Nabors Industries Ltd.

NYSE:NBR

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

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,057.487451.025991.471472.246435.99447.766336.997264.093254.53501.149389.915524.922539.489801.19927.815442.087531.306700.549565.001384.709579.737414.051198.443197.31280.616.73.995.91222.463.114.81520.86.713.36.35.250.1
Kortetermijnbeleggingen 12.6911.290.0179.516.50634.03628.36931.10920.05935.02117.218253.282140.914159.488163.036142.158235.745439.467858.524428.342339.936457.6343.169353.64131.100000000000000
Liquide middelen en kortetermijnbeleggingen 1,070.178452.315991.488481.746452.496481.802365.366295.202274.589536.169507.133778.204539.489801.191,090.851584.245767.0511,140.0161,423.525813.051919.673871.651541.612550.953111.716.73.995.91222.463.114.81520.86.713.36.35.250.1
Nettovorderingen 347.837327.397287.572362.977453.042756.32698.477508.355784.6711,517.5031,399.5431,382.6231,576.5551,116.51724.041,160.7681,039.2381,109.738822.104540.103410.487277.735361.086350.302205.6174.3245172.7132.5109.788.853.646.852.112.410.16.8716.5
Voorraad 147.798127.947126.448160.585176.341165.587166.307103.595153.824230.067209.793251.133272.852158.836100.819150.118133.786100.48751.29228.65323.28920.52418.51518.02925.825.721.418.514.114.82020.911.85.91.60000
Overige vlottende activa 79.865220.911222.188270.18340.598343.191346.441275.614340.959541.735603.89588.173570.77695.231,471.824243.379252.28116.534121.191159.568125.756199.998109.73399.034118.248.835.541.424.813.216.312.39.54.24.13.537.86.4
Totaal vlottende activa 1,645.6781,000.6231,517.8091,131.4651,248.6661,593.5631,447.3361,155.8391,475.8972,741.8742,753.833,132.8573,088.3142,612.932,195.8642,166.5932,205.1122,504.8562,617.3081,580.9741,515.6471,369.9081,030.9461,018.318461.3265.5305.8328.5183.4160.1188.2101.683.18324.826.916.12073
Niet-vlottende activa:
Materiële vaste activa, netto 2,898.7283,026.13,332.4983,985.7074,930.5495,467.876,109.5656,267.5837,027.8028,599.1258,597.8138,712.0888,629.9467,815.4197,646.057,282.0426,689.1265,410.1013,886.9243,275.4952,990.7922,781.052,433.2471,821.3921,669.51,127.2861.4511.2383.7230.4230.8199.2168.499.337.623.933.499.8106.6
Goodwill 000028.38183.914173.226166.917166.659173.928512.964472.326501.258494.372164.265175.749368.432362.269341.93900000000000000000000
Immateriële activa 000028.38183.914173.226166.917166.659000000000341.939327.225336.027306.762199.048192.181169.100000000000000
Goodwill en immateriële activa -315.488-284.841-281.523028.38183.914173.226166.917166.659173.928512.964472.326501.258494.372164.265175.749368.432362.269341.939327.225336.027306.762199.048192.181169.100000000000000
Langetermijnbeleggingen 315.488284.841281.5230-305.844-345.091-419.0030.893415.17761.05767.49665.959382.145308.023407.49239.952236.253513.269222.80200000000000000000000
Belastingvorderingen 238.871257.32258.631247.171305.844345.091419.0039.49529.326118.23121.316110.48127.87431.51125.16328.08312.75738.081199.19600000000000000000000
Overige niet-vlottende activa 494.688445.811416.426139.085553.063608.597671.857586.288422.979185.728106.392162.312182.603384.315125.058575.563591.702313.727-37.762678.915760.226606.152488.674104.97798.157.56731.616.428.57.88.61126.85.64.80.50.30.3
Totaal niet-vlottende activa 3,632.2873,729.2314,007.5554,371.9635,511.9926,260.3816,954.6487,031.1768,061.9439,138.0689,405.9819,523.1659,823.8269,033.6398,468.0268,301.3897,898.276,637.4474,613.0994,281.6354,087.0453,693.9643,120.9692,118.551,936.71,184.7928.4542.8400.1258.9238.6207.8179.4126.143.228.733.9100.1106.9
Totaal activa 5,277.9654,729.8545,525.3645,503.4286,760.6587,853.9448,401.9848,187.0159,537.8411,879.94212,159.81112,656.02212,912.1411,646.56910,663.8910,467.98210,103.3829,142.3037,230.4075,862.6095,602.6925,063.8724,151.9153,136.8682,3981,450.21,234.2871.3583.5419426.8309.4262.5209.16855.650120.1179.9
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 294.442314.041253.748220.922295.159392.843363.416264.578271.984780.06545.512499.01782.753355.282226.423424.908348.524459.179336.589211.6128.84109.163131.821139.16280.358.586.16553.926.737.316.317.58.500000
Kortlopende schulden 635.0446.7845.4228.30513.4790.5610.1810.2976.5086.1910.1850.364275.3261,379.0180.163225.037000767.912804.55299.385492.9852.513.5543.685.9431841.811.111.823.28.75.94.76.60.40.30.2
Belastingschulden 95.57767.61153.2238.75946.153.9654.9330.2385.232111.666135.41592.21872.36225.78835.699111.52897.093100.22323.61900000000000000000000
