Laureate Education, Inc.

NASDAQ:LAUR

16.92 (USD) • At close September 19, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320062005200420032002200120001999199819971996199519941993
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 89.39285.2324.8750.1339.6388.5320.567465458.673461.584559.996.987105.106105.62992.145104.685102.194116.4920.4133.1723.1511.0822.52.310.6
Kortetermijnbeleggingen 000000000.2380004.7684.51516.76522.54660.091202.07710.896.16682.92616.299000
Liquide middelen en kortetermijnbeleggingen 89.39285.2324.8750.1339.6388.5320.567465458.673461.584559.996.987109.874110.144108.91127.231162.285318.56731.339.336106.07627.3812.52.310.6
Nettovorderingen 107.33780.7152111.9260.5249.3349.296334.8343.217352.322334.069311.154299.556225.789143.234121.191105.299101.88278.87493.35770.0338.08423.783.4
Voorraad 8.3940043583.8306.4259.1310-0.2381.8283.365.8035.2824.6473.3756.2237.3445.8326.2619.8414.7784.473.62.20.7
Overige vlottende activa 19.28460.367.5146.8259273359.7426333.794337.7040.318-17.858-39.00620-29.76-12.951-11.4153.936276.88-1.12-1.755-1.37933.72.81.5
Totaal vlottende activa 224.407226.2544.31,443.8942.91,217.21,288.6941,225.81,135.6841,153.4381,390.712435.387410.52380.897269.857269.974288.714451.172411.737153.338186.54171.8263.515.316.2
Niet-vlottende activa:
Materiële vaste activa, netto 933.837913883.81,041.32,061.11,278.91,380.4172,151.62,290.92,514.3192,656.726729.312573.937485.592365.85309.451201.508171.842127.7297.88144.30624.71315.410.64.3
Goodwill 661.482583.493546.795574.8321,701.4951,707.0891,828.3651,934.4642,115.8972,469.7952,376.678579.811412.114364.973233.561272.52317.591296.422201.716292.693182.168103.986000
Immateriële activa 169.183151.645142.848227.1211,122.5131,153.2251,204.6531,399.6081,463.6581,608.8181,609.343265.218222.275186.14188.63438.0648.42.6112.57417.08416.49516.45180.34.90
Goodwill en immateriële activa 830.665735.1689.6800.42,822.42,858.83,033.0183,288.83,579.5554,078.6133,986.021845.029634.389551.114322.195310.584325.991299.033204.29309.777198.663120.43880.34.90
Langetermijnbeleggingen 4.981001.321-125.417-136.487112.645-72.61117.441153.316184.42896.95893.84450.3843.75921.10567.71383.93439.2562.76240.48128.115000
Belastingvorderingen 71.42651.938.7130.6125.417136.487152.39872.6180.75487.74141.98634.8725.763.3350.20412.01811.6012.3781.8799.8826.2320.474000
Overige niet-vlottende activa 60.34654.81,553.579689.31,414.81,424.113436.8234.782450.791195.20761.45744.49359.388188.04942.14314.7098.6043.2526.156-2.7085.0196.299.1
Totaal niet-vlottende activa 1,901.2091,7461,666.93,527.25,572.85,552.56,102.5915,877.26,303.4327,284.787,064.3681,767.6261,372.4231,149.813880.057695.301621.522565.791376.389506.458286.974178.759101.924.513.4
Totaal activa 2,125.6161,972.22,211.34,970.96,515.66,769.67,391.2857,1037,439.1168,438.2188,455.082,203.0131,782.9431,530.711,149.914965.275910.2361,016.963788.126659.796473.516250.579165.439.829.6
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 43.239178.618341.073516.4491.370.137695.2111.749107.385124.28840.78830.07820.82433.99229.32315.69620.10842.45257.17736.435012.32.42.4
Kortlopende schulden 110.342415.9415.3519.1883.9101.866121.87178.989192.354233.286220.47195.66863.04447.0121.65411.3656.44920.29214.4361.1280.932.4755.41.90.8
