Lumen Technologies, Inc.

NYSE:LUMN

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

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989198819871986
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 2,2341,2513544061,690488551222126128168211128172.943161.807243.32734.40225.668158.846167.215203.1813.66113.36219.03956.65.7268.48.57.29.89.811.632.64416.523.724
Kortetermijnbeleggingen 00000000000000000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 2,2341,2513544061,690488551222126128168211128172.943161.807243.32734.40225.668158.846167.215203.1813.66113.36219.03956.65.7268.48.57.29.89.811.632.64416.523.724
Nettovorderingen 1,3181,4771,5441,9622,3362,6142,8152,0171,9431,9881,9771,9591,979815.279801.273230.292223.027227.346236.714232.58236.187272.992254.094307.165193185.4227.386.475.26456.242.544.42824.91814.613.4
Voorraad 20923696105105120128134144132167125-1,97932.71735.7558.8628.5586.6286.9985.3619.22910.1520.23938.53228.823.7228.26.67.14.44.53.845.45.67.16.4
Overige vlottende activa 1,2238038298083,0753,3283,6384,9402,5243,4483,7393,3963,395970.186878.46572.92626.41230.47520.45814.69114.3429.09912.57811.7687.711.48.26.252.92.13.31.51.31.30.60.60.8
Totaal vlottende activa 4,7755,42011,5363,1764,7683,8204,1945,1622,6503,5763,9073,6073,5231,143.1291,040.272555.407292.399290.117423.016419.847462.939295.902300.273376.504286.1226.2283.5109.295.381.272.560.161.365.975.640.74644.6
Niet-vlottende activa:
Materiële vaste activa, netto 19,75819,16620,89526,33827,76526,21926,85217,03918,06918,43318,64619,03219,4368,754.4769,097.1392,895.8923,108.3763,109.2773,304.4863,341.4013,455.4813,531.6452,999.5632,959.2932,256.52,351.52,258.61,1491,047.8947.1827.8675.9535491474.2400.8380.3364.2
Goodwill 1,96412,65715,98618,87021,53428,05930,40919,65020,74220,75520,67421,69121,72410,260.6410,251.7584,015.6744,010.9163,431.1360003,427.2812,471.484000000000000000
Immateriële activa 5,4706,1666,9708,2199,56710,77912,7734,3285,4836,5407,7378,84711,4561,879.8532,090.241787.222003,432.6493,433.8643,425.001503.77502,509.0331,644.91,956.71,767.4532.4493.7441.4297.2217.7114.300000
Goodwill en immateriële activa 7,43418,82322,95627,08921,53428,05930,40919,65020,74220,75520,67421,69133,18012,140.49312,341.9994,802.8964,010.9163,431.1363,432.6493,433.8643,425.0013,931.0562,471.4842,509.0331,644.91,956.71,767.4532.4493.7441.4297.2217.7114.300000
Langetermijnbeleggingen -3,12712-129-3,342-2,918-2,527-2,413-3,471-3,569-880-1,165-891-9,217-1,879.853-2,090.24100000000000000000000000
Belastingvorderingen 3,127-121293,3422,9182,5272,4133,4713,5698801,1658911,02681.34183.31900000000000000000000000
Overige niet-vlottende activa 2,0512,1722,6062,79110,67512,14414,0965,1666,1437,3838,5609,6428,1911,798.5122,006.9220772.862610.477602.556601.841552.43111.805547.364548.46517.9401.1399.9237.9225.6173.6121.986.853.9149.5141.856.348.552.3
Totaal niet-vlottende activa 29,24340,16146,45756,21859,97466,42271,35741,85544,95446,57147,88050,36552,61620,894.96921,439.1387,698.7887,892.1547,150.897,339.6917,377.1067,432.9137,474.5066,018.4116,016.7864,419.34,709.34,425.91,919.31,767.11,562.11,246.9980.4703.2640.5616457.1428.8416.5
Totaal activa 34,01845,58157,99359,39464,74270,24275,55147,01747,60450,14751,78753,97256,13922,038.09822,479.418,254.1958,184.5537,441.0077,762.7077,796.9537,895.8527,770.4086,318.6846,393.294,705.44,935.54,709.42,028.51,862.41,643.31,319.41,040.5764.5706.4691.6497.8474.8461.1
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,1349507581,1341,7241,9331,5551,1799681,2261,1111,2071,399299.619394.687135.086178.018129.35104.444141.618113.27464.82587.439127.28778.587.683.460.555.352.349.534.618.413.811.9000
Kortlopende schulden 2684981,9392,8062,3006524431,5031,5035507851,20548011.583500.06520.407279.898178.012276.736249.61772.45370.7371,008.834425.96262.15355.219.929.5170.783.442.128.137.529.122.115.718.1
Belastingschulden 2511,15822831431133737030131830933935638300054.233000000000000000000000
