Perficient, Inc.

NASDAQ:PRFT

75.52 (USD) • At close September 18, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 128.88630.1324.4183.20470.72844.9846.30710.1138.81110.9357.0185.8139.73212.70717.97522.9098.074.5495.0963.9051.9891.5251.4120.8425.8190
Kortetermijnbeleggingen 0000000000009.73211.3016.32700000000000
Liquide middelen en kortetermijnbeleggingen 128.88630.1324.4183.20470.72844.9846.30710.1138.81110.9357.0185.8139.73224.00824.30222.9098.074.5495.0963.9051.9891.5251.4120.8425.8190
Nettovorderingen 178.998202.298177.602133.085129.118122.446112.194103.702120.612113.92878.88769.66260.89248.49638.24449.14252.02940.7523.25120.055.5353.9383.1987.050.5740
Voorraad 06.4325.45.5754.6474.6634.473.3533.2972.4762.5691.6491.2461.271.2582.412.0191.17100000000
Overige vlottende activa 18.06916.7567.2964.6467.4045.7116.2375.3317.0324.6796.7593.7173.1182.5841.5340.5632.1310.6492.4170.3360.2970.3830.1570.0420.1420.188
Totaal vlottende activa 325.953255.616214.708226.51211.897177.804129.208122.499139.752132.01895.23380.84174.98876.35865.33875.02464.24947.11930.76424.2917.8215.8464.7677.9356.5360.188
Niet-vlottende activa:
Materiële vaste activa, netto 33.78245.05848.150.44139.9186.6777.1458.8887.8917.9667.7094.3983.492.3551.2782.3453.2261.8060.960.8060.6991.2110.5340.8040.0810.042
Goodwill 581.387565.161515.229427.928335.564327.992305.238275.205269.383236.13193.51160.936132.038115.227104.168104.178103.68669.1746,263.34632,818,431000000
Immateriële activa 71.188.93781.27763.57137.95348.09251.06645.11553.40846.10525.48717.3510.1288.8297.60511.45617.65311.88652.03237.3411.69412.383.5545.55800
Goodwill en immateriële activa 652.487654.098596.506491.499373.517376.084356.304320.32322.791282.235218.997178.286142.166124.056111.773115.634121.33981.05652.03237.3411.69412.383.5545.55800
Langetermijnbeleggingen -21.5820-1.34-13.499-17.281-10.412-9.514-10.575-6.52600002.2543.6520-1.549-1.25100000000
Belastingvorderingen 21.618.0611.3413.49917.28110.4129.51410.5756.52600000001.5491.25100000000
Overige niet-vlottende activa 52.36423.05523.25817.31115.169.9796.4034.8693.933.8233.813.6693.2882.6552.7691.2441.1781.0191.1790.1450.0460.1560.2660.31800
Totaal niet-vlottende activa 738.651740.272667.864559.251428.595392.74369.852334.077334.612294.024230.516186.353148.944131.32119.472119.223125.74383.88154.17138.29112.43913.7474.3546.680.0810.042
Totaal activa 1,064.604995.888882.572785.761640.492570.544499.06456.576474.364426.042325.749267.194223.932207.678184.81194.247189.99213184.93562.58220.2619.5939.11854.6156.6160.23
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 18.68824.35126.07425.61323.08124.43723.19618.41618.79322.0357.6677.9595.0296.0723.6574.5094.165.0253.7746.9280.130.4270.2430.3590.1650.019
Kortlopende schulden 710.33411.54310.3218.992-8.11122.415-3.138-5.414-5.94519.34914.47812.7960011.26915.421.2011.5811.3790.3671.2610.7421.8100
Belastingschulden 00000000000000000000000000.019
Uitgestelde opbrengsten 5.512.698.1679.4227.7338.1113.2783.1385.4145.9453.592.9741.041001.5751.4391.31800000000
Overige kortlopende verplichtingen 47.28481.75674.16783.52444.77850.38612.38427.63737.78333.0287.3593.1534.64622.65411.4761.4951.86214.7168.3316.7513.3112.3041.2892.3930.1990.032
Totaal kortlopende verplichtingen 78.472129.131119.951128.8884.58474.82361.27346.05356.57655.06337.96528.56423.51228.72615.13318.84822.88122.2613.68615.0583.8083.9922.2734.5610.3640.05
Langlopende verplichtingen:
Langetermijnschulden 396.874413.115350.024212.722144.313120.06755325654192.8000000.1375.3392.9020.4361.080.0080.0800
Uitgestelde opbrengsten niet-vlottend -7.1540-32.202-20.911-11.108-9.2534.409-12.853-8.463-8.9122.16000000-1.25100000000
Uitgestelde belastingverplichtingen niet-vlottend 23.626.20232.20220.91111.1089.2537.3612.8538.4638.9122.345000001.5491.25100000000.001
Overige niet-vlottende verplichtingen 42.18917.31347.83250.08130.5821.974.66719.05812.97812.2514.7891.4171.4611.7881.3290.58101.25100000000
Totaal niet-vlottende verplichtingen 455.509456.63397.856262.803174.893142.03771.43651.05868.97866.25128.2944.2171.4611.7881.3290.5811.5491.3885.3392.9020.4361.080.0080.0800.001
Totaal passiva 533.981585.761517.807391.683259.477216.86132.70997.111125.554121.31466.25932.78124.97330.51416.46219.42924.4323.64819.02417.964.2445.0722.2814.6410.3640.052
Eigen vermogen:
Preferente aandelen 0000000000000000001.388000.003000.1180
Gewone aandelen 0.0530.0530.0530.050.0490.0480.0470.0460.0450.0430.0410.0390.0360.0330.0320.030.0290.0270.0240.0210.0140.0110.0060.0060.0040.002
Ingehouden winsten 477.196378.263271.732219.641189.775152.65128.091109.5189.05166.04442.88121.4495.342-5.405-11.885-13.348-23.348-39.578-49.145-56.322-60.235-61.285-58.89-15.004-1.3770.028
Overige gereserveerde algehele resultaten -5.461-17.519-5.8433.746-2.65-2.588-1.822-2.743-1.875-0.651-0.378-0.306-0.279-0.225-0.273-0.338-0.117-0.125-4.541-1.714-0.078-0.2-0.42-0.078-0.152-0.011
Overige totale aandeelhoudersvermogen 58.83549.3398.823170.641193.841203.574240.035252.652261.589239.292216.946213.231193.86182.761180.474188.474188.998147.028118.185102.63876.31675.99366.1465.057.6590.159
Totaal eigen vermogen van aandeelhouders 530.623410.127364.765394.078381.015353.684366.351359.465348.81304.728259.49234.413198.959177.164168.348174.818165.562107.35265.91144.62216.01614.5216.83649.9746.2520.178
Totaal eigen vermogen 530.623410.127364.765394.078381.015353.684366.351359.465348.81304.728259.49234.413198.959177.164168.348174.818165.562107.35265.91144.62216.01614.5216.83649.9746.2520.178
Totaal passiva en aandeelhoudersvermogen 1,064.604995.888882.572785.761640.492570.544499.06456.576474.364426.042325.749267.194223.932207.678184.81194.247189.99213184.93562.58220.2619.5939.11854.6156.6160.23