Teradyne, Inc.

NASDAQ:TER

118.32 (USD) • At close August 29, 2025
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 542.372448.752715.5011,014.589784.147467.468451.779257.692-43.421206.47781.272164.947217.049347.893379.73-133.837-398.60271.883202.643-60.457132.619-193.993-718.469-202.215453.616191.694102.117127.60893.574159.28470.94135.19422.518.3-21.310.2
Afschrijvingen & Amortisatie 119.741111.117110.096112.529110.922120.655113.224108.075120.009140.773152.544150.687142.799113.32499.887106.08194.7667.49573.5491.168100.132152.488159.689138.668101.86286.38676.30459.15150.90343.14635.334.54235.336.634.633.8
Uitgestelde Inkomstenbelasting -46.36-37.642-38.693-17.305-15.688-9.45628.3437.105-62.936-7.124-4.411-4.2845.556-146.669-3.88100-0.75-4.185-30.955-0.365-2.013145.326-47.091-44.242-4.101-14.6071.341-14.6073.921.4943.828-0.2-0.8-6.82.5
Aandelen Gebaseerde Vergoedingen 000000000000000000000000000000000000
Verandering in Werkkapitaal 23.876-9.638-272.584-98.766-69.379-51.71-163.529183.08840.7569.29952.356-49.724-40.396-94.00751.62578.47338.652-44.224172.143-53.742-23.66518.88237.673-1.877-29.3889.14352.611-176.02576.304-95.691-20.08215.648-17.2-21.430.98.6
Vorderingen -52.65970.97750.628-57.778-129.451-70.44-17.938-80.58418.325-57.2678.06-3.656-24.09366.367-51.247-15.565118.196-33.71773.323-63.03112.127-58.34800000000000000
Voorraden 8.7075.327-80.8096.495-8.438-27.408-29.49844.9634.26315.55951.17221.1717.652-0.6154.62463.377-3.07445.17978.46770.477-5.47656.298128.275158.669-235.319-2.346-16.99-131.01420.584-57.111-14.173-12.114-3.82.69.2-3.2
Crediteuren -54.38646.782-60.507129.49973.16749.27913.69343.574-1.70648.213-45.4315.103-32.81-48.22262.40946.678-34.3972.75311.211-54.366-37.49124.02500000000000000
Overig Werkkapitaal 122.214-132.724-181.896-176.982-4.657-3.141-129.786175.138-10.1262.79438.554-82.341-1.145-111.53735.839-16.017-42.073-58.4399.142-6.8227.175-3.095109.398-160.546205.93991.48969.601-45.01155.72-38.58-5.90927.762-13.4-2421.711.8
Overige Niet-Contante Posten 32.54772.64263.60387.31958.93351.79347.06740.535391.39161.163210.3015.64979.52453.22339.43970.6428.32333.7835.94568.30846.1073.693171.53314.869-10.9974.354-0.8041.377-0.264.8811.7521.5440.3-0.4-0.34
Kasstroom uit Operationele Activiteiten 672.176585.231577.9231,098.366868.935578.75476.881626.495445.799410.588492.062267.275404.532273.764566.8121.317163.133128.187450.08614.322254.82834.166-4.248-78.972470.859367.476238.62113.452250.824115.5489.40591.79840.732.340.959.1
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -198.095-159.642-163.249-132.472-184.977-134.642-114.379-105.375-85.272-89.878-168.982-106.731-119.08-86.097-76.044-41.932-87.202-103.688-110.417-113.474-154.558-30.83-46.434-198.18-235.189-119.78-119.457-106.436-59.494-79.197-24.556-20.568-19.5-14.6-27.7-44.4
Netto Overnames 90.34803.41-120.149-79.742-161.55400-282.741-19.419-14.9990-537.4890-3.741-530.278.79484.61734.01402.114-8.39226.251.88500000000000
Aankoop van Beleggingen -577.856-161.906-287.409-661.781-900.196-662.701-918.744-1,391.917-1,656.267-1,424.002-1,578.743-1,168.621-751.129-691.802-870.777-90.369-135.475-388.385-396.922-402.911-367.037-290.409-394.877-232.131-587.044-382.474-182.092-303.207-393.194-190.961-19.76600000
Verkoop/verval van Beleggingen 62.388146.443490.999926.614514.684717.5132,116.5611,229.4271,096.0261,681.8011,430.0871,008.831266.2691,194.869318.0741.036286.206589.167618.495293.06237.249220.594377.438188.399571.11288.814244.951357.982256.814126.619000000
Overige Investeringsactiviteiten 0.873-4.54000.5462.9121.1265.0645.0511.0984.184-0.307039.0621.0911.07617.64310.7650.406370.486-8.563-15.834-29.925-31.676-63.053-31.376-44.983-25.695-15.735-24.35-5.003-11.633-7.3-302.8
Kasstroom uit Investeringsactiviteiten -622.342-179.64543.751120.361-569.794-156.66923.01-262.801-640.462-113.722-334.208-281.667-603.94-81.457-627.66-93.93-449.098116.653196.179181.175-292.909-114.365-102.19-247.338-312.291-244.816-101.581-77.356-211.609-167.889-49.325-32.201-26.8-17.6-27.7-41.6
Financieringsactiviteiten:
Schuldaflossingen 0-50.264-66.759-342.990000450.80-190.972-2.534-2.533-2.518-2.30549.345119.6740-304.648-98.672-11.467-43.391-0.871342.937-5.283-1.3-1.6-2.4-3.557.385-1.584-14.72.5-0.2-13.2-28.8
Uitgifte van Gewone Aandelen 23.2313.471-4.4370.3835.51314.5710.9511.61288.32519.5321.29117.59618.47617.38544.67915.70317.81723.17123.27234.72730.251100.51341.23958.54355.26382.326.644.113.45524.91417.05933.615.713.53.64.2
Terugkoop van Gewone Aandelen -198.574-397.241-752.082-600-88.465-500-823.478-200.304-146.331-299.949000-31.17500-91.192-273.665-137.56300000-147.472-207.8-51.2-104.5-29.8330-24.597-2.30000
Uitgekeerde Dividenden -76.423-67.878-69.711-65.977-66.482-61.305-67.322-55.447-48.619-50.713-37.4250000000000000000000000000
Overige Financieringsactiviteiten 0000-8.852-27.615-13.571-1.05-5.4994.7150.5352.208-51.352001.049000000000-0.0290-0.1008.275-0.002-0.1000
Kasstroom uit Financieringsactiviteiten -251.767-501.912-892.989-1,008.584-158.286-574.349-903.421-245.189237.842-326.417-206.57117.27-35.408-16.30842.37466.09746.299-250.494-418.939-63.94518.78457.12240.368401.48-97.492-126.829-26.194-62.88-19.92832.299-0.84716.59818.113.3-9.6-24.6
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -2.284-0.8763.889-2.065-0.658-0.5690.4393.454000000-0.5146.548-3.3-2.611-0.089209.147000000000000-13.9-14.7-13.2-17.5
Netto Kasstroomverandering -204.217-97.202-267.426208.078140.197-152.828496.909121.95943.179-29.551-47.3822.718-234.816175.999-19100.032-242.966-8.265227.237340.6990-23.077-66.0775.1761.076-4.169110.846-126.78419.287-20.0539.23376.19518.113.3-9.6-24.6
Kaspositie aan het Einde van de Periode 553.354757.571854.7731,122.199914.121773.924926.752429.843307.884264.705294.256341.638338.92573.736397.737416.737316.705559.671567.936340.699209.147228.444251.521317.591242.421181.345185.51474.668201.452182.165182.811143.57853.520.7-5.7-13.7