Intevac, Inc.

NASDAQ:IVAC

3.27 (USD) • At close September 18, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 51.44194.445112.94944.1836.48734.79135.63944.64536.95451.0869.09664.85223.56109.5217.59239.20127.67339.4415.25517.45519.50728.45718.1574.6163.343.30.920.4
Kortetermijnbeleggingen 17.40525.54110.22114.83916.7216.07615.69817.60223.20829.59848.97540.59158.5854.99466110.98555.59534.47624.57924.5790033.78733.7870000
Liquide middelen en kortetermijnbeleggingen 68.84694.445112.94944.1836.48734.79135.63944.64536.95451.0869.09664.85282.145114.51423.59239.201138.65895.03549.73142.03419.50728.45718.15738.4033.343.30.920.4
Nettovorderingen 18.61315.82314.26128.64628.61927.71720.47417.44712.3112.08715.03719.82218.56125.91144.75615.01414.14239.92742.8474.77514.0164.9918.0469.5935.710.29.617.64.4
Voorraad 43.79530.0035.79121.68924.90730.59733.79224.87618.7619.21222.76226.19318.0720.67119.117.67422.13337.94224.83715.37513.10815.87121.69115.8331622.135.925.716.5
Overige vlottende activa 2.1231.8981.8271.8931.5042.5282.5241.7681.7121.7271.2372.1282.145114.51423.5928.2028.017.7715.7751.8140.9560.2141.1754.88548.264.675.14.94.6
Totaal vlottende activa 133.377142.169134.82896.40891.51795.63392.42988.73669.73684.106108.132112.987128.092170.8595.6579.899182.704178.679119.22963.1447.74450.49448.37268.71473.2100.9123.949.145.9
Niet-vlottende activa:
Materiële vaste activa, netto 15.3227.0489.27919.16921.87711.19812.47811.23711.92112.82612.94513.42614.44913.91812.35114.88615.40213.5467.985.9965.7966.7938.86411.0612.413.113.89.33.5
Goodwill 00000000000018.38918.3897.9057.9057.9057.90500000000000
Immateriële activa 0.9541.09000.2740.8891.5032.2583.1123.9664.9025.8686.4416.9843.5374.0541.8051.805000000.0072.13.55.37.37.3
Goodwill en immateriële activa 0.9541.09-5.31-5.3350.2740.8891.5032.2583.1123.9664.9025.86824.8325.37311.44211.9599.719.71000000.0072.13.55.37.37.3
Langetermijnbeleggingen 3.38717.5857.4275.3885.5374.3726.8493.5939.67317.54212.31827.31732.67722.86666.24966.2492.009821.1198.052000000000
Belastingvorderingen 3.3424.3565.315.3356.2528.8097.91301.4590.0059.50212.17621.71714.59416.54116.0975.5885.58800000.003000000
Overige niet-vlottende activa 0.1240.8116.2356.2730.8651.169-6.1492.51.781.830.4770.7294.0564.171.1450.0790-9.52-17.8842.4342.4353.0112.9266.8896.75.54.82.4-4.8
Totaal niet-vlottende activa 23.12930.8922.94130.8334.80526.43722.59419.58827.94536.16940.14459.51697.72980.921107.728109.2732.70927.32411.21516.4828.2319.80411.79317.95621.222.123.9196
Totaal activa 156.506173.059157.769127.238126.322122.07115.023108.32497.681120.275148.276172.503225.821251.771203.378189.169215.413206.003130.44479.62255.97560.29860.16586.6794.4123147.868.151.9
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 5.811.615.324.2594.1996.0533.9495.3235.954.644.0114.4794.8575.5624.7014.2147.67815.9947.0491.6473.3961.282.3861.943124.64.52.7
Kortlopende schulden 1.0083.4043.1192.8532.5242.52414.40320.9029.51912.1959.07213.6994.76915.7640.70821.9921.99211.1180.7271.0250.4590.2422.7182.71801.91.31.3
