Match Group, Inc.

NASDAQ:MTCH

31.69 (USD) • At close January 14, 2025
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199519941993
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 862.44572.395815.384739.164465.6762,131.6321,630.8091,329.1871,481.447990.4051,100.444749.977704.153742.0991,245.9971,744.9941,585.3021,428.14987.08999.698899.0623,077.41978.377244.223423.2445.411642.622.2129.9
Kortetermijnbeleggingen 6.28.72311.818019.993123.6654.99589.34239.2160.6486.00420.604165.695563.997487.591125.592326.788897.7421,488.0582,409.7452,419.735849.762171.464127.1020000000
Liquide middelen en kortetermijnbeleggingen 868.64581.118827.202739.164465.6762,255.2971,635.8041,418.5291,520.6471,151.0531,106.448770.581869.8481,306.0961,733.5881,870.5861,912.092,325.8822,475.1383,409.4433,318.7973,927.1721,149.841371.325423.2445.411642.622.2129.9
Nettovorderingen 298.648191.94188.482137.023116.459359.138304.027220.138250.077236.086207.408257.267184.758119.581101.83498.402116.67411.656487.968353.579429.424308.377384.811265.998442372.196.956.83.32.72.8
Voorraad 0000000000000000331.97325.976335.884240.917215.995192.751197.354227.92462.2421.6151.1100.5000
Overige vlottende activa 104.023109.327202.568144.0253,125.929228.253185.374204.068174.286148.749161.53128.902104.527118.308164.627215.631,065.507894.743599.6751,111.828250.76193.922653.653910.59261.128.456.748.71.70.90.5
Totaal vlottende activa 1,271.311882.3851,218.2521,020.2123,708.0642,762.7392,125.2051,842.7351,945.011,553.8811,475.3861,156.751,159.1331,543.9852,000.0492,186.7863,287.4293,812.3373,993.5285,115.7674,214.9764,622.2222,385.6591,775.8351,388.51,267.5420.7248.627.215.613.2
Niet-vlottende activa:
Materiële vaste activa, netto 290.185176.136163.256107.799101.065318.8315.17306.248302.817302.459293.964270.512259.588267.928297.412326.961651.474612.161567.408427.257473.177431.455398.987443.994356.6255.4180.112230.830.938.6
Goodwill 2,342.6122,348.3662,411.9961,270.5321,239.8392,726.8592,559.0661,924.0522,245.3641,754.9261,675.3231,616.1541,358.524989.493999.3551,910.2956,473.0146,972.6977,351.75,361.825003,075.83100000000
Immateriële activa 305.746357.747771.697230.9228.324631.422663.737355.451440.828491.936445.336482.904378.107245.044261.172386.7561,404.8971,463.9971,558.1881,054.30213,795.6577,255.9123,294.4827,461.8626,831.56,342.61,862.11,545.963.172.582.1
Goodwill en immateriële activa 2,648.3582,706.1133,183.6931,501.4321,468.1633,358.2813,222.8032,279.5032,686.1922,246.8622,120.6592,099.0581,736.6311,234.5371,260.5272,297.0517,877.9118,436.6948,909.8886,416.12713,795.6577,255.9123,294.4827,461.8626,831.56,342.61,862.11,545.963.172.582.1
Langetermijnbeleggingen 14.314.214.214.2353.052235.05564.977122.81137.386114.983179.99161.278173.752200.721272.93120.582450.318168.791122.3130-2,565.415-2,385.00664.73100000000
Belastingvorderingen 259.803276.947334.937293.487192.49664.78666.32125.339348.773409.529320.748323.403302.21300171.93297.40133.42666.67202,565.4152,385.00639.94600000000
Overige niet-vlottende activa 23.929126.983148.95109.3242,541.963134.92473.33469.238-210.228-352.836-156.063-205.173-221.452192.383184.971147.286159.987131.014257.95610,439.7143,102.7783,353.524356.045792.179676.6461.6207.9199.721.826.519.8
Totaal niet-vlottende activa 3,236.5753,300.3793,845.0362,026.2424,656.7394,111.8463,742.6052,803.1383,264.942,720.9972,759.2982,649.0782,250.7321,895.5692,015.843,063.8129,237.0919,382.0869,924.23717,283.09817,371.61211,040.8914,154.1918,698.0357,864.77,059.62,250.11,867.6115.7129.9140.5
Totaal activa 4,507.8864,182.7645,063.2883,046.4548,364.8036,874.5855,867.814,645.8735,209.954,274.8784,234.6843,805.8283,409.8653,439.5544,015.8895,250.59812,524.5213,194.42313,917.76522,398.86521,586.58815,663.1136,539.8510,473.879,253.28,327.12,670.82,116.2142.9145.5153.7
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 13.18713.69937.87129.220.19174.90776.57162.86386.88381.16377.65398.31464.39856.37538.21248.87641.957559.308573.621436.431829.979609.391398.838349.044284.6257.5185.195.4000
Kortlopende schulden 20.70314.495110.5457.14313.7513.7513.7520400015.8440000111.857357.679375.276858.7262.8524.95733.51925.45710.836.512.942.916.510.54.7