Uitgestelde opbrengsten 647596617753804832892672743726737642580190.443182.37456.5757.63751.614316.133249.523241.044210.658157.969000000000000000
Overige kortlopende verplichtingen 1,4852,7593,8551,9412,4302,0301,9641,9951,3901,4161,7761,5411,560509.397661.65246.327220.982258.58948.91750.8644.61241.88439.714190.121168.6164.2183.463.755.163.746.34429.531.926.94240.330.8
Totaal kortlopende verplichtingen 3,5344,8037,1696,6347,2585,4474,8545,3494,6043,9184,4094,5954,0191,011.0421,738.776458.39736.535617.565746.23691.618471.383388.1041,293.956743.37309.2304.8322144.1139.9286.7179.2120.77683.267.964.15648.9
Langlopende verplichtingen:
Langetermijnschulden 19,83120,41827,42829,41032,39435,40937,28318,18518,72220,12120,18119,40021,3567,316.0047,253.6533,294.1192,734.3572,412.8522,376.072,762.0193,109.3023,578.1322,087.53,050.2922,078.32,5582,609.5625.9622.9518.6460.9391.9254.8230.7257.7180.1181.6194.7
Uitgestelde opbrengsten niet-vlottend 1,9691,7583,7104,5565,936-34,519-2,413-3,471-3,569-4,030-4,753-3,6444,855389.198392.939-1,338.4460000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 3,1273,1634,0493,3422,9182,5272,4133,4713,5694,0304,7533,6443,8232,368.6982,256.5791,338.446810.571673.06100000000000060.139.18783.880.472.767.356.2
Overige niet-vlottende verplichtingen 5,1405,0023,7974,2902,76641,5509,98510,08410,21811,08510,00610,6881,2591,305.9971,370.6641,338.446486.067537.3521,023.134933.551836.651716.168599.848567.549469.9541.2477.6230.4211.1187.8105.4103.326.727.727.528.525.232.7
Totaal niet-vlottende verplichtingen 30,06730,34138,98441,59844,01444,96747,26828,26928,94031,20630,18730,08831,29311,379.89711,273.8354,632.5654,030.9953,623.2653,399.2043,695.573,945.9534,294.32,687.3483,617.8412,548.23,099.23,087.1856.3834706.4626.4534.3368.5342.2365.6281.3274.1283.6
Totaal passiva 33,60135,14446,15348,23251,27250,41452,12233,61833,54435,12434,59634,68335,31212,390.93913,012.6115,090.9554,767.534,240.834,145.4344,387.1884,417.3364,682.4043,981.3044,361.2112,857.43,4043,409.11,000.4973.9993.1805.6655444.5425.4433.5345.4330.1332.5
Eigen vermogen:
Preferente aandelen 00000000000000.2360.2360.2366.9717.457.857.9757.9757.9757.9757.97588.18.1102.32.30.50.50.50.51.6000
Gewone aandelen 1,0081,0021,0241,0971,0901,0801,069547544569584626619304.948299.189100.277108.492113.254131.074132.374144.364142.956141.233140.667139.90000000000000
Ingehouden winsten -17,907-7,546-5,998-8,031-6,814-1,6431,103-1272147661,2852,3193,302.4693,232.7693,146.2553,245.3023,150.9333,358.1623,055.5452,750.1622,437.4721,666.0041,351.6261,147932.6728494.7387.4292208.9155.7125.5101.583.373.360.747.7
Overige gereserveerde algehele resultaten -810-1,099-2,158-2,813-2,680-2,461-1,995-2,117-1,934-2,017-802-1,701-1,012-141.153-85.306-123.489-42.707-104.942-9.619-8.334-0.5-38.203-2.521.97159.7-1,938.2-1,586.9-536.7-39.2-367.1-342.7-328.5-16.1-243.9-221.7-179.2-148.4-138.8
Overige totale aandeelhoudersvermogen 18,12618,08018,97220,90921,87422,85223,25214,97015,17816,32417,34319,07918,9016,180.6596,019.91139.96191.14724.256129.806222.205576.515537.804524.668509.84493.42,5292,151.11,060.1538723647.1557.8210.1422.9394.9258.3232.4219.7
Totaal eigen vermogen van aandeelhouders 41710,43711,84011,16213,47019,82823,42913,39914,06015,02317,19119,28920,8279,647.1599,466.7993,163.243,409.2053,190.9513,617.2733,409.7653,478.5163,088.0042,337.382,032.0791,8481,531.51,300.31,028.1888.5650.2513.8385.5320281258.1152.4144.7128.6
Totaal eigen vermogen 41710,43711,84011,16213,47019,82823,42913,39914,06015,02317,19119,28920,8279,653.0779,472.6593,163.243,417.0233,200.1773,617.2733,409.7653,478.5163,088.0042,337.382,032.0791,8481,531.51,300.31,028.1888.5650.2513.8385.5320281258.1152.4144.7128.6
Totaal passiva en aandeelhoudersvermogen 34,01845,58157,99359,39464,74270,24275,55147,01747,60450,14751,78753,97256,13922,038.09822,479.418,254.1958,184.5537,441.0077,762.7077,796.9537,895.8527,770.4086,318.6846,393.294,705.44,935.54,709.42,028.51,862.41,643.31,319.41,040.5764.5706.4691.6497.8474.8461.1