Veeco Instruments Inc.

NASDAQ:VECO

28.7 (USD) • At close November 4, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst -30.368166.94226.038-8.391-78.733-407.088-44.793-122.21-31.978-66.94-42.26330.928127.987361.76-15.632-71.063-17.35914.917-0.897-62.555-9.747-123.7310.3090.50220.412.712.386.82.2-0.4
Afschrijvingen & Amortisatie 24.96625.64526.05830.69734.39949.99850.09532.6539.8524.57318.42516.19212.89212.85421.61625.08924.99130.0829.81131.26424.85827.92922.65415.5515.84.71.61.61.21.41.3
Uitgestelde Inkomstenbelasting -2.211-118.04-0.651-0.2990.36-27.62-33.8750.942.648-11.33-12.264-0.3411.276-25.141-0.4141.5691.3321.370.92939.864-1.37-22.643-13.406-22.036-3.3-1.1-1.7-0.60.1-1.30
Aandelen Gebaseerde Vergoedingen 28.55822.99415.24912.70315.2716.07424.39615.74117.98618.81313.1314.26812.8079.6488.53710.5265.622.2190.138000000000000
Verandering in Werkkapitaal -58.4979.98-17.78-13.743-16.773-56.03626.639-20.226-11.62554.65620.44658.187-89.4156.21138.9437.32721.225-2.02514.552-9.5636.13-6.498-31.778-31.69-11.5-10.1-10.4-2-6-1.9-0.3
Vorderingen 13.271-12.826-26.664-30.3615.79621.8214.52-8.66710.715-25.3938.84431.21556.843-83.16-24.52720.06215.1143.761-8.83700018.748-24.1220000000
Voorraden -35.158-37.288-24.803-11.52814.969-24.6786.336-5.389-12.3126.5132.75353.937-19.385-49.53516.9696.202-1.331-10.51820.741-10.2368.1123.553-8.399-20.299-4.7-8.8-12.2-5.6-4.9-2.1-0.3
Crediteuren -8.81-13.11520.22515.959-26.945-19.67212.197-24.2029.47-7.7797.542-12.1068.0987.299-0.542-7.921-4.0499.1556.053000-14.9727.0460000000
Overig Werkkapitaal -27.873.20913.46212.187-10.593-31.3583.58618.032-19.49881.312-28.693-14.859-134.971131.60747.043-11.01611.491-4.423-3.4050.673-1.982-10.051-27.1555.685-6.8-1.31.83.6-1.10.20
Overige Niet-Contante Posten 99.2260.96218.82822.05438.061386.93411.68469.261-1.09222.2973.253-7.27239.895-171.1184.79970.8163.376-0.5460.3771.3891.8995.98933.96466.367-0.51.10.80.2-0.1-0.6-0.5
Kasstroom uit Operationele Activiteiten 61.674108.48367.74243.021-7.416-37.73834.146-23.84415.78942.0690.727111.963115.442194.21457.84944.26439.18546.01544.910.99921.77-2.15721.74310.3121410.86.87.220.80.1
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -27.93-24.604-40.643-6.802-10.873-12.654-24.272-11.479-13.887-15.588-9.174-24.994-60.364-10.724-8.347-12.806-9.092-17.401-11.676-15.476-8.077-8.644-19.18-17.81-10.5-8.1-9.1-3.8-1-0.4-0.4
Netto Overnames -30.37344.27640.6436.80210.873-2.662-401.8289.512-0.068-144.069-71.4880-28.273225.188-12.252-10.9810-3.068-15.038-10.5-131.1050-59.557-13.8353.1000000
Aankoop van Beleggingen -177.88-104.014-247.256-248.023-192.988-93.046-282.947-103.394-85.838-160.125-591.49-175.421-588.453-506.103-13500-0.163-0.1030-3.5-2.585-308.204-436.013-395.9000000
Verkoop/verval van Beleggingen 182.85359.738330.702173.53127.34990.065348.927152.30188.647318.276499.645244.929707.64932.9710000.04708.8358.6078.621311.58460.031345000000
Overige Investeringsactiviteiten 4.973-44.276-38.9182.701-10.228-2.9812.284-0.234.0689.6094.4513.80775.735137.0470.8340.1030.3121.8492.264.3952.8335.5467.9462.969-3.30-4.400-0.10
Kasstroom uit Investeringsactiviteiten -53.33-68.8844.528-71.792-75.867-18.297-357.83646.71-7.0788.103-168.05648.321106.294-121.621-154.765-23.684-8.78-18.736-24.557-12.746-131.2422.932-75.361-4.658-61.6-8.1-13.5-3.8-1-0.5-0.4
Financieringsactiviteiten:
Schuldaflossingen -1.7110-115.604-81.2400-1.194-0.34-0.314-0.29-0.269-0.248-105.803-0.213-0.1960000000000000000
Uitgifte van Gewone Aandelen 4.6183.6983.4022.8783.1063.0642.9921.6562.23300000130.0860.6813.17215.5242.1335.7182.9691.7635.96431.27455.43.62.10.314.600
Terugkoop van Gewone Aandelen -11.009-8.248-8.992-2.322-2.98-11.457-2.869-13.349-8.907-2.075-2.696-1.725-162.077-38.09809.644000000000000000
Uitgekeerde Dividenden 0000000000000000000000000000000
Overige Financieringsactiviteiten -7.587-04.755110.338-2.98-0.005330.003-0.945-0.9829.981-5.4975.80317.94563.81611.979-43.322-62.656-19.875-0.355-0.333-0.31710.243185.27-5.691-2.2-2.2-0.2-0.2-0.21.9-0.1
Kasstroom uit Financieringsactiviteiten -4.68-4.55-122.02929.0980.126-11.462325.94-14.634-10.2039.691-5.7665.555-249.93525.505141.869-32.997-59.484-4.3511.7785.3852.65212.006191.23425.58353.21.41.90.114.41.9-0.1
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -0.016-0.053-0.0520.0050.026-0.0040.042-0.02-0.0870.149-0.6630.7960.989-1.466-0.163-0.867-0.884-0.3812.092-0.192-0.645-1.642.1192.3310.3-1-0.20.2-0.1-0.2-0.2
Netto Kasstroomverandering 3.64835-9.8110.332-83.131-67.5012.2928.212-1.57960.012-173.758166.635-27.2196.63244.79-13.284-29.96322.54724.223-6.554-107.46511.141139.73533.5685.93.1-53.615.32-0.6
Kaspositie aan het Einde van de Periode 159.12155.472120.472130.283129.951213.082279.736277.444269.232270.811210.799384.557217.922245.132148.589103.799117.083147.046124.499100.276106.83214.295203.15463.4229.423.518.521.217.62.40.5