418-1.75-50.304-22.5-14.579-1.964-10.302-19.715-7.4233303.377-8.649-89.88439.024-10.219-53.942-2.3-1.3750-11.945000000000
Aankoop van Beleggingen 0-25000-0.087-334.164-227.894-271.958-5.4000-4001.106-79.81-63.619-37.114-58.177-32.605-4.63910.4-25.800-5.1-22.8-4.8-6.5-8.5-5.2
Verkoop/verval van Beleggingen 8.37771.512000284.125286.759203.85956.7755.400000035110.465107.8886.0137.86518.716043.156006.5000000
Overige Investeringsactiviteiten 8.377-46.5120-0.918-0.255276.853-49.725-24.035-215.1835.2252.4760.0450.2250.1122.0797.025-1.106-39.0242.751-57.082-2.724-2.444-4.21-1.866-0.8-0.3-3.7-21.6-3.6-2.2-0.2-10.1-1.5
Kasstroom uit Investeringsactiviteiten -125.254-195.35-292.967-109.376-205.528138.602-138.688-90.786-308.406-80.413-86.059-66.005-96.996-43.19-52.387-91.595-121.128-40.712.594-36.751-42.232-32.795-26.2324.225-39-48.4-32.7-38.5-42.3-11.4-8.8-20.9-16.1
Financieringsactiviteiten:
Schuldaflossingen -404-75-50-289.625-110.275-256.04-44-38-272.717-1.394-1.107-31.917-0.863-0.813-33.756-0.59500000000000000000
Uitgifte van Gewone Aandelen 47.03435.74746.56551.32836.10638.20138.62238.34422.397000000020.94120.92218.84119.37631.16511.94914.04410.2296.65.8311.9158.12.42.329.414.3
Terugkoop van Gewone Aandelen -71.92-830.317-762.339-203.418-309.711-378.694-290.638-304.086-401.981-618.158-367.761-132.268-255.505-143.09-83.099-132.342-118.387-105.711-123.769-129.191-35.817-29.83-12.986-70.257-64.200000000
Uitgekeerde Dividenden 000000000000000000000000000000000
Overige Financieringsactiviteiten -13.11498.634114.925244.627133.57736.93582.62286.262306.429516.114266.41738.842158.71157.13421.56102.14779.2598.53-2.057-0.356-0.51-7.462-0.144-3.322-6.4-2.6-1.5-1.91.600.10-0.1
Kasstroom uit Financieringsactiviteiten -441.996-370.936-697.414-248.416-286.409-597.799-208.016-217.824-95.552-103.438-102.451-125.343-97.657-86.769-95.295-30.79-18.187-76.259-106.985-110.171-5.162-25.3430.914-63.35-643.21.510159.72.42.429.414.2
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 2.126-8.606-4.6393.331-0.689-4.7686.202-0.054-5.948-8.517-2.4141.1570.9331.3131.824-2.452.8851.648-2.1661.7573.1682.007-0.389-1.684-0.11.2-3.1-1-0.20.4-0.1-0.5-0.2
Netto Kasstroomverandering 341.386-31.908-239.474293.602-33.468-63.88132.77425.907-193.54243.47855.07240.09126.9850.18727.8618.508-1.306-5.48519.995-49.78672.92947.12220.659-12.569-50.52.1-20.8-21.51246.20.97.91.7
Kaspositie aan het Einde van de Periode 453.932112.546144.454383.92890.326123.794187.675154.901128.994322.536279.058223.986183.895156.915106.72878.86860.3661.66667.15147.156186.717113.78866.66646.00758.6109.1106.9127.8149.225.118.917.29.3