KLA Corporation

NASDAQ:KLAC

629.37 (USD) • At close December 20, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 2,761.8963,387.3513,322.062,077.3531,215.0251,175.017802.265926.076704.422366.158582.755543.149756.015794.488212.3-523.368359.083528.098380.452466.695243.701137.191216.16666.683253.79839.2134.1105.4120.958.630.27-13.8-10.69.4
Afschrijvingen & Amortisatie 401.73415.113363.344333.335348.049233.22462.68457.83666.93280.53683.07287.53492.13386.04487.348135.848126.376109.2969.43670.85382.92671.44869.5955.64963.33848.238.952.316.310.610.79.610.79.18.7
Uitgestelde Inkomstenbelasting -155.228-298.145-329.501-44.445-93.11-27.51198.764.00719.804-24.24517.1764.532193.41264.736-19.86559.69716.644-13.944-134.384-42.604-24.578-10.62936.037-56.939-60.522-27.9-46.2-19.2-12.2-9.6-2.1-0.50.1-2.51.5
Aandelen Gebaseerde Vergoedingen 212.695171.424126.918111.836111.38194.19462.78450.94345.0555.30260.9470.08478.83581.4385.982105.535106.46899.635164.7422.916000000000000000
Verandering in Werkkapitaal -201.18110.113-305.411-243.313-180.475-326.343300.19241.652-60.085-12.36377.219228.739-181.019-210.17882.968-34.9271.325-173.095-186.604-15.476-0.31361.806-44.03647.452-4.76539-97.197.9-60.2-53.5-27.514.7-0.6-9.47
Vorderingen -80.894-48.534-510.326-203.155-118.362-146.151-76.49739.898-8.292-118.5232.591159.245-113.922-128.219-220.857277.331149.309-107.345-114.92836.645000000000000000
Voorraden -164.092-749.047-567.003-270.1-74.817-59.561-182.883-46.433-67.57927.5-26.17314.787-93.145-170.141-27.715120.249100.1689.015-87.676-18.778-78.61664.21571.43-101.75-95.7830.8-62.321.3-52.6-23.1-10.860.1-7.1-2.4
Crediteuren 24.976-144.661101.63279.36661.144-21.62721.77840.13.1090.848-12.333-22.812-3.73234.25944.381-46.7967.162-45.56227.0532.751000000000000000
Overig Werkkapitaal 18.829952.355670.286150.576-48.44-99.004537.7946.3125.860.768-10.04210.748-45.12166.348178.216-330.726-94.787-19.439-36.340000000000000000
Overige Niet-Contante Posten 288.663-16.051135.292-49.74377.984.051-97.565126.465235.24993.644-30.299-23.850794.488-2.88823.279122.903164.007182.197000000-0.10.1-0.1-0.1000-2.612.91.3
Kasstroom uit Operationele Activiteiten 3,308.5753,669.8053,312.7022,185.0261,778.851,152.6321,229.121,079.665759.696605.906778.886913.188941.617823.166447.8195.684668.175610.686315.169506.735349.677246.257284.047407.918252.517122.350.3236.364.722.311.330.3-4.4-1.827.9
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -277.384-341.591-307.32-231.628-152.675-130.498-66.947-38.594-31.741-45.791-67.502-74.573-57.596-51.151-30.202-22.226-57.323-83.782-73.81-59.675-55.528-133.766-68.658-162.195-98.619-70.8-83.2-56.8-39.1-19-5.8-3.2-5.1-33.6-11.3
Netto Overnames -3.68243.919-451.45518.688-90.143-1,818.283-17.403-28.56-33.776-1.843-18-81.41257.59651.151-1.5-141.399-494.036-521.693-7.664-44.62800-4.035-20.81800000000000
Aankoop van Beleggingen -2,891.085-1,538.544-1,108.914-1,126.611-908.734-163.185-547.629-1,727.938-1,244.098-1,792.359-1,899.621-1,523.923-1,578.33-1,205.496-1,157.707-1,076.145-1,129.522-3,299.976-4,625.243-2,579.371-1,736.822-1,288.151-2,141.323-913.096-667.887-598.2-915.2-997.3-456.3-329.70000-1.1
