OPKO Health, Inc.

NASDAQ:OPK

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

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 95.881153.2134.772.21185.45296.47391.499168.733193.696.9185.79827.36171.51618.01642.6586.67823.3738.5968.9018.73410.1326.18814.99535.4083.2136.81.82.95.4
Kortetermijnbeleggingen 000-0.0110.0480.0270-0.033000000000001.124010.0040000000
Liquide middelen en kortetermijnbeleggingen 95.881153.2134.772.285.596.591.499168.7193.696.9185.79827.36171.51618.01642.6586.67823.3738.5968.9019.85810.13216.19214.99535.4083.2136.81.82.95.4
Nettovorderingen 130.2148.608265.588302.256157.687161.983187.052249.492208.89723.05531.36123.54112.54413.9638.7671.1481.9140-0.1010000000000
Voorraad 65.69774.0686.502132.34153.43442.29949.33347.22839.68116.60418.07922.26113.33916.42310.524.0632.21400.1010000000000
Overige vlottende activa 17.698241.3373.3451238.5221.29.238314.9260.5465.6534.752.1832.7821.8730.2860.3180.1560.0990.211.2021.06510.7060.4950.1350.10.100
Totaal vlottende activa 309.476394.5823523.2324317.7348.861483.6454.1142.9242.72878.65799.58257.39263.81813.46629.2128.752910.06811.33417.25726.25135.9033.3486.91.92.95.4
Niet-vlottende activa:
Materiële vaste activa, netto 143.517121.604123.955178.289166.491144.674146.557122.831131.79816.41117.02715.7055.3582.5890.5930.6590.41000.0030.0080.2211.0090.5120.2850.10.10.10.1
Goodwill 598.26595.851520.601680.602671.94700.193717.099704.603743.348224.292226.37380.4539.8155.8565.4081.0971.732000000000000
Immateriële activa 935.283790.91,110.81,270.81,262.11,335.81,331.1821,349.31,535.61,017.4867.87495.78476.736.78412.7226.3368.19900000.0370.0740.670.780.70.80.90.9
Goodwill en immateriële activa 1,533.543790.91,110.81,270.81,262.11,335.82,048.2811,349.31,535.61,017.41,094.247176.234116.54512.6418.137.4339.93100000.0370.0740.670.780.70.80.90.9
Langetermijnbeleggingen 16.08228.05210.71315.73120.74631.22840.64241.13934.71622.45330.65315.6366.7175.1144.44700000000000000
Belastingvorderingen 1950-134.668-194.02-187.237-175.9020-163.97-166.514-38.86400.821000.42700000000000000
Overige niet-vlottende activa -185.92832.244465.9679.1723.2797.65.615933.7809.9107.46.8612.7771.2870.1110.0150.2060.015000000.2910.2930.0780000.1
Totaal niet-vlottende activa 1,702.2221,772.81,576.71,949.91,985.32,133.42,241.0952,2832,345.51,124.81,148.788211.173129.90720.45423.6128.29810.356000.0030.0080.2581.3741.4751.1430.80.911.1
Totaal activa 2,011.6982,167.32,399.72,473.12,309.32,451.12,589.9562,766.62,799.61,267.71,391.516289.83229.48977.84687.4321.76439.5688.752910.07111.34217.51527.62537.3784.4917.72.83.96.5
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 69.6776782.04100.88362.53747.39574.30753.3672.5358.74413.41410.24.8916.4794.7842.2213.3190.6740.2770.2391.0381.2391.1630.6330.6820.50.50.30.2
Kortlopende schulden 43.1163.128.57636.18424.440.69315.32515.00616.84113.45512.56217.5268.75714.694.3210.0972.54600000.09400.1250.1350.20.100
Belastingschulden 1.3845.3510003.2334.6094.437.6050.0770.7021.61400.422000000000000000
