Veeco Instruments Inc.

NASDAQ:VECO

28.7 (USD) • At close November 4, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199519941993
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 159.12154.925119.747129.625129.294212.273279.736277.444269.232270.811210.799384.557217.922245.132148.589103.799117.083147.046124.499100.276106.83214.295203.15463.4229.423.518.521.217.62.30.4
Kortetermijnbeleggingen 146.664147.488104.181189.771115.25248.18947.7866.787116.05120.572281.538192.234273.591394.181350000000026.8950000000
Liquide middelen en kortetermijnbeleggingen 305.784302.413223.928319.396244.546260.462327.516344.231385.282391.383492.337576.791491.513639.312283.589103.799117.083147.046124.499100.276106.83214.295203.15490.31529.423.518.521.217.62.30.4
Nettovorderingen 127.388140.728127.902101.23771.01777.20598.86658.0249.52460.08523.82363.16995.038150.52884.35859.65975.20786.58989.2385.91469.8968.77788.44998.24858.44333.319.81912.79
Voorraad 257.035206.908170.858145.906133.067156.311120.26677.06377.46961.47159.72659.807113.434108.48777.56494.9398.594100.35588.904110.64397.62286.25101.419100.06256.753.339.121.315.810.78.4
Overige vlottende activa 16.07118.30525.62819.30114.96622.22133.43716.03422.7623.13235.01932.15554.559124.2463.1058.6111.5511.94312.5112.13540.51649.94169.46853.6166.57.362.82.12.40.9
Totaal vlottende activa 706.278668.901549.387586.931475.878520.08596.992501.508542.135555.662613.643744.484754.5441,022.573456.435266.998302.434345.933315.143308.968314.858419.263462.49342.235211127.196.965.154.528.118.7
Niet-vlottende activa:
Materiële vaste activa, netto 142.836133.748128.55675.54690.16480.28485.05860.64679.5978.75289.13998.30286.06742.3259.38964.37266.14273.5169.80673.51372.74255.87278.54760.09441.937.221.59.87.47.48
Goodwill 214.964181.943181.943181.943181.943184.302307.131114.908114.908114.95991.34855.82855.82852.00359.42238.818100.898100.89899.62294.64572.98930.658125.58500000000
Immateriële activa 43.94523.88733.90546.18561.51885.149369.84358.378131.674159.308114.71620.97425.88216.89329.69759.1659.64768.905177.811188.23991.83184.41414.5949.4815.54.24.34.44.64.74.8
Goodwill en immateriële activa 258.909205.83215.848228.128243.461269.451676.974173.286246.582274.267206.06476.80255.82852.00359.42297.978160.545169.803177.811188.23991.83184.414140.1799.4815.54.24.34.44.64.74.8
Langetermijnbeleggingen -022002121212119.416.88414.494-10.8850-3.105-2.185-2.649-2.565-2.873.54112.37617.48323.519-45.3030000000
Belastingvorderingen 117.901116.3491.6391.441.5491.8692.9532.0451.3841.180.3970.93510.8859.4033.1052.1852.6492.5652.873.09618.13628.88846.83245.3030000000
Overige niet-vlottende activa 3.1171.3551.5466.0197.0368.1324.310.0470.0980.19421.8422.28739.62421.73530.1260.1930.2130.3545.1-0.44486.5210.8983.95211.4736.94.3510.90.71.1
Totaal niet-vlottende activa 522.763459.282349.589311.133342.21380.736790.295257.024348.654373.793334.326192.82181.519125.461148.937162.543226.9243.667252.717267.945281.606187.555293.02981.04854.345.730.815.212.912.813.9
Totaal activa 1,229.0411,128.183898.976898.064818.088900.8161,387.287758.532890.789929.455947.969937.304936.0631,148.034605.372429.541529.334589.6567.86576.913596.464606.818755.519423.283265.3172.8127.780.367.440.932.6
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 42.38352.04944.45633.65621.28139.61150.31822.60730.07418.11135.75526.08740.39832.2229.11229.6136.63940.58831.28925.47619.60313.07819.65733.13416.415.620.111.28.77.43.9
