Juniper Networks, Inc.

NYSE:JNPR

38.53 (USD) • At close November 12, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,068.1880.1922.51,361.91,215.82,4892,006.51,833.21,420.91,639.62,2842,407.82,910.421,811.8871,604.7232,019.0841,716.111,596.333918.401713.182365.606194.435606.845563.00515820.1
Kortetermijnbeleggingen 139.4210.3315.5412.17381,070.11,026.1752.3527.1332.2561.9441.5641.323474.514570.522172.896240.355443.91510.364404.659215.906384.036382.797581.738187.90
Liquide middelen en kortetermijnbeleggingen 1,207.51,090.41,2381,7741,953.83,559.13,032.62,585.51,9481,971.82,845.92,849.33,551.7432,286.4012,175.2452,191.981,956.4652,040.2431,428.7651,117.841581.512578.471989.6421,144.743345.920.1
Nettovorderingen 1,044.11,227.3994.4964.1879.7754.68521,054.1780.7598.9578.3438.4577.386596.622458.652429.97379.759249.445268.907187.30677.96478.501103.524176.535248.1
Voorraad 952.4619.4272.6210.290.680.693.887.666.654.537.562.500-53.67700046.6760000000
Overige vlottende activa 591.5680451.6322.9285.7187.5206.1240.992.3439.6242.2255.8241.5331.347245.062194.256218.891232.118120.784217.17231.33323.95732.88227.2697.90.6
Totaal vlottende activa 3,795.53,617.12,956.63,271.23,209.84,581.84,184.53,971.92,912.42,971.93,703.93,600.74,439.6613,214.372,825.2822,816.2062,555.1152,521.8061,818.4561,413.733690.809680.9291,126.0481,348.547377.828.8
Niet-vlottende activa:
Materiële vaste activa, netto 801.3808.4864.3946.91,000.6951.71,021.11,063.81,021904.3882.3811.9598.581493.881455.651436.433401.818349.93319.885275.612244.491266.962251.81136.4412.47.7
Goodwill 3,734.43,734.43,762.13,669.63,337.13,108.83,096.23,081.72,981.32,981.54,057.74,057.83,928.1443,927.8073,658.6023,658.6023,658.6023,624.6524,904,2394,427.93983.397987.6610000
Immateriële activa 91.8160.5284.3266.7185.8118.5128.1130.233.962.4106.9128.9123.114121.80313.83428.86177.844169.2025,174.164,683.9091,050.6631,083.114222.034136.04725.90
Goodwill en immateriële activa 3,826.23,894.94,046.43,936.33,522.93,227.33,224.33,211.93,015.23,043.94,164.64,186.74,051.2584,049.613,672.4363,687.4633,736.4463,793.8545,174.164,683.9091,050.6631,083.114222.034136.04725.90
Langetermijnbeleggingen 116.8139.6455.5656.6589.8199988.41,071.81,244.21,133.11,251.9988.1740.659535.178483.505101,41559,329574,061618,342595.234394.297583.6640000
Belastingvorderingen 000000019.555.914779.8172.6154,310161,5353.871.07959.02551.49974,108-595.234-394.297-583.6640000
Overige niet-vlottende activa 978.7866.7564.2567.3514.6403.5415.5317.6370.5202.9243.572.1-154,156.339-161,360.18889.157-101,238.84-59,195.998-573,409.694-691,735.902626.46425.134583.664789.695582.09597.30.2
Totaal niet-vlottende activa 5,7235,709.65,930.46,107.15,627.94,781.55,649.35,684.65,706.85,431.26,622.16,231.45,544.1595,253.4814,704.5494,371.1354,330.2914,846.5896,208.1435,585.9811,720.2881,933.741,263.54754.582135.67.9
Totaal activa 9,518.59,326.78,8879,378.38,837.79,363.39,833.89,656.58,619.28,403.110,3269,832.19,983.828,467.8517,529.8317,187.3416,885.4067,368.3958,026.5996,999.7142,411.0972,614.6692,389.5882,103.129513.436.7
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 295.1347.4273.7277219.5208.8217.6221159.3234.6200.4209.3324.9292.27242.591249.854219.101179.553165.172113.8961.23751.74776.41772.34715.44.7