Belastingschulden 0.1741.0251.6881.1981.5581.3171.1220.9060.6120.2770.5510.9360.8970.89700000000.2140000000
Uitgestelde opbrengsten 20.7832.4442.1070.0334.00714.31411.0265.4223.6252.5513.7432.1935.046.70513.180.5881.5410.5730.5733.83316.43212.34413.4640-2.718000-1.3
Overige kortlopende verplichtingen 4.9198.5179.1711.27710.0817.1170.1030.3290.1790.0590.1640.2659.3234.86713.188.78916.86342.05923.1363.8334.2535.1025.1222.9620.621.139.427.421.9
Totaal kortlopende verplichtingen 32.5125.97519.71618.42220.81130.00829.48131.97619.27319.44516.9920.63623.98932.89831.76915.59128.07460.61841.87610.0425.10619.18521.21227.62121.623.145.933.224.6
Langlopende verplichtingen:
Langetermijnschulden 6.9761.4173.6756.8039.5329.53200000000001.8981.89800030.56837.54541.24541.257.557.50.70.7
Uitgestelde opbrengsten niet-vlottend 1.48222.2150000001.190000000-5.588000000000004.7
Uitgestelde belastingverplichtingen niet-vlottend 04.38100000000.0050.9391.28125.77318.76417.68616.0975.58800000000000.40.4
Overige niet-vlottende verplichtingen 0.021-4.3810.3630.4570.186-7.0942.8793.0821.2212.1950.7767.951-15.851-7.134-17.434-15.5880.278-0.8230.6940.2070.2070002220.1-4.6
Totaal niet-vlottende verplichtingen 8.47923.6324.0387.269.7182.4382.8793.0822.4112.21.7159.2329.92211.630.2520.5092.1761.0750.6940.2070.20730.56837.54541.24543.259.559.51.21.2
Totaal passiva 40.98949.60723.75425.68230.52932.44632.3635.05821.68421.64518.70529.86833.91144.52832.02116.130.2561.69342.5710.24725.10649.75358.75768.86664.882.6105.434.424.6
Eigen vermogen:
Preferente aandelen 00000000013.2573.389000000000000000000
Gewone aandelen 0.0260.0260.0250.0240.0230.0230.0220.0210.020.0230.0240.0230.0230.0230.0220.0220.0220.02297.16594.80251.98219.38919.09318.67518.218.2000
Ingehouden winsten -65.375-53.185-36.11-62.73-63.786-64.934-66.881-69.901-62.46-53.294-25.849-10.15345.16667.14139.09249.16964.51437.169-9.529-25.68-21.336-9.033-17.807-0.87111.522.425.11712
Overige gereserveerde algehele resultaten 0.097-0.1930.5780.640.4240.3780.490.3210.4120.6190.7250.7690.4140.255-1.828-4.8080.5710.3540.2380.2530.2230.1890.122-14.481-14.481-12.1-10.9-6.3-3.9
Overige totale aandeelhoudersvermogen 180.769176.804169.522163.622159.132154.157149.032142.825138.025138.025151.282151.996146.307139.824134.071128.686120.056106.7650000014.48114.38111.928.22319.2
Totaal eigen vermogen van aandeelhouders 115.517123.452134.015101.55695.79389.62482.66373.26675.99798.63129.571142.635191.91207.243171.357173.069185.163144.3187.87469.37530.86910.5451.40817.80429.640.442.433.727.3
Totaal eigen vermogen 115.517123.452134.015101.55695.79389.62482.66373.26675.99798.63129.571142.635191.91207.243171.357173.069185.163144.3187.87469.37530.86910.5451.40817.80429.640.442.433.727.3
Totaal passiva en aandeelhoudersvermogen 156.506173.059157.769127.238126.322122.07115.023108.32497.681120.275148.276172.503225.821251.771203.378189.169215.413206.003130.44479.62255.97560.29860.16586.6794.4123147.868.151.9