Immersion Corporation

NASDAQ:IMMR

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

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 56.07148.8251.4959.52286.478110.98824.62256.86525.01314.3814.1364.5587.29812.24319.82864.76986.49332.01228.17125.53821.7388.71710.38123.47446.52.6
Kortetermijnbeleggingen 104.291100.91886.43103.01913.9321.91632.90739.91842.98156.97638.98848.98748.96143.920.97451.619000002.5452.364.80.4
Liquide middelen en kortetermijnbeleggingen 160.362149.738137.92159.52289.497124.91846.53889.77264.93157.36171.11243.54656.28561.20463.72885.743138.11232.01228.17125.53821.7388.71712.92625.83451.33
Nettovorderingen 9.9811.2351.972.2183.3851.0510.8061.3821.2133.0210.5981.8781.4870.8152.9886.8295.4945.1534.655.4354.9273.6453.7793.6751.11.1
Voorraad 0013.246000000000.1410.4230.4062.0013.3963.6742.6392.6551.8052.0992.1281.9651.7090.70.5
Overige vlottende activa 2.1079.3470.18612.6114.0789.8560.7362.8762.7910.2228.4740.8710.6944.1634.7223.4516.3871.1791.1311.281.0991.1511.1791.30610.1
Totaal vlottende activa 172.45160.32153.32374.35106.96135.82548.0894.0368.93470.60480.18446.43658.88966.58873.43999.419153.66740.98336.60734.05829.86315.64119.84932.52454.14.7
Niet-vlottende activa:
Materiële vaste activa, netto 0.2470.2930.4440.2091.2262.3433.154.0164.5891.2070.9441.2811.7371.9313.4983.8272.1121.6471.3661.1741.4542.0442.9183.6060.60.3
Goodwill 00000000000000000000000000
Immateriële activa 0000000.3440.3650.2640.2910.38115.72514.05312.35610.8979.9458.3917.3856.7877.0186.5966.61612.05814.86400
Goodwill en immateriële activa 000.257-4.596-6.92800.3440.3650.2640.2910.38115.72514.05312.35610.8979.9458.3917.3856.7877.0186.5966.61612.05814.86400
Langetermijnbeleggingen 33.4617.047.2864.5966.9280-0.34406.737-0.265-0.289000000000012.2000
Belastingvorderingen 3.3437.2172.1152.6590.470.2950.4010.35924.63325.41929.0660.1650.2150.3420.2480.2264.0310000-1-2.2000
Overige niet-vlottende activa 6.2315.2412.09518.91216.1927.5320.3444.9970.2580.2650.289-0.165-0.215-0.342-0.248-0.2260.167000012.26.54.71
Totaal niet-vlottende activa 43.28129.7922.19721.7817.88810.173.8959.73736.48126.91730.39117.00615.7914.28714.39513.77214.7019.0328.1538.1928.059.6617.17624.975.31.3
Totaal activa 215.731190.11175.5296.13124.848145.99551.975103.767105.41597.521110.57563.44274.67980.87587.834113.191168.36850.01544.7642.2537.91325.30137.02557.49459.46
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 0.0470.0860.0020.1490.8093.6126.6475.9510.650.6690.6820.3380.3650.3931.3822.8421.6572.3342.1794.0381.7521.160.7221.720.80.4
Kortlopende schulden 0.0390.4861.0981.3821.150.2044.1334.7534.841.9064.682.5022.833.5071.3873.012.2451.7820.0050.0110.0330.0864.5410.1200
Belastingschulden 1.732.72.05700.0460.2040.2190.1640.1290.0690000000000000000
Uitgestelde opbrengsten 4.2394.7664.8265.1734.6924.5914.4245.9096.6967.7798.923.9344.124.4296.5785.0374.4781.6462.7413.423.1163.5150000
Overige kortlopende verplichtingen 14.98814.00810.7042.0765.1726.9383.8964.4092.9992.2251.6531.0222.0541.4883.0873.5542.2121.5642.7973.5012.931.9822.6983.11920.3
Totaal kortlopende verplichtingen 19.31319.34616.638.7811.82315.34519.121.02215.18512.57915.9357.7969.3699.81712.43414.44310.5927.3267.72210.977.8316.7437.9614.9592.80.7
Langlopende verplichtingen:
Langetermijnschulden 00.0560.551.6772.6640000000000-16.887018.12217.4916.9170.0160.0510.133.90300
Uitgestelde opbrengsten niet-vlottend 8.3912.62916.69921.33425.95230.20322.30326.3932.5167.82713.44110.22113.22916.49418.85116.88714.26931.78421.2945.1544.2354.5590000
Uitgestelde belastingverplichtingen niet-vlottend 0-0.056-0.55-1.677-2.6640000000.1650.2150.3420.2480.2260-31.784-21.294-5.154-4.235-4.5590000
Overige niet-vlottende verplichtingen 4.9260.4350.8962.0353.3160.7870.9151.0121.0990.5120.5280.6190.2450.5380.5617.0991.7247.55936.34320.3331.2854.5590.120.28900
Totaal niet-vlottende verplichtingen 13.31613.06417.59523.36929.26830.9923.21827.4053.6158.33913.96911.00513.68917.37419.65917.32515.98965.68153.83337.24731.3014.610.254.19200
Totaal passiva 32.62932.4134.22532.14941.09146.33542.31848.42718.820.91829.90418.80123.05827.19132.09331.76826.58173.00761.55548.21739.13211.3538.2119.1512.80.7
Eigen vermogen:
Preferente aandelen 00000000000000000000000007
Gewone aandelen 322.182322.714323.296258.756253.289246.415228.046221.098212.115204.876198.057186.822182.508176.515172.679165.885160.147110.501106.277104.02789.90389.06189.29489.33465.61
Ingehouden winsten -36.04-70.016-100.68-113.164-118.565-98.521-171.616-119.329-79.948-82.806-86.929-111.721-106.157-104.553-98.626-67.913-20.228-137.246-126.822-113.737-92.999-76.025-59.495-37.749-8.6-4.2
Overige gereserveerde algehele resultaten 1.7020.2020.4120.1220.1240.1160.0990.1150.0860.1020.1120.1090.1180.120.0661.841.8683.7533.753.7431.8770.912-0.985-3.242-0.40.1
Overige totale aandeelhoudersvermogen -104.742-95.2-81.733-81.733-51.091-48.35-46.872-46.544-45.638-45.569-30.569-30.569-24.848-18.398-18.378-18.3890000000001.4
Totaal eigen vermogen van aandeelhouders 183.102157.7141.29563.98183.75799.669.65755.3486.61576.60380.67144.64151.62153.68455.74181.423141.787-22.992-16.795-5.967-1.21913.94828.81448.34356.65.3
Totaal eigen vermogen 183.102157.7141.29563.98183.75799.669.65755.3486.61576.60380.67144.64151.62153.68455.74181.423141.787-22.992-16.795-5.967-1.21913.94828.81448.34356.65.3
Totaal passiva en aandeelhoudersvermogen 215.731190.11175.5296.13124.848145.99551.975103.767105.41597.521110.57563.44274.67980.87587.834113.191168.36850.01544.7642.2537.91325.30137.02557.49459.46