Kortlopende schulden 46.447.40421.50349.900299.90000000399.496000000002.2
Belastingschulden 204.5279.4330.5312.5372.6404.4650.6209.2187.3177.5114.47.812.5452535.78133,04752,32438,49956,3600000000
Uitgestelde opbrengsten 1,1301,020.5937.9867.3812.9829.31,030.31,032822.9780.8705.8693.5712.663660.264571.652459.749425.579312.253213.482159.7575.31246.146034.62560
Overige kortlopende verplichtingen 428384.2334.4282.8138.950.1-160.3273.7332.5334.8420.8511.4416.595494.442525.761-32,699.993-51,988.333-38,228.189-56,111.253229.197170.142144.131165.802109.43634.37.5
Totaal kortlopende verplichtingen 2,1042,078.91,876.52,161.11,543.91,842.51,738.21,725.11,801.91,527.71,441.41,4221,466.7031,471.9761,207.31,056.611,379.843762.617627.4502.837290.813242.024242.219216.40855.714.4
Langlopende verplichtingen:
Langetermijnschulden 1,699.71,7191,8291,869.31,8421,789.12,136.32,133.71,637.51,349999.3999.21,107.505103.823170.24578.1640399.944399.959400557.841942.1141,1501,156.71905.2
Uitgestelde opbrengsten niet-vlottend 894.9642.6475.7418.5410.5384.3509449.1345.2294.9363.5229.9254.364224.165181.937130,51487,69073,32639,33022.7000000
Uitgestelde belastingverplichtingen niet-vlottend 204.55.6330.5312.5372.6-785.4650.6209.2187.3177.5114.4112.40010,55571,07959,02551,499-39,330-22.7000000
Overige niet-vlottende verplichtingen 327.2411.1388.9385.9430.7524.2769.4375.3248.9312.4219.6181.565.5959.08737.53120.648151.70390.7568.01781.44000000
Totaal niet-vlottende verplichtingen 2,921.82,772.72,693.62,673.72,683.22,697.63,414.72,960.42,242.91,956.31,582.41,410.61,427.459387.075389.713229.326151.703490.694499.489504.14557.841942.1141,1501,156.71921.45.2
Totaal passiva 5,025.84,851.64,570.14,834.84,227.14,540.15,152.94,685.54,044.83,4843,023.82,832.62,894.1621,859.0511,597.0131,285.9361,531.5461,253.3111,126.8891,006.977848.6541,184.1381,392.2191,373.12755.719.6
Eigen vermogen:
Preferente aandelen 0000000000000.4760.6000000000000
Gewone aandelen 0000000000000.0050.0050.0050.0050.0050.0060.0060.0050.0040.0040.0030.00300
Ingehouden winsten -2,296.4-2,375.5-2,653.6-2,669-2,741.4-2,831.4-3,355.8-3,281.8-3,741.2-3,861.1-2,631.3-2,911.4-2,972.402-3,108.337-3,128.472-2,905.852-2,813.328-1,532.235491.656137.6271.881-37.31882.33295.749-52.2-43.1
Overige gereserveerde algehele resultaten 49.14.2-2.155.6-18.5-18.2-5.4-37.3-19.2-13.864.64.7-17.59-1.251-1.433-4.24512.2511.266-23.906-33.113.1865.939-44.647-100.85-3.80
Overige totale aandeelhoudersvermogen 6,7406,846.46,972.67,156.97,370.57,672.88,042.18,281.68,334.88,7949,868.99,905.710,079.1699,717.1838,952.0368,811.4978,154.9327,646.0477,458.6625,888.2151,557.3721,461.906959.681735.1513.760.2
Totaal eigen vermogen van aandeelhouders 4,492.74,475.14,316.94,543.54,610.64,823.24,680.94,9714,574.44,919.17,302.26,999.57,089.6586,608.85,930.1895,901.4055,353.866,115.0846,899.715,992.7371,562.4431,430.531997.369730.002457.717.1
Totaal eigen vermogen 4,492.74,475.14,316.94,543.54,610.64,823.24,680.94,9714,574.44,919.17,302.27,0007,090.1346,609.45,932.8185,901.4055,353.866,115.0846,899.715,992.7371,562.4431,430.531997.369730.002457.717.1
Totaal passiva en aandeelhoudersvermogen 9,518.59,326.78,8879,378.38,837.79,363.39,833.89,656.58,619.28,403.110,3269,832.19,983.828,467.8517,529.8317,187.3416,885.4067,368.3958,026.5996,999.7142,411.0972,614.6692,389.5882,103.129513.436.7