Skyworks Solutions, Inc.

NASDAQ:SWKS

98.06 (USD) • At close October 17, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 982.81,275.21,498.3814.8853.6918.41,010.2995.2798.3457.7278.1202.078226.585137.29493.289111.00657.65-88.15225.61122.412-451.416-236.06433.37324.3821.4910.302-15.5723.82.8-11.5-30.1
Afschrijvingen & Amortisatie 613.7690.1436.7364.3371.6299.2254.8247.8195.8122.7103.4102.75476.5352.70950.53153.39843.69242.35341.22741.04843.4560.62616.019.9057.9416.7735.9214.74.24.54.74.8
Uitgestelde Inkomstenbelasting -151.268.4-59.5-14.5-6.127.32.2-25.7-3.93.313.712.90612.3738.543-27.182-36.648-1.74116.5473.2533.3940.351-23.117-1.89610.86-2.6270000000
Aandelen Gebaseerde Vergoedingen 185.1195.2191.9156.680.1107.888.57899.88671.772.17258.33840.74123.46623.21213.73714.21900000000000000
Verandering in Werkkapitaal 161-827.5-303.8-132.354.5-79.5141.1-199.9-61.3125.426.2-109.048-10.664-55.43248.3635.06-39.974-7.707-42.595.633-109.861-80.4959.531-7.477-1.2212.3492.328-6.6-260.6-3
Vorderingen 229.8-337.8-397.771.7190.5-193.8-37.1121.4-222.2-12.44.9-109.2-0.22-60.90129.947-0.6142.20331.206001.156026.8000000000
Voorraden 90.8-337.3-41.2-190.4-119.611.9-69.2-147.33.6-6.13.4-19.314-49.694-38.81815.678-16.082-0.247-3.4542.172-21.404-12.102-4.413-3.745-3.261-0.8322.3260.77-2.6-1.82.30.60.4
Crediteuren -87.131.359.661.1-33-126147.8-181.590.574.2-14.115.244-14.3542.8699.2192.11-16.6540.795005.01902.5000000000
Overig Werkkapitaal -72.5-183.775.5-74.716.634.662.5128.9-155.457.336.9-104.97853.61.418-6.48119.646-25.276-36.254-44.76227.037-103.934-76.082-16.024-4.216-0.3890.0231.558-4-0.23.70-3.4
Overige Niet-Contante Posten 6523.28.415.613.7-12.6-25.50.3-35.9-22.76.64.3772.6599.10721.68217.6511.41449.96626.69619.426445.424179.9560.5751.253-0.0572.3241.848-0.602.50.10.1
Kasstroom uit Operationele Activiteiten 1,856.41,424.61,7721,204.51,367.41,260.61,471.31,095.7992.8772.4499.7285.239365.818222.962210.149173.67884.77827.22654.19791.913-72.052-99.09457.59338.92125.52621.748-5.4751.351.52.42
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -236.1-509.7-652.1-398.5-423.4-430.9-315.4-195.3-430.1-208.6-123.8-94.129-100.66-88.929-39.172-64.832-42.596-49.359-38.135-59.998-40.294-29.412-54.748-34.584-17.73-11.039-7.951-12-5-2.6-2.8-1.3
Netto Overnames -25.87.7-2,751398.5423.4-404-13.7-55.6-24.6-148.50-229.628-249.284-6.4-10.356-32.62700061.01067.102-7.03500002.50000
Aankoop van Beleggingen -288.8-97.2-500.8-790.5-360.5-683.712.100000000-7.5-955.596-1,009.81-1,251.47-5-3.9880-134.813-220.181-17.943-2.335-4.03-120000
Verkoop/verval van Beleggingen 294220.3770.7607.6447368.23.20000.820.900010978.0461,094.9851,223.1813.988035.422174.821110.8419.7052.066.95580000
Overige Investeringsactiviteiten 32.37.7255.6-398.5-423.4-324.1-12.1-6000.8-208.7000-32.62706.5670-61.010-3.070.1200.0340.1091.191-0.10.100.10
Kasstroom uit Investeringsactiviteiten -224.4-378.9-3,133.2-581.4-336.9-1,150.4-325.9-250.9-454.7-357.1-123-302.857-349.944-95.329-49.528-94.959-20.14642.383-66.424-61.01-44.28270.042-14.62-143.924-25.934-11.205-3.835-13.6-4.9-2.6-2.7-1.3
Financieringsactiviteiten:
Schuldaflossingen -900-50-250-79.9-41.8000000-48.047-50-80.709-57.88300000000000000000
Uitgifte van Gewone Aandelen 1,075.36.42,524.679.941.85753.828.1000000018.0498.2661.7465.2443.512103.7550.0427.201112.9991.9491.5380.5725.80.50.10.10.1
Terugkoop van Gewone Aandelen -211.2-975.3-250.8-680.6-680.3-807.5-481.5-598.9-291.5-187.8-203.5-30.984-90.135-4.412-2.389-2.063-31.681-0.1730000000-0.268000000
Uitgekeerde Dividenden -405.2-373.1-340.6-307-273.9-243.2-214.6-201-123.1-41.40000000000000000000000
Overige Financieringsactiviteiten -1,038.129.5-5.879.941.75783.7-4.7114.3108.630.8-7.14581.09146.52438.768-111.17863.611-50.95507.618120.72780.37-2.992-1.141-1.868-3.2723.229-5.61.2-0.71.5-0.4
Kasstroom uit Financieringsactiviteiten -1,479.2-1,362.61,677.4-907.7-912.5-993.7-612.4-804.6-300.3-120.6-172.7-86.176-59.044-38.597-21.504-95.19240.196-49.3825.24411.13224.48280.4124.209111.8580.081-2.0023.79920.21.7-0.61.6-0.3
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 00000000000000000000000000000000
Netto Kasstroomverandering 152.8-316.9316.2-284.6118-883.553340.2237.8294.7204-103.794-43.1789.036139.117-16.473104.82820.227-6.98342.033108.14851.3647.1826.855-0.3278.541-5.5117.91.8-1.71.30.4
Kaspositie aan het Einde van de Periode 718.8566882.9566.7851.3733.31,616.81,083.81,043.6805.8511.1306.293410.087453.257364.221225.104241.577136.749116.522203.539161.50653.35868.80220.88414.02914.3565.81511.43.51.73.52.1