Belastingschulden 34.21638.01732.72529.618.17913.9188.419.12633.02941.15716.15917.679450.533475.685450.129403.043000096.817177.094000000000
Uitgestelde opbrengsten 211.282252.718262.131239.088218.843360.015342.483285.615258.412194.988158.206155.499126.29778.17557.82250.886171.65147.12123.26799.258180.229264.90275.25600000000
Overige kortlopende verplichtingen 256.694237.425725.023195.005739.217780.983358.514335.784350.222356.646334.879337.553-107.043-253.362-255.476-216.8011,486.8881,183.2751,161.2581,498.023768.306601.434497.11734.747736.4568.8161.7134.74.73.64.1
Totaal kortlopende verplichtingen 531.768556.3541,168.295500.0361,010.18883.558799.728713.388768.546673.954586.897624.889534.185356.873290.277286.0041,688.8122,253.1892,232.9972,892.4381,878.1811,541.4561,004.7231,173.2471,031.8862.8359.727321.214.18.8
Langlopende verplichtingen:
Langetermijnschulden 3,940.7173,933.1363,942.9543,924.4192,889.6262,245.5481,979.4691,582.4841,748.2131,0801,08058095.84495.84495.84495.844834.566856.4081,181.968796.7151,120.0971,211.145544.372552.501575775.7448.3271.497.9114.5128.2
Uitgestelde opbrengsten niet-vlottend 032.63113.84214.5820-1,820.47625.62433.52833.69232.635416.384479.945450.533000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 26.30232.631130.26117.21318.28523.635.07228.798348.773409.529320.748323.403302.2130450.1290938.7861,129.9941,265.532,130.3862,565.4152,385.006210.18498.3785.100014.514.310.3
Overige niet-vlottende verplichtingen 28.17219.52416.3617.521503.867127.99163.853306.50498.202487.355474.777511.77516.601555.90423.633418.443438.213160.9580.9281,953.3831,496.5111,519.542128.382392.736379.5483.643.257000
Totaal niet-vlottende verplichtingen 3,995.1913,985.2914,089.5753,959.1533,411.7782,373.5392,078.3921,888.9882,195.1881,567.3551,875.5251,415.178865.191651.748569.606514.2872,211.5652,147.362,448.4264,880.4845,182.0235,115.693882.9381,043.615959.61,259.3491.5328.4112.4128.8138.5
Totaal passiva 4,526.9594,541.6455,257.874,459.1894,421.9583,257.0972,878.122,602.3762,963.7342,241.3092,462.4222,040.0671,399.3761,008.621859.883800.2913,900.3774,400.5494,681.4237,772.9227,060.2046,657.1491,887.6612,216.8621,991.42,122.1851.2601.4133.6142.9147.3
Eigen vermogen:
Preferente aandelen 00000000000000000000.1310.1310.131000000000
Gewone aandelen 0.290.2870.2830.2670.2790.2780.2770.2720.270.2680.2670.2670.250.2420.2390.2260.4490.4420.4313.8086.9514.4983.7773.6853.3000000
Ingehouden winsten -7,131.029-7,782.568-8,144.514-8,422.2371,689.9251,258.794595.038290.114331.394325.118-32.735-318.519-477.785-652.018-751.377227.445567.82320.711128.0762,428.762,276.9522,122.611181.267-202.341-54.4-26.7-103.6-116.7-107.2-107.4-103.5
Overige gereserveerde algehele resultaten -385.471-369.182-223.754-81.454-136.349-128.722-103.568-166.123-152.103-87.7-13.046-32.169-12.44317.54624.5032.1839.81471.50721.07576.05331.89810.699-16.603-15.823-0.2000000
Overige totale aandeelhoudersvermogen 7,496.6627,791.5888,164.2167,157.8961,374.1871,712.7751,938.2811,744.9591,624.9651,754.2671,732.252,006.1492,395.0273,065.1633,854.4614,197.6857,975.8038,346.8149,081.24612,096.55212,099.6535,793.5243,777.063,654.352,820.92,598.11,5511,275.4116.5110109.9
Totaal eigen vermogen van aandeelhouders -19.548-359.875-203.769-1,414.4172,928.0422,843.1252,430.0281,869.2221,804.5261,991.9531,686.7361,655.7281,905.0492,430.9333,127.8264,427.5368,583.6628,768.9939,230.82814,605.30414,415.5857,931.4633,945.5013,439.8712,769.72,571.41,447.41,158.79.32.66.4
Totaal eigen vermogen -19.073-358.881-194.582-1,412.7353,942.8453,617.4882,989.692,043.4972,246.2162,033.5691,772.2621,765.7612,010.4892,490.8023,156.0064,450.3078,624.1438,793.8749,236.34214,625.94314,526.3849,005.9644,652.1898,257.0087,261.86,2051,819.61,514.89.32.66.4
Totaal passiva en aandeelhoudersvermogen 4,507.8864,182.7645,063.2883,046.4548,364.8036,874.5855,867.814,645.8735,209.954,274.8784,234.6843,805.8283,409.8653,439.5544,015.8895,250.59812,524.5213,194.42313,917.76522,398.86521,586.58815,663.1136,539.8510,473.879,253.28,327.12,670.82,116.2142.9145.5153.7