Incyte Corporation

NASDAQ:INCY

80.48 (USD) • At close November 13, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 597.599340.66948.581-295.697446.906109.493-313.142104.2226.531-48.481-83.147-44.32-186.54-31.846-211.87-178.92-86.881-74.166-103.043-164.817-166.463-136.885-183.235-32.872-26.83.510.4-6.8-10.1-11.5-4.9
Afschrijvingen & Amortisatie 82.6667.85557.84451.80754.53354.96952.17858.42544.88341.41329.20729.97926.9924.48516.6913.07112.9637.4118.19213.91317.68523.20647.66534.84224.717.810.46.52.60.90.4
Uitgestelde Inkomstenbelasting -158.89857.091-465.604-0.35-0.377-0.45991.1563.2611.709-41.126-0.003-30.531186.7253.80541.366-15.026-17.369-15.172-0.186-0.463-4.097-4.097000000000
Aandelen Gebaseerde Vergoedingen 215.889188.42183.006177.877166.589148.153133.05596.20169.87262.15638.39838.49328.98314.8569.9815.0268.898.890.1860.4634.0974.097000000000
Verandering in Werkkapitaal -248.651198.81-14.569-71.74157.295-46.539-64.22924.753-34.847-29.119-4.482-118.43-31.24587.017154.1819.509-19.94913.02-6.077-3.685-22.30628.229-25.476-6.213-24.82.2-2.113.3-1.53.8-0.1
Vorderingen -98.678-28.579-134.306-173.185-1.211-41.299-117.541-23.947-56.517-22.55935.577-64.536-0.714157.96-162.6110.501-0.65-0.650.7213.08545.55345.553000000000
Voorraden -170.151-67.504-20.965-19.468-6.14.0434.8514.0470.098-4.093-6.59-5.217-3.5366.2546.37-154.0224.189-8.067-334.169-452.451-323.086-400.128000000000
Crediteuren -167.945105.43673.34315.12-20.1836.156-7.92843.7585.6235.365.141-0.9784.166-10.1915.2857.8732.3432.3431.252-4.1511.7261.726000000000
Overig Werkkapitaal 188.123189.45767.359105.79284.786-45.43956.3890.89515.949-7.827-38.61-47.699-31.161-67.006305.137155.157-25.83119.394326.119449.832253.501381.078-25.476-6.213-24.82.2-2.113.3000
Overige Niet-Contante Posten 7.888117.10540.2313.505-14.2970.617.99417.894-1.61241.41329.20729.979-186.628-0.3792.01115.489.6529.65-0.94439.92252.75227.184114.042-3.1015.512.703-0.10.50.2
Kasstroom uit Operationele Activiteiten 496.487969.941749.488-124.599710.656336.227-92.988304.75686.53626.2569.18-94.83-161.71597.93812.358-140.86-92.694-50.367-101.872-114.667-118.332-58.266-47.004-7.344-21.436.218.716-9-6.3-4.4
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -32.486-77.833-181.006-187.379-78.064-73.483-111.021-120.277-26.003-27.876-4.267-2.839-3.799-4.109-0.387-0.698-1.153-1.568-1.633-1.391-9.738-11.89-12.919-96.376-34.8-34.7-26.1-20.2-7.9-2.6-0.4
Netto Overnames 47.4860.709181.006187.37978.06473.483111.021-142.85626.00327.8764.2672.8394.2924.292-0.952-0.022000-0.088-5.725-749.352000000000
Aankoop van Beleggingen -466.02-79.86-268.677-612.342-374.809-168.868-384.671-57.372-147.981-134.091-33.713-0.009-0.183-0.1831.3390.703-45.024-511.408-348.54-830.494-575.483-5-916.385-832.451-27.2-98.5-61.7-16.5-74-26.20
Verkoop/verval van Beleggingen 305.82979.151241.984530.72365.419155.928145.71488.01768.97423.5280.5830.861.29819.31316.839106.591216.539539.011365.642753.185717.297808.62903.447395.13453.39526.716.361.77.90.7
Overige Investeringsactiviteiten -62.486-0.709-181.006-187.379-78.064-73.483-111.02130.645-26.003-27.876-4.267-2.839-4.109-4.109-0.387-0.681000.0591.628-1.15-1.150.300-7.2-4.30000
Kasstroom uit Investeringsactiviteiten -207.677-78.542-207.699-269.001-87.454-86.423-349.978-232.488-105.01-138.439-37.397-1.988-2.50115.20416.452105.893170.36226.03515.528-77.16126.35141.228-25.557-533.693-8.7-45.4-65.4-20.4-20.2-20.90.3
Financieringsactiviteiten:
Schuldaflossingen -3.36-2.862-2.417-0.836-0.82200-0.445-1.6990217.21800-158.644164.0801030.291-35.837204.088-3.059-4.690184.448-1.2-0.81-0.1-0.1-0.7-0.2
Uitgifte van Gewone Aandelen 35.83661.11558.626110.30563.29966.764649.38749.97386.43692.84473.15747.71119.46813.59134.397104.882.3251.4081.48990.151.9977.18211.268434.65213.64.793.81.632.819.215.1
Terugkoop van Gewone Aandelen -28.55-26.301-29.94-22.759-16.751000000000000000-0.105-5.723000000000
Uitgekeerde Dividenden 0000000000000000000000000000000
Overige Financieringsactiviteiten -16.6732.0688.59372.54546.53314.65740.8239.1172.87993.05758.37147.71100-56.2230000000.072-5.4980.020.10.1-4.6000.10
Kasstroom uit Financieringsactiviteiten -20.033-0.7946.17671.70945.71114.657690.17158.64587.61693.057275.58947.71119.468-145.054242.254104.8812.32531.699-34.348294.238-1.167-3.1595.77619.1212.5490.21.532.718.614.9
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -6.6763.355-3.572.949-0.1920.091-0.039-0.0090-0.0060000-0.0070000.0060.071-0.082-0.2430.004-0.148-0.2-0.40029.227.24.1
Netto Kasstroomverandering 262.101893.96544.395-318.942668.721264.552247.166130.90469.142-19.132247.372-49.107-144.748-31.912271.05769.91389.9937.367-120.686102.4826.77-20.44-66.78777.935-17.8-5.643.5-2.932.718.614.9
Kaspositie aan het Einde van de Periode 3,215.2212,953.122,059.161,514.7651,833.7071,164.986899.509652.343521.439452.297471.429224.057273.164417.912449.824178.767108.85418.86111.494132.1829.69822.92843.368110.15532.25051.17.639.534.119.7