Nelnet, Inc.

NYSE:NNI

122.15 (USD) • At close July 2, 2025
Overzicht | Financiële gegevens

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

2024202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 194.518168.112118.1461,714.4821,114.189380.879121.34766.75269.65463.529130.48163.26766.03142.57283.801338.181189.847111.746106.086103.6539.989198.42340.15536.4423.263
Kortetermijnbeleggingen 983.839857.3791,389.037929.669348.60752.70153.0476.974103.899142.01141.293181.08372.851614.3220-325.88000160.47900000
Liquide middelen en kortetermijnbeleggingen 1,178.3571,025.4912,136.5012,644.1511,462.796433.58192.034147.654176.1420271.774244.35138.882817.481283.80112.301189.847111.746106.08634.48939.989198.42340.15536.4423.263
Nettovorderingen 192.19200097.96876.314755.1010452.267453.643402.14370.625371.156372.055370.766371.356513.966642.406571.049430.961278.26213.922191.85300
Voorraad 00001,881.3432,098.9150000000000000000000
Overige vlottende activa 000000000222.355227.078176.22369.062263.35166.804283.878335.547-642.406-552.592-430.96114,791.3770000
Totaal vlottende activa 1,370.5491,025.4911,733.141,218.54700000883.969900.992791.195879.1677.976721.371667.5351,039.3687.389103.56486.19415,109.626412.345232.00836.4423.263
Niet-vlottende activa:
Materiële vaste activa, netto 106.201140.573122.526133.727141.828381.029344.784248.051123.78680.48245.89433.82931.86934.81930.57326.60638.74755.79767.92436.7529.8719.13812.9100
Goodwill 158.029158.029176.902142.092142.092156.912156.912138.759147.312146126.2117.118117.118117.118117.118143.717175.178164.695191.42203.34100000
Immateriële activa 36.32844.81963.50152.02975.0781.532114.2938.42747.81351.06242.5826.1329.39328.37438.71253.53877.054112.83162.99449.31100000
Goodwill en immateriële activa 194.357202.848240.403194.121217.162238.444271.202177.186195.125197.062168.782123.25126.511145.492155.83197.255252.232277.525354.414252.65220.50911.6323.90900
Langetermijnbeleggingen 11,100.615001,541.693941.802201.9470174.681188.734234.745149.123192.0483.31250.7843.2360085.227129.132000000
Belastingvorderingen 21019,374.04421,678.04122,646.1623,708.9725,220.96823,964.43527,193.09500000000-277.525-354.414000000
Overige niet-vlottende activa 1,017.04716,368.963-21,374.491-21,678.041-22,646.16-23,708.97-23,357.78-22,630.413-25,748.1541,281.8541,449.5451,258.8341,469.55124,943.15-43.23600192.298225.282-36.7500000
Totaal niet-vlottende activa 12,407.20416,712.384362.9291,869.5411,300.792821.422,651.7921,933.941,952.5861,794.1431,813.3441,607.9531,711.24325,174.241186.403223.861290.979333.322422.338252.65250.37930.76836.81900
Totaal activa 13,777.75316,736.64519,374.04421,678.04122,646.1623,708.9725,220.96823,964.43527,180.10830,485.90530,098.14327,770.84926,607.89525,852.21725,893.89225,876.42727,854.89729,162.78326,796.87322,798.62215,160.00511,931.5099,766.5838,134.564,021.948
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 21.04635.39136.0494.56628.70147.28561.67950.03945.67731.50725.90421.72514.7719.63419.15319.83181.576129.446120.21194.28148.57817.17920.25100
Kortlopende schulden 943.1650000000000008.9175.619861.4712,854.0176,935.3595,276.7234,906.8272,292.4430000
Belastingschulden 0000000000000000000000000
Uitgestelde opbrengsten 072.5530000-986.886-335.992-1,677.443-2,037.091-1,241.665-1,396.344-1,554.151-888.8-558.381-2,123.1390-6,935.359-5,680.154000000
Overige kortlopende verplichtingen 1,186.131-107.944-14,673.244-4.566-582.072-47.285-61.679-50.039-45.677-31.507-25.904-21.725-14.77-19.634-194.772-19.831-81.576-129.446-120.211-94.281-2,243.86517.17920.25100
Totaal kortlopende verplichtingen 2,150.342000000000000000000040317.17920.25100
Langlopende verplichtingen:
Langetermijnschulden 7,366.63211,610.16614,177.40717,377.1218,784.66420,529.05422,218.7421,356.57324,668.4928,172.68228,027.3525,955.28925,098.83524,425.6424,496.85322,682.1525,994.98921,180.4720,285.39617,410.49714,300.60611,366.4589,447.6827,926.3623,934.13
Uitgestelde opbrengsten niet-vlottend 00041.1736.19639.646-687.449-442.475-453.680000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 00017,589.91919,284.5320,489.40823.44528.42128.0040000000000000000
Overige niet-vlottende verplichtingen 961.66200-17,046.081-18,784.664-20,529.054-22,218.74-21,356.573-24,668.49-28,172.682-28,027.35-25,955.289-25,098.835-24,425.64-24,496.853-23,943.818000000000
Totaal niet-vlottende verplichtingen 8,328.29411,102.94713,747.20517,631.08919,320.72620,529.054000000000026,78828,11625,56237214,30111,366.4589,447.6827,926.3623,934.13
Totaal passiva 10,478.63613,514.7316,174.14218,725.20320,017.81121,317.87622,906.18921,799.04825,109.18328,593.74728,372.46526,326.85925,442.68224,786.01224,987.25925,091.86427,211.67128,553.90426,125.02322,148.50414,703.8311,626.029,657.8378,071.3743,967.787
Eigen vermogen:
Preferente aandelen 0000000.1170.3830.27000.1810.187000005.037000000
Gewone aandelen 0.3630.3710.3720.3790.3840.3980.4030.4080.4210.440.4630.4640.4660.4710.4830.4990.4930.4950.5250.540.5370.5360.44900
Ingehouden winsten 3,340.543,279.2733,234.8442,940.5232,621.7622,377.6272,299.5562,143.9832,056.0841,881.7081,702.561,413.4921,129.3891,017.629831.057676.154540.521515.317496.341428.186247.06497.88570.78200
Overige gereserveerde algehele resultaten 1.47-20.119-37.3669.3046.1022.9723.8834.6174.732.2845.1354.8192.813000-82.6130-5.0370.3340.6590.237000
Overige totale aandeelhoudersvermogen 7.3893.0961.10913.7945.7150.6220.5210.42017.2924.88732.5448.10575.093107.91184.82593.067180.021220.432207.915206.83137.89163.18654.161
Totaal eigen vermogen van aandeelhouders 3,349.7623,262.6213,198.9592,951.2062,632.0422,386.7122,304.4642,149.5292,061.6551,884.4321,725.4481,443.6621,165.2081,066.205906.633784.563643.226608.879671.85649.492456.175305.489109.12263.18654.161
Totaal eigen vermogen 3,299.1173,221.9153,199.9022,952.8382,628.3492,391.0942,314.7792,165.3872,070.9251,892.1581,725.6781,443.991,165.2131,066.205906.633784.563643.226608.879671.85650.118456.175305.489108.74663.18654.161
Totaal passiva en aandeelhoudersvermogen 13,777.75316,736.64519,374.04421,678.04122,646.1623,708.9725,220.96823,964.43527,180.10830,485.90530,098.14327,770.84926,607.89525,852.21725,893.89225,876.42727,854.89729,162.78326,796.87322,798.62215,160.00511,931.5099,766.5838,134.564,021.948