Light & Wonder, Inc.

NASDAQ:LNW

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

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 5159145851,016313168.2788.8115.1128.7171.8153.7109.015104.402124.281260.131140.63929.40327.79138.94266.1279.37334.92912.64915.3085.16.818.2656.710.41.12.91.85.84.743.71.6
Kortetermijnbeleggingen 000000000000000000052.52500000.800000000000000
Liquide middelen en kortetermijnbeleggingen 5159145851,016313168.2788.8115.1128.7171.8153.7109.015104.402124.281260.131140.63929.40327.79138.942118.64579.37334.92912.64915.3085.96.818.2656.710.41.12.91.85.84.743.71.6
Nettovorderingen 530455423616755713.1684.4620.4654.8657.1504.7220.443182.467178.179177.967212.487203.074178.445129.25105.78999.63953.2650.4154.26325.821.813.618.325.935.117.24.32.75.12.221.31.10.6
Voorraad 17716198191244215.6243.1242.3248.5265.6137.871.25581.71168.74473.9475.37192.56559.46440.14828.06226.89620.53519.54724.67814.611.36.75.812.510.313.614.34.78.11.71.40.70.60.3
Overige vlottende activa 89117626358303232.7131.1114.1123.3213.8807.8375.87840.50242.461321.49583.28172.83579.00246.21341.79931.45722.65415.53718.1782.22.52.710.64.44.72.70.40.10.30.40.30.20.50.3
Totaal vlottende activa 1,3111,6941,7322,1811,6151,368.31,876.41,116.61,175.51,408.3961.5484.893409.082413.665581.626511.778397.877344.702254.553294.295237.365131.37898.143112.42748.542.441.240.747.856.843.920.110.415.310.18.46.25.92.8
Niet-vlottende activa:
Materiële vaste activa, netto 288253264509605547568.2612.27941,012.8772.6376.877426.488450.581468.439575.479561.624450.66366.219271.426228.73200.866196.788186.65476.778.476.495.9118.3121.470.825.926.752.522.920.6169.56.1
Goodwill 2,9452,9192,8923,2923,2803,279.92,956.12,888.43,013.74,108.31,186.9801.098766.349763.915772.732657.211716.856633.73339.169311.931102.232199.926195.2550000000000000000
Immateriële activa 7639421,0631,5261,7742,094.41,9442,177.42,405.92,844.3754.684.29186.85970.61379.822120.946201.332157.251412.438406.133399.803257.74860.154289.2765.218.421.8212723.128.51.92.182.110.40.40.50
Goodwill en immateriële activa 3,7083,8613,9554,8185,0545,374.34,900.15,065.85,419.66,952.61,941.5885.389853.208834.528852.554778.157918.188790.981412.438406.133399.803257.748255.409289.2765.218.421.8212723.128.51.92.182.110.40.40.50
Langetermijnbeleggingen 635017262273298.4253.9179.9228.5288.2367.2316.234340.494452.764298.071317.818290.652173.267125.283120.169083.9861.8120000000000000000
Belastingvorderingen 1421143492053107.673.170.220.772.822.66.2814.6972.44822.55714.3685.1528.9614.242-120.169025.207-1.8120000000000000000
Overige niet-vlottende activa 40371,56619420922.253.642.793.9260.5176.5117.234127.932-2.44868.545-14.36-153.454-8.96-0.222120.16997.091-25.20751.61258.85835.217.314.139.247.944.640.112.13.34.23.11.31.41.71.8
Totaal niet-vlottende activa 4,2414,3156,1515,8036,1946,349.55,848.95,970.86,556.78,586.93,280.41,702.0151,752.8191,737.8731,710.1661,671.4541,702.1621,414.908917.96797.728725.624542.6503.809534.788117.1114.1112.3156.1193.2189.1139.439.932.1138.82722.317.811.77.9
Totaal activa 5,5526,0097,8837,9847,8097,717.87,725.37,087.47,732.29,995.24,241.92,186.9082,161.9012,151.5382,291.7922,183.2322,100.0391,759.611,172.5131,092.023962.989673.978601.952647.215165.6156.5153.5196.8241245.9183.36042.5154.137.130.72417.610.7
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 241154204203226225.1190.4188.9159.8155.8140.980.87266.22150.64257.30964.63564.10860.56654.22340.92334.60323.88826.63229.74620.113.68.714.216.419.212.37.42.73.91.50000
Kortlopende schulden 41244444454540.349.350.350.630.416.45826.1918.43124.80843.3844.9423.1486.0554.376.3273.8659.4375.8234.332.69.210.811.24.32.4491.61.62.51.90.9