Kortlopende schulden 4.02520.1694.4374.1484.1963.92653.890.3680.340.3140.290.2680.2480.2290.2120.19625.555.5970.3750.3540.3330.3123.5441.4318.20.20.10003.1
Belastingschulden 1.8252.4321.860.9140.831.2563.8462.3116.2085.4416.1498.7723.53256.3690.8290.3542.2782.7232.1231.7023.73.8088.632.3430000000
Uitgestelde opbrengsten 118.026127.22363.13667.23554.8772.736108.95385.02276.21696.00434.75442.09910.2754.1092.521.3463.250.25151.1691.1962.145.96614.56600000000
Overige kortlopende verplichtingen 53.59958.46377.17541.64237.87743.7810.29535.51255.60153.97957.39243.833116.547244.738107.27467.31862.47951.4372.6665.1435.31648.80166.787.20736.625.822.310.48.34.65
Totaal kortlopende verplichtingen 218.033257.904189.204146.681118.224160.053223.456143.509162.231168.408128.191112.287167.468281.296139.11898.47127.91897.87385.49392.16657.39268.157104.467121.77261.241.642.521.6171212
Langlopende verplichtingen:
Langetermijnschulden 274.941288.072262.272327.42310.368287.392275.630.8261.1931.5331.8472.1382.406103.792100.964108.669121.035203.607229.205229.581229.935230.273215.51914.6318.816.92.400021.9
Uitgestelde opbrengsten niet-vlottend 31.5290-4.792-5.24-5.64800000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 6.5521.2854.7925.245.6485.6936.84513.19911.21116.39728.0527.1375.02905.0394.543.7122.4231.04800010.1572.6812.70.90.70.30.10.20
Overige niet-vlottende verplichtingen 25.5443.0989.87215.58914.9849.90610.6436.4031.5394.1859.6494.530.640.4341.1922.3911.9782.3043.5272.8142.8080.8151.4051.2910.20.20.30.40.50.40.4
Totaal niet-vlottende verplichtingen 338.566292.455272.144343.009325.352302.988323.11820.42813.94322.11539.54813.8058.075104.226107.195115.6126.725208.334233.78232.395232.743231.088227.08118.60311.7183.40.70.60.622.3
Totaal passiva 556.599550.359461.348489.69443.576463.041546.574163.937176.174190.523167.739126.092175.543385.522246.313214.07254.643306.207319.273324.561290.135299.245331.548140.37572.959.645.922.317.612.634.3
Eigen vermogen:
Preferente aandelen 0000000000000000000000000000000
Gewone aandelen 0.5640.5170.5070.4970.490.4850.4820.4070.410.4040.3970.3930.4350.4090.3820.3160.3120.3090.30.2980.2950.2920.290.2470.2000000
Ingehouden winsten -532.169-501.801-681.283-707.321-698.93-619.983-213.376-168.583-45.058-13.0853.8696.123265.317137.436-224.324-202.778-131.715-113.528-128.445-127.548-64.993-55.24668.48458.17572.549.830.29.61.6-5.2-6.7
Overige gereserveerde algehele resultaten 1.6070.9281.4831.8461.8941.821.8121.7771.3481.4694.6215.9736.595.7967.1417.1675.2853.5942.9918.135.270.586-3.81-2.142-0.6-15.9-10.3-6.5-5.3-4.3-2.6
Overige totale aandeelhoudersvermogen 1,202.441,078.181,116.9211,113.3521,071.0581,055.4531,051.795760.994757.915750.139721.352708.723488.178618.871575.86409.982399.795391.376373.741371.472365.757361.941359.007226.628120.379.361.954.953.537.87.6
Totaal eigen vermogen van aandeelhouders 672.442577.824437.628408.374374.512437.775840.713594.595714.615738.932780.23811.212760.52762.512359.059214.687273.677281.751248.587252.352306.329307.573423.971282.908192.4113.281.85849.828.3-1.7
Totaal eigen vermogen 672.442577.824437.628408.374374.512437.775840.713594.595714.615738.932780.23811.212760.52762.512359.059215.471274.691283.393248.587252.352306.329307.573423.971282.908192.4113.281.85849.828.3-1.7
Totaal passiva en aandeelhoudersvermogen 1,229.0411,128.183898.976898.064818.088900.8161,387.287758.532890.789929.455947.969937.304936.0631,148.034605.372429.541529.334589.6567.86576.913596.464606.818755.519423.283265.3172.8127.780.367.440.932.6