Starbucks Corporation

NASDAQ:SBUX

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

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 3,551.52,818.46,455.74,350.92,686.68,756.32,462.32,128.81,530.11,708.42,575.71,188.61,148.11,164599.8269.8281.261312.606173.809299.128200.907174.572113.23770.81766.4101.770.1126.220.98.416.420.81.1
Kortetermijnbeleggingen 401.5364.5162.2281.270.5181.5228.6134.481.3135.4658.1848.4902.6285.766.352.5157.433141.038133.227353.881149.104227.662107.31261.33651.4228410300000
Liquide middelen en kortetermijnbeleggingen 3,9533,182.96,617.94,632.12,757.18,937.82,690.92,263.21,611.41,843.83,233.82,0372,050.71,449.7666.1322.3438.694453.644307.036653.009350.011402.234220.549132.153117.8101.770.1126.220.98.416.420.81.1
Nettovorderingen 1,184.11,175.5940883.4879.2693.1870.4768.8719631561.4485.9386.5302.7271329.5287.925224.271190.762140.226114.44897.57390.42576.38547.65130.517.610.25.42.91.60.9
Voorraad 1,806.42,176.61,603.91,551.41,529.41,400.51,3641,378.51,306.41,090.91,111.21,241.5965.8543.3664.9692.8691.658636.222546.299422.663342.944263.174221.253201.656180.9143.1119.583.4123.756.124.211.78.1
Overige vlottende activa 359.9386.6594.6739.5488.21,462.8358.1350334.2285.6287.7435.2391.9460.7433.8403.4278.21215.651165.237152.587116.6268461.69849.62540.241.596.5112.350.914.722.719.11.3
Totaal vlottende activa 7,303.47,018.79,756.47,806.45,653.912,494.25,283.44,760.54,352.74,168.75,471.44,199.63,794.92,756.42,035.81,7481,696.4871,529.7881,209.3341,368.485924.029847.538593.925459.819386.5337.3316.6339.5205.784.666.253.211.4
Niet-vlottende activa:
Materiële vaste activa, netto 15,799.714,576.114,605.514,375.56,431.75,929.14,919.54,533.84,088.33,5193,200.52,658.92,3552,416.52,536.42,956.42,890.4332,287.8991,842.0191,471.4461,384.9021,265.7561,135.784930.759760.3600.8483.3369.5244.7140.865.833.622.3
Goodwill 3,218.33,283.53,677.33,597.23,490.83,541.61,539.21,719.61,575.4856.2862.9399.1321.6262.4259.1266.5215.625161.47892.47400200211400000000
Immateriële activa 120.5155.9349.9552.1781.81,042.2441.4516.3520.4273.5274.8143.7111.970.868.266.642.04337.955127.88395.7588.28619.90221.84521.31114.200000000
Goodwill en immateriële activa 3,338.83,439.44,027.24,149.34,272.64,583.81,980.62,235.92,095.81,129.71,137.7399.1433.5333.2327.3333.1257.668199.433127.88395.7588.28619.90221.84521.31114.2-58-47-1100000
Langetermijnbeleggingen 687.3590.3550.2684.8616602.41,023.91,496.2664.5833.3554.8575.9479.3533.3423.571.421.0225.81160.47500103056683934400000
Belastingvorderingen 1,769.81,799.71,874.81,789.91,765.8134.7795.4885.4828.9903.396797.3230.4304.2286.6234.2129.45388.77770.8080022021331913700000
Overige niet-vlottende activa 546.5554.2578.5568.6479.6412.2362.8417.7415.9198.9185.3288.467.342.3-32.8329.5348.815317.233203.546392.487332.52934.5499.4854.242-9.554.750.817.617.86611.14.1
Totaal niet-vlottende activa 22,142.120,959.721,636.221,568.113,565.711,662.29,082.29,5698,093.46,584.26,045.34,019.63,565.53,629.53,5413,924.63,647.3912,899.1532,304.7311,959.6831,805.7171,445.1981,257.1141,033.312866655.5534.1387.1262.5146.8126.834.726.4
Totaal activa 29,445.527,978.431,392.629,374.519,219.624,156.414,365.614,329.512,446.110,752.911,516.78,219.27,360.46,385.95,576.85,672.65,343.8784,428.9413,514.0653,328.1682,729.7462,292.7361,851.0391,493.1311,252.5992.8850.7726.6468.2231.419387.937.8
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,544.31,441.41,211.6997.91,189.71,179.3782.5730.6684.2533.7491.7398.1540282.6267.1324.9390.836340.937220.975199.346168.984135.994127.90573.65356.154.446.33828.79.15.743.1
