KLA Corporation

NASDAQ:KLAC

663.37 (USD) • At close November 4, 2024
Overzicht | Financiële gegevens

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989198819871986
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,977.1291,927.8651,584.9081,434.611,980.4721,739.3852,880.3183,016.742,491.2942,387.1113,152.6372,918.8812,534.444711.329529.918524.9671,128.106722.5111,129.191874.509802.678606.903429.82529.674478.212271.5216279.2109.492.1139.152.423.731.332.326.924.425.925.5
Kortetermijnbeleggingen 2,526.8661,315.2941,123.11,059.912746.063723.3911,475.9361,863.6891,382.8061,549.0862,521.7761,933.4911,783.151,327.2061,004.126804.917409.13988.1181,196.6051,320.677330.476350.061243.526167.421119.93259.692.369.600000000000
Liquide middelen en kortetermijnbeleggingen 4,503.9953,243.1592,708.0082,494.5221,980.4721,739.3852,880.3183,016.742,491.2942,387.1113,152.6372,918.8812,534.4442,038.5351,534.0441,329.8841,537.2361,710.6292,325.7962,195.1861,133.154956.964673.346697.095598.144331.1308.3348.8109.492.1139.152.423.731.332.326.924.425.925.5
Nettovorderingen 1,902.31,753.3611,811.8771,305.4791,107.413990.113651.678571.117613.233585.494492.863524.61701.28583.27440.125210.143492.488581.5439.899333.218372.773223.535277.006402.013481.95280.1304.1269.3203.5129.374.248.149.246.152.154.240.823.221
Voorraad 3,034.7812,876.7842,146.8891,575.381,310.9851,262.5931.845732.988698.635617.904656.457634.448650.802575.73401.73370.206459.449535.37449.156358.339337.414258.799323.016394.406282.489195.7234.6174.6132.479.853.342.548.647.954.442.536.729.226.2
Overige vlottende activa 310.189498.728502.137320.867324.675323.07785.15971.22164.87314.067284.873273.564277.5172,517.011,993.611,818.268218.00386.13974.58150.43538.01142.98730.87143.353189.17122.418.712.548.359.711.98.613.215.462.81.91.30.6
Totaal vlottende activa 9,751.2658,372.0327,168.9115,696.2484,723.5454,315.0754,5494,392.0663,868.0323,904.5764,586.834,351.5034,164.0433,676.012,835.4652,398.6173,035.7643,252.7713,543.2433,202.6452,191.5021,806.3831,619.2881,896.9461,551.754942.3956.4860493.6360.9278.5151.6134.7140.7144.8126.4103.879.673.3
Niet-vlottende activa:
Materiële vaste activa, netto 1,341.781,031.841849.929663.027519.824448.799286.306283.975278.014314.591330.263305.281277.686257.358236.752291.878355.474382.24395.412385.222376.052382.729300.56290.254199.719168.3140.9117.671.84937.139.444.848.124.32014.68.49
Goodwill 2,015.7262,278.822,320.0492,011.1722,045.4022,211.858354.698349.526335.177335.263335.355326.635327.716328.156328.006329.379601.882311.85670.34100000000000000000000
Immateriële activa 668.764935.3031,194.4141,185.3111,391.4131,560.6719.33318.9634.33111.89527.69734.51555.63685.902117.336149.08297.778175.432058.6720.621000000000000000000
Goodwill en immateriële activa 2,684.493,214.1233,514.4633,196.4833,436.8153,772.528374.031368.489339.508347.158363.052361.15383.352414.058445.342478.459899.66487.28870.34158.6720.621000000000000000000
Langetermijnbeleggingen 668.76400000000-78.648-75.138-114.833-128.738-173.788-328.522-261.12100000000000000000000000
Belastingvorderingen 915.241816.899579.173270.461236.797206.141193.2291.967302.21978.64875.138114.833128.738173.788328.522261.121323.87309.487392.028192.61388.593324.09800000000000000000
Overige niet-vlottende activa 72.026637.462484.612444.905362.979265.973216.819195.676174.659259.687258.519269.423275.227328.095389.497440.584233.622191.463174.887147.222862.411353.387797.87557.351452.03474.3451.1365.7147.4136.468.199.210.214.416.227.515.9
Totaal niet-vlottende activa 5,682.3015,700.3255,428.1774,574.8764,556.4154,693.4411,070.3561,140.1071,094.4921.436951.834935.854936.265999.5111,071.5911,210.9211,812.6261,370.4781,032.668783.7271,347.6771,060.2141,098.43847.605651.749642.6592483.3219.2185.443.147.553.857.334.534.430.835.924.9
Totaal activa 15,433.56614,072.35712,597.08810,271.1249,279.969,008.5165,619.3565,532.1734,962.4324,826.0125,538.6645,287.3575,100.3084,675.5213,907.0563,609.5384,848.394,623.2494,575.9113,986.3723,539.1792,866.5972,717.7182,744.5512,203.5031,584.91,548.41,343.3712.8546.3321.6199.1188.5198179.3160.8134.6115.598.2
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 359.487371.026443.338342.083264.28202.416169.354147.38106.517103.342103.422115.68139.183142.945107.93863.485104.31592.16595.19267.71763.99133.89352.98860.7455.01635.246.441.227.319.411.995.67.48.20000
