Skyworks Solutions, Inc.

NASDAQ:SWKS

75.1 (USD) • At close August 28, 2025
Overzicht | Financiële gegevens

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989198819871986
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,368.6718.8566882.9566.7851.3733.31,616.81,083.81,043.6805.8511.1307.1410.087453.257364.221225.104241.577136.749116.522123.505161.50653.35862.41368.80214.02914.02914.3565.8153.53.51.73.41.71.74.910.59.69.6
Kortetermijnbeleggingen 194.115.620.3137.2408.1203.3294.100000000005.728.15113.32585.0343.988051.72784.9829.7319.7311.4931.2180000000000
Liquide middelen en kortetermijnbeleggingen 1,562.7734.4586.31,020.1974.81,054.61,027.41,616.81,083.81,043.6805.8511.1307.1410.087453.257364.221225.104247.277164.899229.847208.539165.49453.358114.14153.78423.7623.7615.8497.0333.53.51.73.41.71.74.910.59.69.6
Nettovorderingen 508.8864.31,094756.2358.5465.3655.8454.7416.6538317.6292.7297.589177.94175.232115.034146.71167.319158.798171.454157.772144.26794.42524.48536.98422.97222.97218.517.01913.513.213.213.313.810.810.811.111.211.2
Voorraad 784.81,119.71,212.1885806609.7490.2493.5424267.9270.8229.5232.92198.183125.05986.097103.79182.10981.52977.479.57258.16855.64315.66112.0348.7737.94110.267129.47.69.910.6119.810.88.811.311.1
Overige vlottende activa 484.7461.1337.5204.1178.310588.868.777.765.2354045.729.41230.18924.77519.05117.01315.61717.28117.98118.16623.977.04813.5727.3187.3180.8830.8570.80.81.21.1112.70.70.91.4
Totaal vlottende activa 3,3413,179.53,229.92,865.42,317.62,234.62,262.22,633.72,002.11,914.71,429.21,073.3883.3816.334789.865590.127494.656513.718420.843495.982463.864386.095227.396157.891220.00162.82362.82343.17335.17627.227.22328.327.527.526.734.33333
Niet-vlottende activa:
Materiële vaste activa, netto 1,471.91,595.51,827.81,667.71,417.41,205.61,140.9882.3806.3826.4555.9328.6279.4251.365204.363162.299173.36153.516150.383144.208143.534121.556143.773134.356114.19642.49742.49732.66428.60820.520.519.42529.229.232.535.638.538.5
Goodwill 2,176.72,176.72,176.72,176.71,189.81,189.81,189.8883873.3856.7851800.5800.513663.041485.587482.893483.671480.89493.389493.389504.4930050.86400000000000000
Immateriële activa 900.51,222.11,444.71,698.653.5107.9143.767.867457564.894.0186.80812.50918.24519.74613.44215.58617.7319.895527.695940.6866.86.800000000000000
Goodwill en immateriële activa 3,077.23,398.83,621.43,875.31,243.31,297.71,333.5950.8940.3901.7926865.3894.523749.849498.096501.138503.417494.332508.975511.119524.388527.695940.68657.670.800000000000000
Langetermijnbeleggingen 11.44.10.57.15.227.622.800000000000000000000000000000000
Belastingvorderingen 303.5192.352.7119.555.340.836.566.554.156.350.854.165.14160.86360.56991.47953.19214.4590.25116.05219.37222.76622.48716.121000000000000000
Overige niet-vlottende activa 78.356.5141.555.767.933.33340.352.620.311.911.814.211.97811.1599.86411.47413.88310.04420.48217.64832.55612.573.3732.8221.3611.3611.0921.4692.52.520.50.40.40.10.43.73.7
Totaal niet-vlottende activa 4,942.35,247.25,643.95,725.32,789.12,6052,566.71,939.91,853.31,804.71,544.61,259.81,253.31,074.055774.187762.464741.443676.19669.653691.861704.942704.5731,119.516158.228117.01843.85843.85833.75630.077232321.425.529.629.632.63642.242.2
Totaal activa 8,283.38,426.78,873.88,590.75,106.74,839.64,828.94,573.63,855.43,719.42,973.82,333.12,136.61,890.3891,564.0521,352.5911,236.0991,189.9081,090.4961,187.8431,168.8061,090.6681,346.912316.119337.019106.681106.68176.92965.25350.250.244.453.857.157.159.370.375.275.2
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 171.8159.2274.2236226.9190.5229.9258.4110.4291.1200.6126.5140.583115.29111.96769.09858.52756.41773.07172.27673.40550.36945.3514.34520.8210.710.75.7255.625.25.25.14.2000000
