LPL Financial Holdings Inc.

NASDAQ:LPLA

338.25 (USD) • At close January 15, 2025
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 465.671847.519495.246808.612590.209511.096811.136747.709724.529412.332516.584466.261720.772419.208378.594219.239188.003245.163
Kortetermijnbeleggingen 76.08852.6149.19214.74731.0214.992763.831768.219671.339568.93512.351577.433382.90500341.575195.8110
Liquide middelen en kortetermijnbeleggingen 541.759847.519495.246808.612590.209511.096811.136747.709724.529412.332516.584466.261720.772419.208378.594219.239188.003245.163
Nettovorderingen 2,861.661617.8452,226.744502.351611.64579.737540.437516.321829.452834.3930769.3030791.215570.846626.298670.648485.218
Voorraad 004,304.1210-25.947-9.667-11.379-8.404-7.695-13.466-8.964-8.088000000
Overige vlottende activa 2,288.5314,235.1281,711.7361,110.371,660.2861,622.9840000000373.63400195.81167.601
Totaal vlottende activa 5,691.9512,143.131,758.1211,753.551,500.6391,339.5441,574.9671,515.9281,395.868981.2621,028.9351,043.6941,103.6771,207.023947.34560.814383.814713.333
Niet-vlottende activa:
Materiële vaste activa, netto 1,026.888780.357658.841684.789635.521461.418412.684387.368275.419214.154189.059130.84791.31778.671101.584161.76156.797121.594
Goodwill 1,856.6481,642.4681,642.4431,513.8661,503.6481,490.2471,427.7691,365.8381,365.8381,365.8381,361.3611,371.5231,334.0861,293.3661,293.3661,293.3661,287.7561,249.159
Immateriële activa 671.585427.676455.028397.486439.838484.171414.093353.996392.031430.704464.522503.528537.67560.077597.083654.703684.123575.108
Goodwill en immateriële activa 2,528.2332,070.1442,097.4711,911.3521,943.4861,974.4181,841.8621,719.8341,757.8691,796.5421,825.8831,875.0511,871.7561,853.4431,890.4491,948.0691,971.8791,824.267
Langetermijnbeleggingen 192.35452.6149.19242.48758.25342.26829.71220.26621.84222.0615.81718.2917.45718.82225.81521.70425.73720.159
Belastingvorderingen 167.4598.9975.64824.1122.09818.32516.00425.61436.30366.18189.369118.24127.76660.38460.8185.169216.9030
Overige niet-vlottende activa 778.604115.79-5.648-24.112-2.098-18.325-29.712-20.266-21.842-22.06-15.817-18.29-17.457-2,141.531-2,226.256-21.704-67.723-1,966.02
Totaal niet-vlottende activa 4,693.5293,117.8982,805.5042,638.6282,637.262,478.1042,270.552,132.8162,069.5912,076.8772,104.3112,124.1382,090.839-130.211-147.6082,294.9982,303.5931,966.02
Totaal activa 10,385.489,482.2267,991.66,523.5715,880.2385,477.4685,358.7514,834.9264,517.7634,050.9934,042.8313,988.5243,816.3263,646.1673,336.9363,381.7793,287.3492,797.544
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 2,915.4763,291.311486.9921,933.388160.4381,080.2031,064.278950.081767.304657.413624.503808.159542.647478.736559.305605.627543.264359.309
Kortlopende schulden 317.2100000000120.83910.83942.913.9710090653.718
Belastingschulden 00028.14520.12932.990.4694.6078.6804.3200.906024.22612.28110.6480.969
Uitgestelde opbrengsten 156.214138.109160.92695.32882.84280.52472.22262.78565.4864.48273.73961.80859.5370036.65840.8970
Overige kortlopende verplichtingen 59.238-2,516.243128.605-1,933.388-160.438-1,080.203-1,064.278-950.081-767.304-778.252-635.342-851.059-556.618397.144292.134-695.627-608.264174.44
Totaal kortlopende verplichtingen 3,568.231596.382644.144771.297694.971129.25772.69167.39274.1664.48278.05961.80860.443422.359512.1648.93951.545328.646
Langlopende verplichtingen:
Langetermijnschulden 3,915.1432,948.3843,017.5412,592.2152,619.7452,476.3722,492.542,281.0852,248.1802,136.4891,274.9251,318.6971,372.6681,369.2231,377.6471,386.0711,344.375
Uitgestelde opbrengsten niet-vlottend 0138.109160.92695.32882.84280.52472.22262.78565.4864.48273.73961.80859.53753.61845.84436.65840.89731.113
Uitgestelde belastingverplichtingen niet-vlottend 0169.354254.662204.1412.09818.32516.00425.61436.30366.18189.369118.24127.766130.211147.608185.169216.903245.897
Overige niet-vlottende verplichtingen 823.1273,315.0042,366.0772,007.8231,088.438950.9461,740.2861,577.055747.4213,014.911116.08159.266-37.833-24.9741.877-7.331-17.225-1,621.385
Totaal niet-vlottende verplichtingen 4,738.27596.3822,974.972,687.5432,734.252,575.2214,321.0523,946.5393,731.2913,014.9112,864.8012,786.6962,411.135-190.595-208.4082,542.5282,488.6381,621.385
Totaal passiva 8,306.5017,314.6746,321.0675,208.7174,856.3654,503.3954,393.7434,013.9313,802.1533,079.3932,942.862,848.5042,471.5782,472.4122,486.0612,591.4672,540.1832,170.627
Eigen vermogen:
Preferente aandelen 03,101.0722,327.6021,943.0191,554.5671,070.146718.336569.9490000000000
Gewone aandelen 0.130.130.1290.1270.1260.1250.1230.120.1190.1180.1170.1160.110.1090.0870.0870.0860.083
Ingehouden winsten 4,085.1143,101.0722,327.6021,943.0191,554.5671,070.146718.336569.949469.13396.121313.57199.827296.802126.42183.282135.76290.26633.642
Overige gereserveerde algehele resultaten -02,167.5521,670.5331,314.8540-308.155-427.3440.3150.5530.9370.1150-0.85-4.496-11.272-15.498-6.5121.938
Overige totale aandeelhoudersvermogen -2,006.265-933.65-657.198-628.292-530.82-96.198246.549250.611245.808574.424786.169940.0771,048.6861,051.722679.277669.961664.568591.254
Totaal eigen vermogen van aandeelhouders 2,078.9792,167.5521,670.5331,314.8541,023.873974.073965.008820.995715.61971.61,099.9711,140.021,344.7481,173.755850.875790.312747.166626.917
Totaal eigen vermogen 2,078.9791,973.1582,643.5712,108.0352,196.3311,883.3341,826.8871,540.472715.61971.61,099.9711,140.021,344.7481,173.755850.875790.312747.166626.917
Totaal passiva en aandeelhoudersvermogen 10,385.489,482.2267,991.66,523.5715,880.2385,477.4685,358.7514,834.9264,517.7634,050.9934,042.8313,988.5243,816.3263,646.1673,336.9363,381.7793,287.3492,797.544