Kortlopende schulden 786.32734.04232.2182028.994249.99923.287249.983016.98100044.264095.82273.909195.3260127.36490.187000014.621.525.13.124.64.76.554.43.66.7000
Belastingschulden 146.74383.012126.96487.3235.6423.3523.28717.0427.96415.58215.28311.07650.83916.56453.49249.73863.6340000000000000000000000
Uitgestelde opbrengsten 1,487.7821,068.326882.706580.128569.73489.017348.836246.368233.698220.026207.099218.803210.313192.338241.7963.237207.48999.25480.54380.12257.318225.689248.7380000000000000000
Overige kortlopende verplichtingen 2,027.1782,269.4481,512.8211,161.016836.782827.054676.606649.431662.208661.414585.09527.049513.411502.471422.059341.441364.619686.462826.746656.659700.133391.474385.764923.345439.811302.5282.8258.5138.888.94942.540.237.833.935.5000
Totaal kortlopende verplichtingen 4,660.7743,742.8422,871.0832,103.2271,699.7861,768.4861,218.0831,293.1621,002.4231,001.763895.611861.532862.907882.018771.787563.983950.3321,073.2071,002.481931.862911.629651.056687.49984.085494.827352.3350.7324.8169.2132.965.65850.849.645.742.231.524.820.5
Langlopende verplichtingen:
Langetermijnschulden 5,880.1995,890.7366,660.7183,422.7673,469.673,173.3832,237.4022,680.4743,057.9363,173.435747.919747.376746.833746.29745.747745.204744.66100000000000002020242400000
Uitgestelde opbrengsten niet-vlottend 294.46176.681124.61887.57596.32598.77271.99759.71356.33647.14557.542.22834.89934.90520.3546.05831.7450000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 486.69529.287658.937650.623660.885702.2851.197000119.483117.45350.83978.33753.49249.738-31.74500000000003.96.39.58.67.110.711.211.47.55.73.72.1
Overige niet-vlottende verplichtingen 743.115813.058882.642631.29672.284587.897470.166172.407156.623182.2348.80536.61689.23573.07869.06560.163171.66767.65.4399.253000000000.1-0.10-0.1000.10.1-0.100
Totaal niet-vlottende verplichtingen 7,404.4647,409.7628,326.9154,792.2554,899.1644,562.3372,780.7622,912.5943,270.8953,402.81973.707943.673921.806932.61888.658861.163916.32867.65.4399.25300000003.96.49.428.62734.735.211.57.65.63.72.1
Totaal passiva 12,065.23811,152.60411,197.9986,895.4826,598.956,330.8233,998.8454,205.7564,273.3184,404.5731,869.3181,805.2051,784.7131,814.6281,660.4451,425.1461,866.661,073.2071,002.481931.862911.629651.056687.49984.085494.827352.3350.7328.7175.6142.394.28585.584.857.249.837.128.522.6
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000000000000
Gewone aandelen 0.1342,107.6631,061.942,175.9882,090.2682,017.312617.999529.283452.974474.3741,220.5040.1651,089.481,010.6590.1680.1710.1740.1910.1990.1960.1960.1920.190.1880.1870.10.10.100000000000
Ingehouden winsten 1,137.27848.431366.8821,277.123654.93714.8251,056.445848.457284.825-12.3622,479.1132,359.2332,247.2581,852.6331,356.4541,370.1322,204.4172,570.7512,137.712,083.6381,640.5871,396.8861,259.6951,043.529976.846723683.8542.7259.8138.980.350.143.156.967.558.146.537.630.1
Overige gereserveerde algehele resultaten -49.075-36.341-27.471-75.557-79.774-73.029-53.933-51.323-48.685-40.573-30.271-36.646-21.143-2.399-31.303-21.21747.68411.4058.9083.8822.1593.6874.5872.60413.6655.216.313.6-48.9-39.6-31.800000000
Overige totale aandeelhoudersvermogen 2,279.99900000000001,159.400921.292835.306729.455967.6951,421.174957.541984.608814.776765.756714.145717.978504.3497.5458.2326.3304.7178.96459.956.354.652.95149.445.5
Totaal eigen vermogen van aandeelhouders 3,368.3282,919.7531,401.3513,377.5542,665.4242,659.1081,620.5111,326.417689.114421.4393,669.3463,482.1523,315.5952,860.8932,246.6112,184.3922,981.733,550.0423,567.9913,045.2572,627.552,215.5412,030.2281,760.4661,708.6761,232.61,197.71,014.6537.2404227.4114.1103113.2122.111197.58775.6
Totaal eigen vermogen 3,368.3282,919.7531,399.093,375.6422,681.012,677.6931,620.5111,326.417689.114421.4393,669.3463,482.1523,315.5952,860.8932,246.6112,184.3922,981.733,550.0423,573.433,054.512,627.552,215.5412,030.2281,760.4661,708.6761,232.61,197.71,014.6537.2404227.4114.1103113.2122.111197.58775.6
Totaal passiva en aandeelhoudersvermogen 15,433.56614,072.35712,597.08810,271.1249,279.969,008.5165,619.3565,532.1734,962.4324,826.0125,538.6645,287.3575,100.3084,675.5213,907.0563,609.5384,848.394,623.2494,575.9113,986.3723,539.1792,866.5972,717.7182,744.5512,203.5031,584.91,548.41,343.3712.8546.3321.6199.1188.5198179.3160.8134.6115.598.2