Noble Corporation

NYSE:NE

36.17 (USD) • At close September 19, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 367.794476.206194.138365.032105.921375.232662.829725.722512.24568.51114.458282.092239.196337.871735.493513.311161.05861.71121.84558.79139.467192.509
Kortetermijnbeleggingen 00000000000000000044.457132.78898.37672.957
Liquide middelen en kortetermijnbeleggingen 367.794476.206194.138365.032105.921375.232662.829725.722512.24568.51114.458282.092239.196337.871735.493513.311161.05861.71166.302191.578237.843265.466
Nettovorderingen 592.897468.802216.482189.317279.728246.518310.041374.632554.456676.586949.069743.673662.447387.414654.425658.356652.181462.432328.253205.023149.235164.613
Voorraad 00000000000000003.8144.4613.944.0134.0863.628
Overige vlottende activa 101.057106.78245.02647.93536.45837.30666.10592.26173.917183.466327.408279.56157.969105.44393.27268.67443.13841.37723.9624.66930.79531.936
Totaal vlottende activa 1,061.7481,051.79455.646602.284422.107659.0561,038.9751,192.6141,240.618928.5621,390.9351,305.3251,059.612830.7281,483.191,240.341860.191569.98522.455425.283421.959465.643
Niet-vlottende activa:
Materiële vaste activa, netto 4,148.8643,981.3011,478.73,603.7177,767.4048,480.7189,489.2410,061.94811,483.62312,112.50914,558.0913,025.97211,897.46710,048.0876,634.4525,642.5494,795.9163,858.3932,999.0192,743.622,625.8662,471.043
Goodwill 026.01600000000000000000000
Immateriële activa 10.12834.37261.8490000000000000000000
Goodwill en immateriële activa 10.12860.38861.849-9.292-68.201-91.6950-2.0840-120.589000000000000
Langetermijnbeleggingen 0.208-9.335-13.1953.1749.50822.366014014000000000000
Belastingvorderingen 11.4169.33513.1959.29268.20191.695164.9622.08492.797120.589225.455226.045242.791258.822300.2310000000
Overige niet-vlottende activa 275.073141.38577.24754.76285.479102.783101.482171.55548.607231.75143.477-226.045295.28983.684-20.977219.441219.899157.541824.893139.07141.808129.028
Totaal niet-vlottende activa 4,445.6894,183.0741,617.7963,661.6537,862.3918,605.8679,755.68410,247.50311,625.02712,358.2614,827.02213,025.97212,435.54710,390.5936,913.7065,861.995,015.8154,015.9343,823.9122,882.692,767.6742,600.071
Totaal activa 5,507.4375,234.8642,073.4424,263.9378,284.4989,264.92310,794.65911,440.11712,865.64513,286.82216,217.95714,607.77413,495.15911,221.3218,396.8967,102.3315,876.0064,585.9144,346.3673,307.9733,189.6333,065.714
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 395.165290.69120.38995.159108.208125.55763.03282.224165.221195.389347.214350.147436.006374.814197.8259.107198.395196.11193.91483.01287.17864.783
Kortlopende schulden 10.581159.7153.9231.94269.0960249.843299.882299.924000080.2130172.69810.3349.6298.9728.36147.66680.577
Belastingschulden 56.4256.98628.73536.81930.71529.38634.39146.56187.9494.23125.119135.25794.9215.38268.760000000
Uitgestelde opbrengsten 19.6799.33518.40336.81934.196034.39146.56187.94000015.38200000000
Overige kortlopende verplichtingen 216.255207.358105.67984.431305.428239.9245.758204.626310.499473.285704.701561.302391.174249.972236.147247.188284.043220.52156.449122.793109.179135.3
Totaal kortlopende verplichtingen 641.68667.098248.394218.351516.928365.457593.024633.293863.584668.6741,051.915911.449827.18720.381433.947678.993492.772426.26259.335214.166244.023280.66
Langlopende verplichtingen:
Langetermijnschulden 586.203513.0552163,988.9493,779.4993,877.4023,795.8674,040.2294,162.6384,869.025,556.2514,634.3754,071.9642,686.484750.946750.789774.182684.4691,129.325503.288541.907589.562
Uitgestelde opbrengsten niet-vlottend 74.256181.8839.35224.89630.85947.847-0000-225.4554,408.330000000000
Uitgestelde belastingverplichtingen niet-vlottend 213.7279.33513.1959.29268.20191.695164.9622.08492.797120.589225.455226.045242.791258.822300.231265.018240.621219.521227.589206.506213.357206.351
Overige niet-vlottende verplichtingen 70.331256.40885.874333.837230.039227.948290.178297.066324.396341.505559.763-4,634.375255.372268123.34121.28465.70534.0196.298.1118.2015.635
Totaal niet-vlottende verplichtingen 944.517960.681324.4214,356.9744,108.5984,244.8924,251.0074,339.3794,579.8315,331.1146,116.0144,634.3754,570.1273,213.3061,174.5171,137.0911,080.508938.0091,363.204717.904773.465801.548
Totaal passiva 1,586.1971,627.779572.8154,575.3254,625.5264,610.3494,844.0314,972.6725,443.4155,999.7887,167.9296,119.4845,397.3073,933.6871,608.4641,816.0841,573.281,364.2691,622.539932.071,017.4881,082.208
Eigen vermogen:
Preferente aandelen 00000000000115.4490000000000
Gewone aandelen 0.0010.0010.0012.5112.4922.4682.452.4322.422.4752.534710.13766.595917.6841,130.60726.1926.82213.45913.70113.44113.38913.353
Ingehouden winsten 541.159255.93101.982-1,070.6832,907.7763,608.3664,637.6775,154.2216,131.5015,936.0357,591.9277,066.0236,676.4446,630.55,855.7374,919.6673,602.872,446.0561,736.0151,452.9741,306.8881,140.472
Overige gereserveerde algehele resultaten 3.0323.6475.389-58.012-58.389-57.072-42.888-52.14-63.175-69.418-82.164-115.449-74.321-50.22-54.881-57.257-5.067-19.876-42.452-8.633-7.971-19.163
Overige totale aandeelhoudersvermogen 3,377.0483,347.5071,393.255814.796807.093699.409678.922654.168628.483695.638810.286-52.98737.803-334.961-143.031402.115683.697789.3541,024.47926.652866.119854.548
Totaal eigen vermogen van aandeelhouders 3,921.243,607.0851,500.627-311.3883,658.9724,253.1715,276.1615,758.6816,699.2296,564.738,322.5837,723.1667,406.5217,163.0036,788.4325,290.7154,308.3223,228.9932,731.7342,384.4342,178.4251,989.21
Totaal eigen vermogen 3,921.243,607.0851,500.627-311.3883,658.9724,654.5745,950.6286,467.4457,422.237,287.0349,050.0288,488.298,097.8527,287.6346,788.4325,290.7154,308.3223,228.9932,731.7342,384.4342,178.4251,989.21
Totaal passiva en aandeelhoudersvermogen 5,507.4375,234.8642,073.4424,263.9378,284.4989,264.92310,794.65911,440.11712,865.64513,286.82216,217.95714,607.77413,495.15911,221.3218,396.8967,106.7995,881.6024,593.2624,354.2733,316.5043,195.9133,071.418