Uitgestelde opbrengsten 1.38400.25815.78319.19663.50356.88373.43470.2464.1857.6391.5184.9563.37000000000.056000000
Overige kortlopende verplichtingen 85.875143.4190.926222.65142.967105.209165.514121.592.27856.71658.23523.1380.1743.063.9185.3943.858000000.0830.0950.207000.11.3
Totaal kortlopende verplichtingen 200.052213.5301.8375.5249.1256.8312.029263.3251.983.191.8552.38218.77827.59913.0237.7129.7230.6740.2770.2391.0381.3331.3020.8531.0240.70.60.41.5
Langlopende verplichtingen:
Langetermijnschulden 222.034210.4187.9222211.231.6142.66543.749.4131.5215.1825.150015.34111.86711.68900000.1080.202000000
Uitgestelde opbrengsten niet-vlottend 0.0070.1380.2080.5952.57127.56695.4589.016162.634-167.15303.93100-3.40900000000000000
Uitgestelde belastingverplichtingen niet-vlottend 126.773126.4148.5137.2118.7115.2148.729165.3226167.153166.4359.77725.4431.0671.33900000000000000
Overige niet-vlottende verplichtingen 73.61355.26276.19266.205112.929228.63447.46113.484129.866217.345.0715.3124.38626.1283.4091.8261.3720000000.750.8750.91.11.20
Totaal niet-vlottende verplichtingen 422.427392.2412.8426445.4403434.304411.5567.9348.8426.68734.16849.82927.19516.6813.69313.06100000.1080.2020.750.8750.91.11.20
Totaal passiva 622.479605.7714.6801.5694.5659.8746.333674.8819.8431.9518.53786.5568.60754.79429.70321.40522.7840.6740.2770.2391.0381.4411.5041.6031.8991.61.71.61.5
Eigen vermogen:
Preferente aandelen 000000.1400.001001,391.51624.38624.3860.0090.0220.010.010.010.010.0090.0090.0080.0080.0070.0070000
Gewone aandelen 7.827.8136.9016.7066.7045.8695.65.5865.4624.3344.1483.0562.9752.5542.5381.9911.7830.170.1690.1690.1630.1620.1620.1620.1040000
Ingehouden winsten -2,011.786-1,822.923-1,511.976-1,481.833-1,511.077-1,197.078-1,048.914-729.954-704.871-674.843-503.177-388.77-359.722-358.379-339.229-309.116-269.282-57.05-56.402-56.216-54.29-48.497-38.139-29.354-22.189-17.8-15.1-11.9-9
Overige gereserveerde algehele resultaten -38.03-43.323-30.495-4.225-22.07-20.131-0.528-27.009-22.537-12.3923.4187.3560.9072.9211.313-0.212-0.0940-0.1010.822-0.302-0.301-0.365-0.121-0.089-0.3-0.2-0.2-0.1
Overige totale aandeelhoudersvermogen 3,431.2153,420.0333,220.673,150.9523,141.2433,002.52,887.4652,843.1762,701.7461,518.701-19.495557.744492.336375.947393.083307.686284.36764.94865.04765.04864.72464.70264.45565.08124.75924.216.414.414.1
Totaal eigen vermogen van aandeelhouders 1,389.2191,561.61,685.11,671.61,614.81,791.31,843.6232,091.81,979.8835.8876.41203.772160.88223.05257.7270.35916.7848.0788.7239.83210.30416.07426.12135.7752.5926.11.12.35
Totaal eigen vermogen 1,389.2191,561.61,685.11,671.61,614.81,791.31,843.6232,091.81,979.8829.397872.979203.28160.88223.05257.7270.35916.7848.0788.7239.83210.30416.07426.12135.7752.5926.11.12.35
Totaal passiva en aandeelhoudersvermogen 2,011.6982,167.32,399.72,473.12,309.32,451.12,589.9562,766.62,799.61,267.71,391.516289.83229.48977.84687.4321.76439.5688.752910.07111.34217.51527.62537.3784.4917.72.83.96.5