Belastingschulden 40.20438.73838.70529.68225.50120.90120.55330.37148.36941.99817.07323.14131.61516.62820.34614.75831.723119.5119.46511.7844.8760000
Uitgestelde opbrengsten 69.35151.34447.2216.8193.2184.116362.9482.723471.755474.855290.242279.289225.747152.92289.79354.578159.9639.46511.7844.8760000
Overige kortlopende verplichtingen 230.28200159.8270-101.866998.466-178.989761.357856.889776.79182.656189.002162.513104.39994.16291.99693.35168.79468.14926.32540.9587.50.40.3
Totaal kortlopende verplichtingen 453.214645.8642.3767.21,617.1684.51,374.5891,058.11,548.1831,669.3151,596.404609.354561.413456.094312.967224.643168.719293.714135.147138.23868.56743.43325.24.73.5
Langlopende verplichtingen:
Langetermijnschulden 472.361232.1153.7995.71,379.12,695.52,973.3963,808.44,318.9344,333.5814,118.97327.73499.99786.60575.1154.055124.474128.575151.20412.50401.5752.641.8
Uitgestelde opbrengsten niet-vlottend 160.2620-62.824615.932-7.778490.542972.98557.083369.826435.406379.68900-22.44600000000-1.200
Uitgestelde belastingverplichtingen niet-vlottend 56.4989.76573.62486.368218.378217.558247.371486.817507.477570.364596.51828.1590.58322.4460004.82412.5476.9617.3352.3380.900
Overige niet-vlottende verplichtingen 34.151228.735263.2240.1492.3616.2221.9411,004.3287.524329.128212.19761.64769.56271.83846.70626.63614.2073.7073.0513.2657.24223.6431.200
Totaal niet-vlottende verplichtingen 723.264550.6427.71,938.12,0824,019.84,415.6935,356.65,483.7615,668.4795,307.374417.54170.142158.443121.806180.691138.681137.106166.80132.72564.57727.5563.541.8
Totaal passiva 1,176.4781,196.41,0702,705.33,699.14,704.35,790.2826,414.77,031.9447,337.7946,903.7781,026.894731.555614.537434.773405.334307.4430.82301.948170.963133.14570.988299.36
Eigen vermogen:
Preferente aandelen 000000400.27632.1900000000000000000
Gewone aandelen 0.630.9230.9150.9110.9050.8970.750.5340.5330.5320.530.5140.4990.4880.450.4030.3870.3730.5090.510.290.226000
Ingehouden winsten 41.86239.24415.523-176.822436.509-530.919-946.236-1,037.701-1,409.548-1,093.3-935.009541.358435.554355.989292.978246.843342.786360.23260.76275.85239.65210.814-3.6-8.5-10.5
Overige gereserveerde algehele resultaten -272.144-442.424-520.204-941.986-1,073.981-1,112.695-925.556-1,052.055-952.677-579.041-268.8154.49638.86547.2322.2-19.244-26.704-12.685-1.7451.777-0.962-0.004-6.1-3.5-1.2
Overige totale aandeelhoudersvermogen 1,179.7211,176.6571,643.3663,381.7973,440.7673,693.6173,045.932,721.4322,686.4512,688.8772,669.044534.327503.791474.928353.522257.926229.386205.343414.567410.694301.391168.555146.142.535.3
Totaal eigen vermogen van aandeelhouders 950.069774.41,139.62,263.92,804.22,050.91,575.164664.4324.7591,017.0681,465.7551,130.695978.709878.635669.15485.928545.855553.263474.093488.833340.371179.591136.430.523.6
Totaal eigen vermogen 949.138775.81,141.32,265.62,816.52,065.31,601.003688.3407.1721,100.4241,551.3021,176.1191,051.388916.173715.141559.941602.836586.143486.178488.833340.371179.591136.430.523.6
Totaal passiva en aandeelhoudersvermogen 2,125.6161,972.22,211.34,970.96,515.66,769.67,391.2857,1037,439.1168,438.2188,455.082,203.0131,782.9431,530.711,149.914965.275910.2361,016.963788.126659.796473.516250.579165.439.829.6