Microsoft Corporation

NASDAQ:MSFT

415 (USD) • At close November 15, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 88,13672,36172,73861,27144,28139,24016,57121,20416,79812,19322,07421,86316,97823,15018,76014,56917,68114,06512,59912,2548,1689,9937,8297,3469,4217,7854,4903,4542,1951,4531,146953708.1462.7279.2170.5
Afschrijvingen & Amortisatie 22,28713,86114,46011,68612,79611,68210,2618,7786,6225,9575,2123,7552,9672,7662,6732,5622,0561,4409038551,1861,4391,0841,5367481,0101,024557480269237151112.375.846.324.2
Uitgestelde Inkomstenbelasting -4,738-6,059-5,702-150-3,620-3,53413,040-3,296-448224-331-199542-220762935421219-179-1,479336-416-420000000000000
Aandelen Gebaseerde Vergoedingen 10,7349,6117,5026,1185,2894,6523,9403,2662,6682,5742,4462,4062,2442,1661,8911,7081,4790000000000000000000
Verandering in Werkkapitaal 1,824-2,388446-9362,1489372,28469,36355,77646,58544,94942,87835,930-3,003661-178-2,435-961-2,397-1,0921,9632,2731,992298-1,5871,3951,0706781,044268210-3086.619.3-47.227.8
Vorderingen -7,191-4,087-6,834-6,481-2,577-2,812-3,862-925-5301,456-1,120-1,807-1,156-1,451-2,2382,215-1,5690000000000000000000
Voorraden 1,2841,242-1,123-737168597-46550600-272-161-802184-5610000000000000001523-51-408.1-15.614.7
Crediteuren 3,545-2,7212,9432,7983,0182321,1488188-1,054473537-31580000000000000000000000
Overig Werkkapitaal 4,1863,1785,4603,4841,5392,9205,46370,15755,61846,45545,75744,95036,933-1,0492,899-2,393-866-961-2,397-1,0921,9632,2731,992298-1,5871,3951,0706781,04425318721126.611.2-31.613.1
Overige Niet-Contante Posten 305196-409-1,249-219-792-2,212-59,808-48,091-38,453-42,119-42,050-27,4471,913308-3861,8963,1231,6261,2664,7881,7564,0204,6625,379-1602960000000.100
Kasstroom uit Operationele Activiteiten 118,54887,58289,03576,74060,67552,18543,88439,50733,32529,08032,23128,83331,62626,99424,07319,03721,61217,79614,40416,60514,62615,79714,50913,42213,96110,0306,8804,6893,7191,9901,5931,074907557.9278.3222.5
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -44,477-28,107-23,886-20,622-15,441-13,925-11,632-8,129-8,343-5,944-5,485-4,257-2,305-2,355-1,977-3,119-3,182-2,264-1,578-812-1,109-891-770-1,103-879-583-656-499-494-495-278-236-316.6-264.4-158.1-89.4
Netto Overnames -69,132-1,670-22,038-8,909-2,521-2,388-888-25,944-1,393-3,723-5,937-1,584-10,112-71-245-868-8,053-1,150-649-207-4-1,0630000-190000000000
Aankoop van Beleggingen -17,732-37,651-26,456-62,924-77,190-57,697-137,380-176,905-129,758-98,729-72,690-75,396-57,250-35,993-31,670-37,780-20,954-36,308-51,117-68,045-92,495-89,621-89,386-66,346-43,158-36,441-4,828-921-1,551-651-860-723-284.3-76.6-94.5-15.7
Verkoop/verval van Beleggingen 35,66947,86444,89465,80084,17058,237143,937164,394115,34185,86165,36657,59445,27523,80322,57825,99727,72946,18758,23084,09190,86384,36279,31158,71532,11025,7540000000000
Overige Investeringsactiviteiten -1,298-3,116-2,825-922-1,241540-98-197203-466-87-168-3940-1,502-930-127-3763,11700000079-1,598-1,669-625-230-64-17-40.7-39.7-18.1-39.9
Kasstroom uit Investeringsactiviteiten -96,970-22,680-30,311-27,577-12,223-15,773-6,061-46,781-23,950-23,001-18,833-23,811-24,786-14,616-11,314-15,770-4,5876,0898,00315,027-2,745-7,213-10,845-8,734-11,927-11,191-7,272-3,089-2,670-1,376-1,202-976-641.6-380.7-270.7-145
Financieringsactiviteiten:
Schuldaflossingen 575-2,750-9,023-3,750-5,518-4,000-10,20131,45911,0889,1806,4623,53705,9601905,7460000000000000000-11.112.9-19.65.2
Uitgifte van Gewone Aandelen 2,0021,8661,8411,6931,3431,1421,0027726686346079311,9132,4222,3115793,4946,7822,1013,1092,7482,1201,4971,6202,7172,1161,4971,819504332431436265.1179.7109.86.3
Terugkoop van Gewone Aandelen -17,254-22,245-32,696-27,385-22,968-19,543-10,721-11,788-15,969-14,443-7,316-5,360-5,029-11,555-11,269-9,353-12,533-27,575-19,207-8,057-3,383-6,486-6,069-7,441-4,896-2,950-2,468-3,101-1,261-649-348-250-135-197-46.70
Uitgekeerde Dividenden -21,771-19,800-18,135-16,521-15,137-13,811-12,699-11,845-11,006-9,882-8,879-7,455-6,385-5,180-4,578-4,468-4,015-3,805-3,545-36,112-1,729-85700-13-28-28-1500000000
Overige Financieringsactiviteiten -1,309-1,006-863-2,523-3,751-675-971-1906,8264,84373219993-2355331205489-1800023503,1071,5537963521790000.1014
Kasstroom uit Financieringsactiviteiten -37,757-43,935-58,876-48,486-46,031-36,887-33,5908,408-8,393-9,080-8,394-8,148-9,408-8,376-13,291-7,463-12,934-24,544-20,562-41,078-2,364-5,223-4,572-5,586-2,1922,245554-501-405-13883186119-4.343.525.5
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -210-194-141-29-201-1155019-67-73-139-8-104103-39-671375618-727612-262952-296-59-10-62-10.1-22.8-1.1
Netto Kasstroomverandering -16,38920,773-2936482,220-5904,2831,153915-3,0744,865-3,134-2,6724,105-571-4,2634,228-6031,863-9,4539,5443,422-906-924-1291,1361331,105639485464222374.3170.953.9101.9
Kaspositie aan het Einde van de Periode 18,31534,70413,93114,22413,57611,35611,9467,6636,5105,5958,6693,8046,9389,6105,5056,07610,3396,1116,7144,85115,9826,4383,0163,9224,8464,9753,8393,7062,6011,9621,4771,013791.5417.2246.3192.4