Kortlopende schulden 3,127.43,169.72,250.22,937.55.2349.9226.64002592721251,133.8831.7936.20.2713.7711.023700.762277.7480.7350.72275.60562.68457.01764.2000006.24.60.7
Belastingschulden 402333.834898.21,468.4286.6226.6368.4259272125138.3109.2100.2127.8000000000000000000
Uitgestelde opbrengsten 1,700.21,641.91,596.11,456.51,2691,642.91,288.51,171.2983.8794.5653.7510.2449.3414.1388.7368.4296.9231.926175.048121.37773.47642.2649.9510000000000
Overige kortlopende verplichtingen 2,973.42,898.83,093.51,954.93,704.82,512.11,923.12,245.11,726.51,438.54,106.9167.7254.8146.2925782.7756.807661.995553.225461.522365.521283.627244.724182.581131.3125.192.763.142.331.312.544.4
Totaal kortlopende verplichtingen 9,345.39,151.88,151.47,346.86,168.75,684.24,220.74,546.93,653.53,038.75,377.32,209.82,075.81,779.11,5812,189.72,155.5661,935.621,226.996782.98608.703537.49445.264313.251251.6179.5139101.17140.424.412.68.2
Langlopende verplichtingen:
Langetermijnschulden 21,472.420,635.121,354.922,321.311,1679,090.23,932.63,202.22,347.52,048.31,299.4549.6549.5549.4549.3549.6550.1211.9582.873.6184.3545.0765.7866.48370167166.781.380.580.507.5
Uitgestelde opbrengsten niet-vlottend 6,101.86,279.76,4636,598.56,744.46,775.7-203.2-161.20000215.20000000000-25-3400-700000
Uitgestelde belastingverplichtingen niet-vlottend 14.600281.8318.5494.8203.2161.20000-215.200000046.68333.21722.49619.13321.4132.91912.87.13.50.6000
Overige niet-vlottende verplichtingen 499.2610.5737.8625.51,052935.7755.3689.7625.3392.2357.7345.3347.8375.1400.8424.1336.822262.857193.5658.1321.0451.0360253400.170.20000
Totaal niet-vlottende verplichtingen 28,08827,525.328,555.729,827.119,281.917,296.44,687.93,891.92,972.82,440.51,657.1894.9897.3924.5950.1973.7886.943264.815196.43558.43338.61628.60824.91927.89339.919179.9173.88581.180.507.5
Totaal passiva 37,433.336,677.136,707.137,173.925,450.622,980.68,908.68,438.86,626.35,479.27,034.43,104.72,973.12,703.62,531.13,163.43,042.5092,200.4351,423.431841.413647.319566.098470.183341.144291.5198.5318.9274.9156121.5104.912.615.7
Eigen vermogen:
Preferente aandelen 00000000000000000000000007.200000014.8
Gewone aandelen 1.11.11.21.21.21.31.41.51.50.70.80.70.70.70.70.70.7380.75690.968956.685959.103891.04791.622750.87265158939136100000
Ingehouden winsten -7,255.8-8,449.8-6,315.7-7,815.6-5,771.21,457.45,563.25,949.85,974.85,206.64,130.35,046.24,297.43,471.22,793.22,402.42,189.3662,151.0841,939.3591,461.4581,069.683804.786589.713408.503313.9205.114590.446.6209.41.4-0.1
Overige gereserveerde algehele resultaten -778.2-463.2147.2-364.6-503.3-330.3-155.6-108.4-199.425.36722.746.357.265.448.454.6237.27320.91429.21914.248-8.581-5.408-10.976-3.9-14-144-8800000
Overige totale aandeelhoudersvermogen 38.1205.3846.1373.941.141.141.141.141.139.4282.139.440.5145.6186.439.439.39339.39339.39339.39339.39339.3930007139.888.3265.689.978.773.97.4
Totaal eigen vermogen van aandeelhouders -7,994.8-8,706.6-5,321.2-7,805.1-6,232.21,169.55,450.15,8845,8185,2724,480.25,1094,384.93,674.73,045.72,490.92,284.1172,228.5062,090.6342,486.7552,082.4271,726.6381,375.9271,148.399961794.3531.8451.7312.2109.988.175.322.1
Totaal eigen vermogen -7,987.8-8,698.7-5,314.5-7,799.4-6,2311,175.85,4575,890.75,819.85,273.74,482.35,114.54,387.33,682.33,045.72,509.22,301.3692,228.5062,090.6342,486.7552,082.4271,726.6381,380.8561,151.987961794.3531.8451.7312.2109.988.175.322.1
Totaal passiva en aandeelhoudersvermogen 29,445.527,978.431,392.629,374.519,219.624,156.414,365.614,329.512,446.110,752.911,516.78,219.27,360.46,385.95,576.85,672.65,343.8784,428.9413,514.0653,328.1682,729.7462,292.7361,851.0391,493.1311,252.5992.8850.7726.6468.2231.419387.937.8