Quantum Corporation

NASDAQ:QMCO

4.32 (USD) • At close November 12, 2024
Overzicht | Financiële gegevens

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989198819871986
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 25.8625.9635.2127.436.4410.7910.86512.95833.8767.94899.12568.97651.26176.01114.94785.53293.64360.581123.298225.136214.607221.734343.878397.537336.72272.643642.15345.1164.8187.8217.5121.874.5114.779.350.959.177.167.8
Kortetermijnbeleggingen 000000000000000003599.9752550.897.0550.5551.0842.032071.573000000000000
Liquide middelen en kortetermijnbeleggingen 25.8625.9635.2127.436.4410.7910.86512.95833.8767.94899.12568.97651.26176.01114.94785.53293.64395.581223.273250.136265.407318.789344.433398.621338.752272.643713.723345.1164.8187.8217.5121.874.5114.779.350.959.177.167.8
Nettovorderingen 67.78872.46469.35473.10270.3795.77896.35116.056105.959124.159101.60596.835110.84114.969103.397107.851182.998149.435114.02128.627117.397133.76149.424208.402214.107254.228737.928887.5711.1497.9324.4267194.4161.77035.91712.211.7
Voorraad 27.53644.74557.847.88849.69837.5156.31747.5162.02174.91460.44488.443100.16193.167107.297124.26675.99591.15388.963122.30748.34361.73598.801130.763101.478124.462315.035252.8459.5324.7194.1223.287.4101.724.116.6152115.2
Overige vlottende activa 10.65.5134.6973.0468.4899.14513.5659.9698.00711.94210.16111.83114.72911.27414.524.74530.60133.15530.86947.387.88375.184144.349574.431712.67244.028124.67203191.179.5159.7217.796.618.2126.54.97.312.5
Totaal vlottende activa 131.784153.055145.197156.066135.827154.288178.439188.325212.645281.584274.095269.108281.221303.554349.944354.102395.297386.461464.547559.731546.544635.838779.0451,360.5461,421.678695.3612,025.3371,688.41,526.51,089.9895.7829.7452.9396.3185.4109.996117.6107.2
Niet-vlottende activa:
Materiële vaste activa, netto 21.45326.84623.9619.43421.7358.4379.69811.18612.93914.65317.57421.45625.4424.9824.52828.55339.27150.24138.74842.71640.37759.09276.40594.778.13773.122285.159407.2364.1280.185.874.765.856.123.211.38.919.318.5
Goodwill 12.96912.96912.9693.4660000055.61355.61355.61355.61346.7746.7746.77390.776390.03247.178000161.1570000000000000000
Immateriële activa 1.6694.9419.5845.03700.0340.1380.2760.4510.7313.91112.81326.11244.71173.092109.236149.89198.601107.125115.197106.564120.36200.122227.501248.288220.368042.166.395.800008.79.410.100
Goodwill en immateriële activa 14.63817.9122.5538.50300.0340.1380.2760.45156.34459.52468.42681.72591.481119.862156.006540.666588.633154.303115.197106.564120.36200.122227.501248.288220.36824.4942.166.395.800008.79.410.100
Langetermijnbeleggingen 1.669-90.305550200000000000000000000000000000000
Belastingvorderingen 0.73490.30-50-50-200000000000000000000000000000000
Overige niet-vlottende activa 17.33715.8469.92510.9213.43310.11214.36425.244.5654.57710.6059.8926.96210.959.80910.70890.491100.4945.7466.9712.073106.439138.2216.957114.37724.792103.42520.618.515.215.922.228.13725.926.426.70.40.5
Totaal niet-vlottende activa 55.83160.60256.43838.85830.16818.58324.236.70217.95575.57487.70399.774114.127127.411154.199195.267670.428739.368198.797164.883159.014285.891414.727539.158440.802318.282413.074469.9448.9391.1101.796.993.993.157.847.145.719.719
Totaal activa 187.615213.657201.635194.924165.995172.871202.639225.027230.6357.158361.798368.882395.348430.965504.143549.3691,065.7251,125.829663.344724.614705.558921.7291,193.7721,899.7041,862.481,013.6432,438.4112,158.31,975.41,481997.4926.6546.8489.4243.2157141.7137.3126.2
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 26.08735.71634.2235.24536.94937.39562.64641.61146.13654.36741.79247.63456.30452.20356.68845.18297.96592.29267.30681.44767.341104.49565.50386.5194.59664.025446.243502.1498.8355.1267.2215.4171.3197.960.50000
Kortlopende schulden 110.3566.3646.1021.857.3211.657.562.827383.3450001.06723.983442570.27573.510.537111.90441.36300.6890.6830.93544.24.150000000000
Belastingschulden 1.0441.5090.9430000000001.1331.1722.5944.752000000000039.77731.15340.99417.566000000000