Kortlopende schulden 20.2327.7517.73328.20000000026.0895082.6175099.33550505041.6810.1290.1290.1290.9120.9121.8840.73.7230.30.30.30.30.30.20.3
Belastingschulden 52.558.848.888.631.20000000000000000000000000000000000
Uitgestelde opbrengsten 000000000000000000000000000000000000000
Overige kortlopende verplichtingen 358.2410386.2300.9162.1183.5159.8129.599.8172.89753.242.117105.71742.35745.2840.21341.47152.54935.95957.84644.766102.1487.09410.7648.5248.5249.5037.9787.37.375.312.712.7179.79.29.2
Totaal kortlopende verplichtingen 602.7955.71,226.9658.5448.4374389.7387.9210.2463.9297.6179.7182.7247.096204.324196.243148.74197.223175.62158.235181.251136.816147.62721.56831.71320.13620.13617.11216.76716.216.214.112.5131317.3109.49.4
Langlopende verplichtingen:
Langetermijnschulden 1,180.21,181.61,896.82,380.1150.700000000024.74341.483137.616200179.335230230275180.0390.1060.2350.7130.7131.6253.6145.55.55.75.25.35.35.767.87.8
Uitgestelde opbrengsten niet-vlottend 000000000000000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 00000312.4310.592.971.87141.645.9000000000003.8123.3013.1920000000001.41.52.83
Overige niet-vlottende verplichtingen 163.7206.7281.1255343.430.931.727.13225.3102.26.46.634.19818.3896.0865.5276.3386.4487.0445.9325.6774.272.2832.0811.6261.6262.371.4860.80.80.30.50.60.60.41.91.31.3
Totaal niet-vlottende verplichtingen 1,343.91,388.32,177.92,635.1494.1343.3342.2120103.896.3143.852.348.434.19843.13247.569143.143206.338185.783237.044235.932280.677184.3092.3896.1285.5315.5313.9955.16.36.365.75.95.96.19.311.911.9
Totaal passiva 1,946.62,3443,404.83,293.6942.5717.3731.9507.9314560.2441.4232231.171281.294247.456250.197291.883403.561361.403395.279417.183417.493331.93637.84132.5525.66721.10721.86717.922.520.118.214.718.923.419.320.521.326
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000000000000
Gewone aandelen 4039.94041.341.442.544.445.846.247.647.34748.07446.59745.06643.20441.39840.27540.41439.65639.00337.15134.39710.889.9784.0132.6362.53100000000000
Ingehouden winsten 6,032.95,8765,421.95,185.84,820.44,312.63,732.93,059.62,263.61,469.2794.9378.9100.803-101.275-327.86-399.794-493.083-604.089-661.739-573.586-599.197-621.609-170.19367.17942.65618.276-3.214-13.5162.1-1.7-4.66.99.99.77.92322.926.126.9
Overige gereserveerde algehele resultaten -5.6-5.6-4.8-7.9-7.8-7.9-8.8-8.5-10.9-8.2-4.9-0.9-1.593-1.331-1.297-1.38-1.18-0.214-0.599-1.137-0.786-0.632-0.084575.4932.8-0.014-0.043-0.07400000000000
Overige totale aandeelhoudersvermogen 269.4172.411.977.9-689.8-224.9328.5968.81,242.51,650.61,695.11,676.11,758.1911,665.1041,600.6871,463.0991,397.0811,350.3751,351.0171,327.6311,312.6031,258.2651,150.856-343.196-784.30558.73981.60666.74568.55929.428.928.728.628.5282827.927.827.8
Totaal eigen vermogen van aandeelhouders 6,336.76,082.75,4695,297.14,164.24,122.34,0974,065.73,541.43,159.22,532.42,101.11,905.4751,609.0951,316.5961,105.129944.216786.347729.093792.564751.623673.1751,014.976299.178226.55481.01455.82243.38657.527.724.335.638.538.235.95150.853.954.7
Totaal eigen vermogen 6,336.76,082.75,4695,297.14,164.24,122.34,0974,065.73,541.43,159.22,532.42,101.11,905.4751,609.0951,316.5961,105.129944.216786.347729.093792.564751.623673.1751,014.976299.178226.55481.01455.82243.38657.527.724.335.638.538.235.95150.853.954.7
Totaal passiva en aandeelhoudersvermogen 8,283.38,426.78,873.88,590.75,106.74,839.64,828.94,573.63,855.43,719.42,973.82,333.12,136.6461,890.3891,564.0521,355.3261,236.0991,189.9081,090.4961,187.8431,168.8061,090.6681,346.912337.019259.104106.68176.92965.25375.450.244.453.853.257.159.370.371.375.280.7