SEI Investments Company

NASDAQ:SEIC

80.11 (USD) • At close November 8, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 834.998853.008825.21784.626841.446754.525744.247695.701679.661667.446578.273452.247420.986496.292590.877416.643360.921286.948130.128216.966199.953165.724163.685159.57673.25316.913.210.320.217.917.513.719.42.120.713.49.15.5
Kortetermijnbeleggingen 31.33432.14828.26734.06433.48630.89221.52621.33921.23521.17521.13320.08820.94900016.777019.70900000000000000000000
Liquide middelen en kortetermijnbeleggingen 866.332885.156853.477818.69874.932785.417765.773717.04700.896688.621599.406472.33520.949496.292590.877416.643377.698286.948149.837216.966199.953165.724163.685159.57673.25316.913.210.320.217.917.513.719.42.120.713.49.15.5
Nettovorderingen 557.32519.098500.645440.49394.523365.205339.372289.718271.121242.812226.028202.818167.909165.772212.451208.209275.109244.599128.545108.79586.61274.64281.87775.01157.849.15743.431.234.332.822.921.218.319.114.713.517.718.2
Voorraad 00.3510.3513.1013.1013.5143.5053.55.55.8015.566-492.292-570.877-402.64327.5626.18117.56800000000000000.10.40.5000.80.4
Overige vlottende activa -1,423.65248.70343.55938.69632.28936.67631.15827.57526.20718.19316.16620.251440.093513.947608.952517.46214.56728.74510.02629.91865.84821.06920.5814.4441611.410.18.412.64.653.22.31.31.21.61.80.80.6
Totaal vlottende activa 1,478.1161,453.3081,398.0321,300.9771,304.8451,190.8121,139.8081,037.8331,003.724955.427847.1701.404634.951683.719841.403739.671694.934586.473305.976355.679352.413261.435266.142249.031147113.5846554.159.155.743.637.339.422.93728.728.424.7
Niet-vlottende activa:
Materiële vaste activa, netto 193.841206.021212.483227.449203.648145.863146.428146.19143.977125.535118.995127.581438.681140.568146.053148.124143.516130.732114.505113.64113.064104.25895.80475.11165.662.852.148.624.330.530.928.431.428.333.832.835.742.555.4
Goodwill 137.333115.599117.23264.48964.48964.48952.99000000022.84222.84222.84222.842000000000000000000000
Immateriële activa 322.226292.834429.46295.281324.055341.17338.983295.867290.522309.04312.615307.49309.133294.332323.51552.518291.861247.85000000000004.55.56.57.69.210.5000.33.9
Goodwill en immateriële activa 459.559408.433429.46359.77388.544405.659391.973295.867290.522309.04312.615307.49309.133294.332346.35775.36314.703270.692000000000004.55.56.57.69.210.5000.33.9
Langetermijnbeleggingen 273.51239.24244.375210.018190.318169.13153.509139.35134.913136.422149.542159.176200.287243.773181.89786.693-73.6-76.148000000000000000000000
Belastingvorderingen 37.7094.9368.8092.9722.8222.0422.7672.127001.65393.458-309.133086.257104.54873.676.14858.98932.10311.438000000000000000000
Overige niet-vlottende activa 77.26871.61561.17266.0761.19358.16218.88415.45615.49216.4519.264-79.28520.6414.831-68.159187.31999.21291.808177.677114.053115.71498.45498.9751.4441.232.532.827.422.98.28.37.56.87.38.55.26.56.57
Totaal niet-vlottende activa 1,041.887930.245956.299866.279846.525780.856713.561598.99584.904587.448592.069608.42659.608693.504692.405602.044557.431493.232351.171259.796240.216202.712194.774126.551106.895.384.97647.243.244.742.445.844.852.83842.249.366.3
Totaal activa 2,520.0032,383.5532,354.3312,167.2562,151.371,971.6681,853.3691,636.8231,588.6281,542.8751,439.1691,309.8241,294.5591,377.2231,533.8081,341.7151,252.3651,079.705657.147615.475592.629464.147460.916375.582253.8208.8168.9141101.3102.3100.48683.184.275.77570.977.791
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 10.61813.28310.3127.7664.42310.925.2685.9664.51110.58816.23511.2481.9994.5822.85112.3088.697.1194.9547.4157.4274.0584.9776.7217.46.85.85.96.35.95.566.25.45.20000
Kortlopende schulden 8.11810.34411.3288.5799.15603000000006.47.2813.15.3899.55614.3899.5567.5562222200000000000.50.6