Uitgestelde opbrengsten 78.51182.50486.51784.02781.49290.40796.86684.68388.91995.89998.09891.10893.44187.48894.92184.07973.52557.61722.10720.48917.53116.62715.5390136.98600000000000000
Overige kortlopende verplichtingen 7.859-9.213-4.1872.723-4.45711.623-22.382-0.377-4.5359.8618.8738.442.87111.5267.78332.5358.72862.249-11.785-13.93659.134-83.545117.808107.037-64.49629.37-232.962-263.953-221.594-133.766-160.7-114.9-106.5-148.1-37.80000
Totaal kortlopende verplichtingen 249.944152.596157.815159.09158.254178.47207.276230.355179.656297.839190.555194.816210.053205.659242.657215.73282.183329.45215.209242.957211.884253.976305.716280.057262.371158.103700.236815.6821.1644373.7315.9236.1247.783.253.423.618.613.1
Langlopende verplichtingen:
Langetermijnschulden 9.62193.273117.07498.895157.669145.621115.98665.028131.96268.793203.735205184.495238.267305.899404496497.5160160160287.5287.5287.5287.5229.641327.485419598.2327.5212.5212.50000000
Uitgestelde opbrengsten niet-vlottend 38.17643.30641.5836.12637.44336.73338.58737.64235.42739.53240.05438.39336.4334.28130.72432.082000000000000.00500000000000
Uitgestelde belastingverplichtingen niet-vlottend 7.17.27.36.7002.6530.4811.1160.9914.0231.7354.5646.828.67611.1913.6416.7516.99510.97427.12525.09140.05535.80713.57827.35538.66833.611.20002.33.56.43.54.110.67.2
Overige niet-vlottende verplichtingen 4.2724.174.5496.35811.15411.82711.6047.528.32410.44110.83111.3016.4867.0497.4446.32645.89827.6870.069000000003.888-0.010-212.5-212.5-2.3-3.5-6.4-3.5-4.1-10.6-7.2
Totaal niet-vlottende verplichtingen 59.169147.949170.503148.079206.266194.181168.83110.671176.829119.757258.643256.429231.975286.417352.743453.598555.538541.938167.064170.974187.125312.591327.555323.307301.078256.996366.153456.493609.39327.5212.5212.52.33.56.43.54.110.67.2
Totaal passiva 309.113300.545328.318307.169364.52372.651376.106341.026356.485417.596449.198451.245442.028492.076595.4669.328837.721871.388382.273413.931399.009566.567633.271603.364563.449415.0991,066.3891,268.21,430.6971.5586.1528.4238.4251.189.656.827.629.220.4
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000000000000
Gewone aandelen 0.9590.9360.6050.570.3990.360.3540.3410.3322.5822.5042.4312.3642.2732.1492.102339.401308.387274.5791.8391.8041.7551.57751.4182.41201.6091.3080.5410.461000000000
Ingehouden winsten -827.38-808.846-770.903-738.623-703.164-697.954-655.157-593.295-596.94-523.311-540.071-518.597-465.397-456.588-461.129-477.763-119.499-60.4723.62245.10148.597110.619374.914584.696545.05425.538597.193426.4277.9368.3286.7298.1219.4175.3101.454.256.761.160.1
Overige gereserveerde algehele resultaten -2.193-1.581-1.423-0.856-1.522-1.41-0.2743.1053.8443.886.626.1926.5837.2936.3495.8528.1026.5262.873.1732.8311.117-4.89-4.85416.961173.006-1.462000000000000
Overige totale aandeelhoudersvermogen 707.116722.603645.038626.664505.762499.224481.61473.85466.879456.411443.547427.611409.77385.911361.374349.85000260.57253.317241.671188.907-34.92734.6080774.682462.392266.359140.739124.6100.1896352.24657.44745.7
Totaal eigen vermogen van aandeelhouders -121.498-86.888-126.683-112.245-198.525-199.78-173.467-115.999-125.885-60.438-87.4-82.363-46.68-61.111-91.257-119.959228.004254.441281.071310.683306.549355.162560.5011,296.341,299.031598.5441,372.022890.1544.8509.5411.3398.2308.4238.3153.6100.2114.1108.1105.8
Totaal eigen vermogen -121.498-86.888-126.683-112.245-198.525-199.78-173.467-115.999-125.885-60.438-87.4-82.363-46.68-61.111-91.257-119.959228.004254.441281.071310.683306.549355.162560.5011,296.341,299.031598.5441,372.022890.1544.8509.5411.3398.2308.4238.3153.6100.2114.1108.1105.8
Totaal passiva en aandeelhoudersvermogen 187.615213.657201.635194.924165.995172.871202.639225.027230.6357.158361.798368.882395.348430.965504.143549.3691,065.7251,125.829663.344724.614705.558921.7291,193.7721,899.7041,862.481,013.6432,438.4112,158.31,975.41,481997.4926.6546.8489.4243.2157141.7137.3126.2