National Instruments Corporation

NASDAQ:NATI

59.99 (USD) • At close October 10, 2023
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 139.64489.315143.659162.151155.05752.41182.73495.262126.33380.51390.137-5.151109.11617.08584.827107.03372.70861.51748.6133.36831.40536.40255.15745.837.433.625.517.4
Afschrijvingen & Amortisatie 90.70799.40287.06473.54170.66772.69573.3974.0970.20667.97458.68649.89737.87238.36537.10336.60534.18128.55325.59224.77420.74816.80216.3451311.68.79.27
Uitgestelde Inkomstenbelasting -71.59-15.7967.089-12.68-11.738-5.774-5.439.3615.886-4.3531.853-8.5813.6681.45-4.475-17.185-0.3393.219-0.8252.329-0.2072.186-0.8320.21.5-3.1-0.8-3.5
Aandelen Gebaseerde Vergoedingen 78.61574.58358.37651.43837.61629.14525.83224.57225.75928.99227.79623.21918.79520.2990000000002.101.400
Verandering in Werkkapitaal -160.939-110.0244.332-23.20322.97875.96518.171-39.586-31.836-1.195-43.75816.443-24.29741.256-14.2786.129-18.895-7.459-13.074-1.224-4.6481.763-15.674-14-4.7-8.35.4-6
Vorderingen -116.515-75.492-17.26-7.1938.446-15.269-12.441-11.76-21.6496.82-26.007-21.957-22.92317.59100000000000000
Voorraden -92.021-90.487.617-6.773-10.64210.154-8.412-8.381-0.943-1.563-36.154-11.817-30.9320.843-24.578-5.537-14.311-4.572-15.230.434-6.640.685-7.131-9-0.6-4.33.3-5.4
Crediteuren -14.36131.303-0.014.034-3.9761.584-2.17-9.0031.989-8.60423.4195.5739.63-7.37400000000000000
Overig Werkkapitaal 61.95824.64953.985-13.27129.1579.49641.194-10.442-11.2332.152-5.01644.64419.92610.19610.311.666-4.584-2.8872.156-1.6581.9921.078-8.543-5-4.1-42.1-0.6
Overige Niet-Contante Posten -33.4735.719-159.753-26.842001.143-1.934-2.484-4.814-4.39688.921-0.09618.64618.64114.7910.2362.225.3293.8491.835001.70.21.610
Kasstroom uit Operationele Activiteiten 42.964143.203180.767224.405274.58224.442195.84162.732195.106169.524132.516169.899145.058135.651121.818147.37297.89188.0565.63263.09649.13357.15354.99646.74632.540.314.9
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -52.139-45.19-55.147-71.131-54.266-74.302-78.626-68.151-73.559-67.861-102.684-71.93-48.307-38.032-38.268-39.574-28.988-15.383-12.596-17.983-30.817-65.274-27.631-22.5-29.5-22-6.8-16.2
Netto Overnames -31.332-238.536-344.742-13.67-5.5340-0.549-125.7100-25.481-73.558-4.2180-17.3100-63.8910.68000000000
Aankoop van Beleggingen 045.19-206.33-185.267-313.726-87.735-39.097-29.649-123.849-70.354-188.098-257.449-126.691-93.087-9.061-87.586-244.238-124.227-125.954-143.991-134.434-149.505-97.685-269-52.2-48.4-68.8-70.2
Verkoop/verval van Beleggingen 060.297384.652219.628163.5339.62747.769145.02389.83580.371238.436166.10482.67219.20486.179143.938213.894154.773116.789116.402122.218127.608101.685234.854.146.357.632.5
Overige Investeringsactiviteiten 0-45.19160.26632.4920-74.302-78.626-68.151-73.559-67.861-102.684-71.93-48.307-38.032-2.784-2.2420-17.668-7.377-18.561-8.75-4.903-6.93-2.2-2.7-4.1-2.8-1.1
Kasstroom uit Investeringsactiviteiten -83.471-223.429-61.301-17.948-209.996-122.41-70.503-78.487-107.573-57.844-77.827-236.833-96.544-111.91518.75614.536-59.332-66.396-29.138-64.133-51.783-92.074-30.561-58.9-30.3-28.2-20.8-55
Financieringsactiviteiten:
Schuldaflossingen -524.25-98.75-91.2500-25-27-1700000000000000000000
Uitgifte van Gewone Aandelen 31.81532.51831.94733.19131.60129.09428.90727.78531.27739.31930.90232.90551.85221.66631.1536.4637.14623.22216.82619.4313.4248.73310.717.34.52.91.939.6
Terugkoop van Gewone Aandelen -151.83-55-48.713-171.31600-5.635-75.2550000-41.862-34.579-103.641-79.728-16.519-49.452-16.0640-19.6230000000
Uitgekeerde Dividenden -147.835-143.113-136.545-131.855-121.537-109.551-102.897-97.643-76.285-69.821-68.401-47.961-40.618-37.308-34.735-27.052-19.034-15.776-14.486-5.18700000000
Overige Financieringsactiviteiten 765.652298.007188.107-0.837-0.907-0.84215.44254.9671.242-12.9112.1985.1510.096-1.451.2132.9644.27100000-5.177-1.4-0.8-4.7-34.7
Kasstroom uit Financieringsactiviteiten -26.44833.662-56.454-270.817-90.843-106.299-91.183-107.146-43.766-43.413-35.301-9.905-30.532-51.671-106.013-67.3565.864-42.006-13.72414.243-6.1998.7335.5335.93.7-1.8-1.144.3
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -4.352-2.5622.604-0.41-4.5199.1480000000000000000000.2-0.8-0.20.2
Netto Kasstroomverandering -71.307-49.12665.616-64.77-30.7784.88134.154-22.90143.76768.26719.388-76.83917.982-27.93534.56194.55244.423-20.35222.7713.206-8.849-26.18829.968-6.219.61.718.24.4
Kaspositie aan het Einde van de Periode 139.799211.106260.232194.616259.386290.164285.283251.129274.03230.263161.996142.608219.447201.465229.4194.839100.28755.86476.21653.44640.2449.08975.27745.351.531.930.211.9