Belastingschulden 0.8030.8030.8030.8030.8030.80310.62900000000000000000000000000000000
Uitgestelde opbrengsten 15.36614.8939.7211.0857.1855.1544.7232.882.3851.7491.9772.4522.031.6080.861.531.0520.6060.2872.3390.4071.2063.4020000000000000000
Overige kortlopende verplichtingen 318.945359.363318.185299.845272.801279.634235.058240.525217.587208.843189.776138.305147.044121.41152.944308.856212.625175.302156.84144.259171.251119.427128.408137.732129.510273.954.138.643.839.527.42620.722.50022.314
Totaal kortlopende verplichtingen 353.047397.883349.546317.275293.565295.708275.049249.371224.483221.18207.988152.005151.073127.6163.055329.894230.367196.127167.47163.569193.474134.247144.343146.453138.9110.881.78044.949.74533.432.226.127.721.222.122.814.6
Langlopende verplichtingen:
Langetermijnschulden 17.23518.78667.63934.05838.45-5.15430-2.8800000100.645252.87824.33243.97167.538914.38923.94433.543.0552729313300000004.10015.330.8
Uitgestelde opbrengsten niet-vlottend 15.36614.8930.8030.8030.8035.15410.6292.8800000-5.645-5.726000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend -344.929-14.89354.70255.15955.72257.79548.47269.69363.02863.75566.57293.45893.75192.25386.257104.54873.676.14858.98932.10311.4386.3932.9254.7086.97.37.850.51.43.83.22.74.86.764.623.3
Overige niet-vlottende verplichtingen 347.45613.0620.87820.05424.05225.01812.3814.64511.39710.3278.6077.0328.2765.6455.7264.06711.895001.4720000000-0.1-0.1-0.10.100.30.20.700.1-0.10
Totaal niet-vlottende verplichtingen 35.12831.846144.022110.074119.02782.813101.48184.33874.42574.08275.179100.49102.027192.898339.135132.947129.466143.68667.98947.96435.38239.89345.9831.70835.938.340.84.90.41.33.93.23511.564.717.234.1
Totaal passiva 388.175429.729493.568427.349412.592378.521376.53333.709298.908295.262283.167252.495253.1320.498502.19462.841359.833339.813235.459211.533228.856174.14190.323178.161174.8149.1122.584.945.35148.936.635.231.139.227.226.84048.7
Eigen vermogen:
Preferente aandelen 762.586694.287632.614565.27601.885517.97467.467384.0180.290000.1003.3110.010.3620.03300000000000000000000
Gewone aandelen 1.3121.3421.3841.4341.4971.5361.5711.591.6371.6671.6921.7221.7651.8611.9021.9121.9440.990.9861.0221.0491.0621.0921.0860.200000000000000
Ingehouden winsten 762.586694.287632.614565.27601.885517.97467.467384.018402.86420.226431.604405.914443.702471.159384.483289.682298.975258.069148.127134.595111.97274.01985.08572.5217.42.401.17.23.84.27.110.418.410.630.219.212.219.3
Overige gereserveerde algehele resultaten -37.032-48.967-19.843-16.798-23.504-33-19.908-37.955-25.29-8.8951.4876.2391.93.1571.258-11.3119.997.6383.9676.1514.684-1.358-1.974-1.659-71.4-57.5-49.5-48.1-61.50000000000
Overige totale aandeelhoudersvermogen 642.376612.875613.994624.731557.015588.671560.242571.443910.223834.615721.219624.305577.849565.393522.08482.41445.464363.453268.575262.174246.068216.284186.39125.473142.8114.895.9103.1110.347.547.342.337.534.725.917.624.925.523
Totaal eigen vermogen van aandeelhouders 2,131.8281,953.8241,860.7631,739.9071,738.7781,593.1471,476.8391,303.1141,289.721,247.6131,156.0021,038.181,025.3161,041.57909.723766.004756.383630.512421.688403.942363.773290.007270.593197.4217959.746.456.15651.351.549.447.953.136.547.844.137.742.3
Totaal eigen vermogen 1,290.8491,097.4471,079.705960.753908.351804.216737.561582.5741,289.721,247.6131,156.0021,057.3291,041.4591,056.7251,031.618878.874892.532739.892421.688403.942363.773290.007270.593197.4217959.746.456.15651.351.549.447.953.136.547.844.137.742.3
Totaal passiva en aandeelhoudersvermogen 2,520.0032,383.5532,354.3312,167.2562,151.371,971.6681,853.3691,636.8231,588.6281,542.8751,439.1691,309.8241,294.5591,377.2231,533.8081,341.7151,252.3651,079.705657.147615.475592.629464.147460.916375.582253.8208.8168.9141101.3102.3100.48683.184.275.77570.977.791