Uitgestelde opbrengsten 29.23337.80859.81661.47389.051149.266218.37255.626340.472298.345202.918148.165172.578-355.282-226.423367.393348.515019.542171.234160.745133.406168.0220000000000000000
Overige kortlopende verplichtingen 255.262237.757206.242224.769258.859289.407337.509301.433387.535482.88552.809484.843571.905775.362608.459111.52897.093395.181228.41311.9329.40315.927.777136.463181.6100105.973.454.938.331.226.241.637.511.71110.811.621.1
Totaal kortlopende verplichtingen 1,213.981596.39525.228515.469656.548832.077919.476821.9341,006.4991,567.4751,311.4241,132.3821,802.5622,154.38608.6221,128.8591,494.132854.361,352.4561,199.316598.373751.454330.13279.179265.5244.4235156.4150.676.180.365.767.851.916.417.611.211.921.3
Langlopende verplichtingen:
Langetermijnschulden 2,511.5192,537.543,262.7952,968.7013,333.223,585.8844,027.7663,578.3353,655.24,348.8593,904.1174,379.3364,348.493,064.1263,940.6053,887.7113,306.4334,004.0741,251.7511,201.6861,985.5531,614.6561,567.616854.777482.6217229.5229.551.557.568.946.851.937.85.91.614.84212.9
Uitgestelde opbrengsten niet-vlottend 02.858-2.773-1.576-3.149-3,049.525-10.338-9.495-29.326-443.003-446.973-530.147-728.737-770.247-673.427000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 1.3662.8582.7731.5763.1496.31110.3389.49529.326443.003516.161599.335797.925770.247673.427497.415541.982584.472716.645385.877372.824402.054285.40197.2979372.228.318.440.802.32.32.61.21.41.16.56.5
Overige niet-vlottende verplichtingen 270.014374.813343.12319.61295.3333,324.01311.971531.951582.2731,044.819893.9051,117.9991,090.6831,085.2932.684261.878246.714162.744151.415146.337155.667137.253110.90299.14786.849.113.69.28.67.89.99.8013.6-0.10.149.81.8144.8
Totaal niet-vlottende verplichtingen 2,782.8992,918.0693,605.9153,288.3113,628.5533,866.684,339.7374,110.2864,237.4735,393.6784,867.215,566.5235,508.3614,149.3264,873.2894,647.0044,095.1294,751.292,119.8111,733.92,514.0442,153.9631,963.9191,051.221662.4338.3271.4257.164.166.178.858.954.25473.165.750.3164.2
Totaal passiva 3,996.883,514.4594,131.1433,803.784,285.1014,698.7575,259.2134,932.225,243.9726,961.1536,178.6346,698.9057,310.9236,303.7065,481.9115,775.8635,589.2615,605.653,472.2672,933.2163,112.4172,905.4172,294.0491,330.4927.9582.7506.4413.5214.7142.2159.1124.6122105.923.420.776.962.2185.5
Eigen vermogen:
Preferente aandelen 0000.0050.0060.006000069.18869.18869.18869.1880000000000000000000000000
Gewone aandelen 0.5270.5250.4660.4190.4160.410.3680.3340.3310.3280.3240.3190.3170.3150.3140.3120.3050.2990.1580.150.1470.14514.77114.71513.700000000000000
Ingehouden winsten -1,886.226-1,841.153-1,537.988-946.1-104.775650.8421,423.1542,033.4273,131.1343,573.1724,213.2124,120.3983,956.3643,707.8813,613.1863,910.2533,359.082,473.3731,989.5261,422.641,120.183927.9551,001.079643.629506.3478.6312.3200.2138.186.893.959.635.515.85.41.9-77.58.1-48.1
Overige gereserveerde algehele resultaten -10.832-11.038-10.634-11.124-11.788-29.32511.185-12.119-47.59377.522307.592431.595321.264342.052292.70653.52322.635201.261177.331148.22999.583-3.2433.267.094-3.80-315.6-250.9-212.4-172.7-140.6-126.4-114.6-107.1-117.3-131.8-189.3-122.3-113
Overige totale aandeelhoudersvermogen 2,223.1452,220.6222,138.8122,108.1842,098.9522,078.9171,477.1091,225.3831,198.8381,257.5971,378.771,323.4291,240.6821,208.7261,261.45728.034832.101861.721,591.1251,358.3741,270.3621,233.598838.7561,141.03953.9388.9731.1508.5443.1362.7314.4251.6219.6194.5156.5164.8239.9172.1155.5
Totaal eigen vermogen van aandeelhouders 326.614368.956590.6561,151.3841,982.8112,700.852,911.8163,247.0254,282.714,908.6195,969.0865,944.9295,587.8155,328.1625,167.6564,692.1194,514.1213,536.6533,758.142,929.3932,490.2752,158.4551,857.8661,806.4681,470.1867.5727.8457.8368.8276.8267.7184.8140.5103.244.634.9-26.957.9-5.6
Totaal eigen vermogen 1,281.0851,215.3951,394.2211,699.6482,475.5573,155.1873,142.7713,254.7954,293.8684,918.7895,981.1775,957.1175,601.2175,342.8635,181.9794,692.1194,514.1213,536.6533,758.142,929.3932,490.2752,158.4551,857.8661,806.4681,470.1867.5727.8457.8368.8276.8267.7184.8140.5103.244.634.9-26.957.9-5.6
Totaal passiva en aandeelhoudersvermogen 5,277.9654,729.8545,525.3645,503.4286,760.6587,853.9448,401.9848,187.0159,537.8411,879.94212,159.81112,656.02212,912.1411,646.56910,663.8910,467.98210,103.3829,142.3037,230.4075,862.6095,602.6925,063.8724,151.9153,136.8682,3981,450.21,234.2871.3583.5419426.8309.4262.5209.16855.650120.1179.9