Qualys, Inc.

NASDAQ:QLYS

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

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

20232022202120202019201820172016201520142013201220112010
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 205.165173.719137.32874.13287.55941.02686.59186.73791.69876.50442.36934.88524.54815.01
Kortetermijnbeleggingen 221.893147.608267.96281.892211.331248.14201.823157.11987.26850.71454.82783.54700
Liquide middelen en kortetermijnbeleggingen 427.058321.327405.288356.024298.89289.166288.414243.856178.966127.21897.196118.43224.54815.01
Nettovorderingen 146.226121.795108.998100.17978.03475.82564.41247.02442.32532.99328.58124.54520.7514.292
Voorraad 00000000000000
Overige vlottende activa 26.71430.21632.11219.14218.69213.97416.5249.8087.94515.0484.6794.3773.7742.187
Totaal vlottende activa 599.998473.338546.398475.345395.616378.965369.35300.688229.236175.259130.456147.35449.07231.489
Niet-vlottende activa:
Materiële vaste activa, netto 54.9981.1898.87109.688101.1361.44258.55739.40131.32926.61823.07518.14813.8618.21
Goodwill 7.4477.4477.4477.4477.4477.2251.5490.3170.3170.3170.3170.3170.3170.317
Immateriële activa 9.71512.8016.54512.00616.79521.97612.4010.9871.362.0012.3942.8113.1753.58
Goodwill en immateriële activa 17.16220.24813.99219.45324.24229.20113.951.3041.6772.3182.7113.1283.4923.897
Langetermijnbeleggingen 56.64459.206111.19898.458119.50879.2167.22445.72543.27739.44835.608000
Belastingvorderingen 62.76145.41225.08715.81118.8326.38725.06616.5916.07914.1190000
Overige niet-vlottende activa 21.06321.55719.01418.06416.28210.4753.3783.2961.9162.2620.7531.6882.3640.764
Totaal niet-vlottende activa 212.62227.603268.161261.474279.992206.715168.175106.31694.27884.76562.14722.96419.71712.871
Totaal activa 812.618700.941814.559736.819675.608585.68537.525407.004323.514260.024192.603170.31868.78944.36
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 0.9882.8081.2960.7310.8485.5881.1442.0512.3685.6611.932.0312.2541.01
Kortlopende schulden 11.85713.0612.60811.6727.6631.56500000.8051.1831.9871.516
Belastingschulden 00000000000.7170.59400
Uitgestelde opbrengsten 333.267293.728257.872213.494192.172164.624143.186114.96498.02581.14767.50556.49746.71737.811
Overige kortlopende verplichtingen 43.09642.59232.50429.83322.78425.1321.44413.31711.78610.3539.0377.8038.4684.369
Totaal kortlopende verplichtingen 389.208352.188304.28255.73223.467196.907165.774130.332112.17997.16179.27767.51459.42644.706
Langlopende verplichtingen:
Langetermijnschulden 16.88529.12135.91445.744.015-8.945-3.37600000.8082.4061.537
Uitgestelde opbrengsten niet-vlottend 31.67123.4932.75330.5420.93520.42317.13615.52814.56410.0648.8898.6164.7131.734
Uitgestelde belastingverplichtingen niet-vlottend -013.76415.35622.55320.7358.9453.37600000.59464.53464.294
Overige niet-vlottende verplichtingen 6.68-6.751-10.458-22.186-20.34710.36111.0712.7311.2050.9721.321.2312.1341.49
Totaal niet-vlottende verplichtingen 55.23659.62473.56576.60765.33830.78428.20718.25915.76911.03610.20911.24973.78769.055
Totaal passiva 444.444411.812377.845332.337288.805227.691193.981148.591127.948108.19789.48678.763133.213113.761
Eigen vermogen:
Preferente aandelen 00000000000170.31800
Gewone aandelen 0.0370.0370.0390.0390.0390.0390.0390.0360.0340.0340.0320.0310.0050.005
Ingehouden winsten -228.08-221.447-41.6553.56823.19427.96439.924-8.261-27.485-43.35-72.468-74.092-76.372-78.326
Overige gereserveerde algehele resultaten -1.704-1.9471.007-0.4841.162-0.586-0.574-0.156-0.2110.01-1.088-1.035-0.984-0.818
Overige totale aandeelhoudersvermogen 597.921512.486477.323401.359362.408330.572304.155266.794223.228195.133176.641-3.66712.9279.738
Totaal eigen vermogen van aandeelhouders 368.174289.129436.714404.482386.803357.989343.544258.413195.566151.827103.11791.555-64.424-69.401
Totaal eigen vermogen 368.174289.129436.714404.482386.803357.989343.544258.413195.566151.827103.11791.555-64.424-69.401
Totaal passiva en aandeelhoudersvermogen 812.618700.941814.559736.819675.608585.68537.525407.004323.514260.024192.603170.31868.78944.36