Belastingschulden 296417423626.727.725.22840.219.111.0159.7496.9820000000000000000000000000
Uitgestelde opbrengsten 253231151129115.997.758.863.855.939.128.05718.916143.907-57.3090017.4718.87396.999113.26153.51351.1180000000000000000
Overige kortlopende verplichtingen 389412695435366361.3411.4395.4380398246.7130.96125.755-6.982180.298152.665148.464112.83872.2110.8794.2323.5978.38171.00131.928.724.420.525.720.812.999.87.31.92.410.60.1
Totaal kortlopende verplichtingen 696622974833766747.3739.8692.4653.9660.3457.1256.347237.083195.998205.106260.684217.514194.023141.362143.171158.42384.86395.568106.5756.345.335.743.952.94126.420.714.960.2543.52.51
Langlopende verplichtingen:
Langetermijnschulden 3,8523,9078,6869,3368,7688,991.98,736.38,024.98,156.78,465.43,162.21,451.7081,364.4761,388.2591,342.2551,216.2641,072.625913.253574.68606.508525.836356.664430.298438.011152.9155.9147.2159.8166.5143.275.551.750.224.51114.310.26.92
Uitgestelde opbrengsten niet-vlottend 39871240000000-138-62.26500-37.418000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 2087357991107.673.170.2228.2628.813862.26556.26460.85837.41833.80951.66143.1439.75904.59525.20728.56860.8341.71.82.67.75.83.74.45.14.616.81.91.71.710.8
Overige niet-vlottende verplichtingen 180145170260292334.2203.1235.6188.9236.8247.6114.06260.36453.765124.67396.04897.02481.11359.87941.7836.98322.31823.447.4812.92.11.25.63.92.31.841.41.50.60.40.100
Totaal niet-vlottende verplichtingen 4,0914,2269,0159,6759,1519,433.79,012.58,330.78,573.89,3313,409.81,565.771,481.1041,502.8821,466.9281,346.1211,221.311,037.509644.318648.288567.414404.189482.306506.326157.5159.8151173.1176.2149.281.760.856.242.813.516.4127.92.8
Totaal passiva 4,7874,8489,98910,5089,91710,1819,752.39,023.19,227.79,991.33,866.91,822.1171,718.1871,698.881,672.0341,606.8051,438.8241,231.532785.68791.459725.837489.052577.874612.896213.8205.1186.7217229.1190.2108.181.571.110318.520.415.510.43.8
Eigen vermogen:
Preferente aandelen 000000000000000000001.3261.2491.221.132000000000000000
Gewone aandelen 111111.11.111110.9930.9820.9750.9390.9260.9340.9160.8990.8840.6150.5940.4120.3710.400000000000000
Ingehouden winsten 680517-3,158-3,529-2,954-2,824.3-2,461-2,218.7-1,865-470.7-236.4-206.218-143.591-131.02118.18105.81197.32333.452-33.309-108.628-169.649-197.979-242.545-228.853-196.9-197.2-181.4-163.7-129.5-79.6-58.3-67.3-72.44.67.55.73.92.52.3
Overige gereserveerde algehele resultaten -283-318-261-218-292-299.5-199.7-333.6-222.2-94.418.3-2.977-32.817-17.527-2.584-48.92660.49835.8913.04911.9565.646-0.326-10.384-3.216-1.300000000000000
Overige totale aandeelhoudersvermogen 3679611,3121,2221,137659.5632.6615.6590.7568592.1572.993619.14600.231603.223518.616502.46457.819416.194396.352399.214381.388275.375264.885149.6148.6148.2143.5141.4135.3133.545.843.846.511.14.64.64.74.6
Totaal eigen vermogen van aandeelhouders 7651,161-2,106-2,524-2,108-2,463.2-2,027-1,935.7-1,495.53.9375364.791443.714452.658619.758576.427661.215528.078386.833300.564237.152184.92624.07834.319-48.2-48.6-33.2-20.211.955.775.2-21.5-28.651.118.610.38.57.26.9
Totaal eigen vermogen 7651,332-1,956-2,395-2,004-2,463.2-2,027-1,935.7-1,495.53.9375364.791443.714452.658619.758576.427661.215528.078386.833300.564237.152184.92624.07834.319-48.2-48.6-33.2-20.211.955.775.2-21.5-28.651.118.610.38.57.26.9
Totaal passiva en aandeelhoudersvermogen 5,5526,0097,8837,9847,8097,717.87,725.37,087.47,732.29,995.24,241.92,186.9082,161.9012,151.5382,291.7922,183.2322,100.0391,759.611,172.5131,092.023962.989673.978601.952647.215165.6156.5153.5196.8241245.9183.36042.5154.137.130.72417.610.7