Verkoop/verval van Beleggingen 1,690.0871,349.35991.231839.147892.678930.984923.5971,231.2591,413.452,756.3711,305.1781,355.2111,104.807878.952955.567634.7231,664.5933,506.1834,931.7872,525.6061,518.4741,320.2061,837.817801.001670.052631.2825.6870.4455.6178.30009.83
Overige Investeringsactiviteiten 5.079-113.83627.6581.855-16.056767.7990.0142.94740.8521.8433.83683.25-55.368-32.9665.878120.14768.7872.298-8.173-3.20403.19700000.100-14.20-0.4-1.3-2.1-2.2
Kasstroom uit Investeringsactiviteiten -1,476.985-486.866-876.458-500.404-258.874-1,180.982291.618-560.886144.687918.221-676.109-241.447-528.891-359.51-227.964-484.952.499-399.268225.07-158.068-273.876-98.514-376.199-295.108-96.454-37.8-172.7-183.7-39.8-184.6-5.8-3.6-6.4-25.9-11.6
Financieringsactiviteiten:
Schuldaflossingen 735.043-787.253,222.409-29.65720.7991,181.311-697.557-130-1352,308.789000000744.5700000-0.4481.67-18.316-8.7-2.6-6.85.9-1.5-1.9-2.90.124.70
Uitgifte van Gewone Aandelen 144.934124.847113.01486.09875.63464.82861.44445.35938.29847.008112.221126.121163.569124.57335.86740.108155.635263.245212.653133.602168.81292.499115.13693.756106.99941.334.522.225.1115.782.75.72.92.31
Terugkoop van Gewone Aandelen -1,735.746-1,311.864-3,967.806-938.607-829.084-1,095.202-203.169-25.002-181.711-602.888-240.843-273.254-263.864-234.844-136.275-226.515-1,111.17-808.461-221.417-203.658-55.806-65.912-123.22-153.632-27.978-48.8-160-5.50000-0.6-3.5
Uitgekeerde Dividenden -773.041-732.556-638.528-559.353-522.421-472.263-402.065-343.993-346.283-3,041.055-298.871-265.893-233.561-167.398-102.409-102.149-108.521-95.057-95.348-23.644000000000000000
Overige Financieringsactiviteiten -147.207-123.466-986.094-56.362-44.563-38.679-28.756-19.169-12.006-14.826-31.394-15.484-30.247-22.486-13.514-10.5610.5487.04619.15312.63100000000.1-31.900.1000.40
Kasstroom uit Financieringsactiviteiten -1,776.017-2,830.289-2,257.005-1,497.881-1,299.635-360.005-1,270.103-472.805-636.702-1,302.972-458.887-428.51-364.103-300.155-216.331-299.117-318.938-633.227-84.959-81.069113.00626.587-8.532-58.20660.705-16.239.825.1-6.4114.280.92.8326.8-2.5
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -6.309-13.988-28.94113.46-1.926-0.0330.696-1.4112.782-13.9911.581-9.135-8.65817.911.446-14.8063.85915.12910.7488.2136.9682.7530.83-3.142-10.044-12.919.4-0.3-1.11.10.4-0.90.3-0.10.4
Netto Kasstroomverandering 49.264359.352169.736200.201218.415-388.388251.33144.563270.463207.164-354.529234.09639.965181.4114.951-603.139405.595-406.68466.028275.811195.775177.083-99.85451.462206.72455.5-63.277.517.4-4786.828.6-7.5-114.2
Kaspositie aan het Einde van de Periode 1,977.1291,927.8651,584.9081,434.611,234.4091,015.9941,404.3821,153.0511,108.488838.025630.861985.39751.294711.329529.918524.9671,128.106722.5111,129.191874.509802.678606.903429.82529.674478.212271.5216279.2109.592.1139.252.323.831.332.4