Viavi Solutions Inc.

NASDAQ:VIAV

10.53 (USD) • At close November 8, 2024
Overzicht | Financiële gegevens

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 476.3506.5559.9697.8539521.5611.41,004.4482.9347.9297.2281401.1395.4340.2286.9265.6362.9364.9511.2327.5241.9412.4762.831975.439.829.252.52.9322.6
Kortetermijnbeleggingen 19.914.61.41.61.51.5169.3432.2484.7465.3552.2205.2320.5297.4227.4398.3608769.9857.3793.31,221.2992.21,0381,049.4795.3158.50000000
Liquide middelen en kortetermijnbeleggingen 496.2521.1561.3699.4540.5523780.71,436.6967.6813.2849.4486.2721.6692.8567.6685.2873.61,132.81,222.21,304.51,548.71,234.11,450.41,812.21,114.3233.939.829.252.52.9322.6
Nettovorderingen 244.9231.2260.9256.5235.5233.8217.5120.4148.4302.5296.2273.3305.8334275.8201.7305.5268.9341.1112.3112.797.5134.4508.8381.6120.940.420.316.78.84.33.73.4
Voorraad 96.5116.1110.194.983.3102.792.34851.4152.5153.3145.8174.5171.2125.7144.8188.9204.3202.297.412584.1110287.6375.487.920.818.710.65.53.42.62.3
Overige vlottende activa 38.972.1147.98.711.34442.521.747.98.510.27.9106.17366.25037.810.966.365.389.694.587.5101.620.96465.547.2712.61.20.8
Totaal vlottende activa 876.59451,005.11,112.1913.6916.81,152.61,6671,211.71,378.81,415.21,030.31,310.21,304.11,074.61,108.21,429.11,660.71,8051,588.21,8661,514.61,857.33,036.31,972.9463.6165133.712724.223.39.59.1
Niet-vlottende activa:
Materiële vaste activa, netto 264243228.9196172.5179.9170.5136.9133294.6288.8247252.7248.9183191.1213.2210.5201.2162.1195.6283.4491.51,173670.7181.156.531.320.33.52.322.3
Goodwill 452.9455.2387.6396.5381.4381.1336.3151.6152.1261.1267115.168.767.4668.3796.2710656.7190.2204.8166.207,045.6000000000
Immateriële activa 38.258.654.288148.1211.6235.131.159.9112.4177.8149.7176.9275.4357.4322.6416.1411.5362285.1286.2254.4509.7022,337.83,444.223.4118.93.2000
Goodwill en immateriële activa 491.1513.8441.8484.5529.5592.7571.4182.7212373.5444.8264.8245.6342.8423.4330.91,212.31,121.51,018.7285.1286.2254.4509.77,045.622,337.83,444.223.4118.93.2000
Langetermijnbeleggingen 5.84.99.96.70.50.60.75.14.54.60.80.81.32.95.115.125.63.110.832.642.447.595.60000000000
Belastingvorderingen 82.58786.3109.3105.4108.4114.5109.5108.8147.6183.3155.5003.26.23.67.12.342727.643.9806.3000000000
Overige niet-vlottende activa 16.456.855.952.854.816.712.99.313.117.424.716.857.65214.318.322.322.427.18.44.310.36.5184.21,407.77.224.41.617.610.60.30.2
Totaal niet-vlottende activa 859.8905.5822.8849.3862.7898.3870443.5471.4837.7942.4684.9557.2646.6629561.61,4771,364.61,260.1492.2555.5623.21,147.29,209.124,416.23,632.5104.343.946.87.72.92.32.5
Totaal activa 1,736.31,850.51,827.91,961.41,776.31,815.12,022.62,110.51,683.12,216.52,357.61,715.21,867.41,950.71,703.61,669.82,906.13,025.33,065.12,080.42,421.52,137.83,004.512,245.426,389.14,096.1269.3177.6173.831.926.211.811.6
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 50.447.258.363.25363.455.532.647119.8137.197.7117.6145.4137.4106.6129.6111.5126.675.174.148.666.2190.6195.238.114.94.85.42.21.21.31.2
Kortlopende schulden 9.896.268.4414.22.892.9275.374.669.8117.4136.1132.8292.8148.70.20.283135.600001.3015.1006.10.500.10.10.1
Belastingschulden 5.38.721.127.513.9117.65.53.36.821.418.720.721.519.820.37.84.723.97.75.83960.40000000000
Uitgestelde opbrengsten 65.778.68169.754.655.371.960.278.681.877.571.981.283.5146.995.575.1290000241.80000000000
Overige kortlopende verplichtingen 121.2121.5161.6157.9122.472.4158.561.43154.363.345.3162.54166.4107.6157.771.8295.8164.7276.2374.2173.2657.9436.9110.730.914.47.74.733.12.2
Totaal kortlopende verplichtingen 247.1343.5369.3705232.8284561.2228.8226.4373.3414347.7654.1418.6350.9309.9445.4347.9422.4239.8350.3422.8482.5848.5647.2148.845.825.313.66.94.34.53.5
Langlopende verplichtingen:
Langetermijnschulden 636629.5616.5255.6600.9578.8557.9931.4588.3561.6536.332.435.4285.8267.1325425808900466.9464.705.512.8410006.1000.10.3
Uitgestelde opbrengsten niet-vlottend 25.723.419.419.82013.213.71422.723.622.725.816.10-2.1-5.6-0.400-4.30000000000000
Uitgestelde belastingverplichtingen niet-vlottend 11.713.99.524.323.914.620.1-14-22.7-23.69.3114.702.15.60.419.904.32727.641.7672.4902.1318.2000.700.60.50.4
Overige niet-vlottende verplichtingen 134.2149.4141.5181.9187.3198.7149163.9179.1178.7187.6137120.4180.9176.9174.3218.3114159.1448.416.33.45.220.29.95.62.50.20.2000
Totaal niet-vlottende verplichtingen 807.6816.2786.9481.6832.1805.3740.71,095.3767.4740.3755.9206.2176.6466.7444499.3643.3941.91,059.1510.9500.143.950.6690.4963.3328.15.62.570.20.60.60.7
Totaal passiva 1,054.71,159.71,156.21,186.61,064.91,089.31,301.91,324.1993.81,113.61,169.9553.9830.7885.3794.9809.21,088.71,289.81,481.5750.7850.4466.7533.11,538.91,610.5476.951.427.820.67.14.95.14.2
Eigen vermogen:
Preferente aandelen 0000000001.500000000000052.80000000000
Gewone aandelen 0.20.20.20.20.20.20.20.20.20.20.20.20.20.20.20.20.20.21.71.41.41.41.41.30.90.20000000
Ingehouden winsten -69,646.5-69,600.7-69,542.3-69,393.7-69,397.2-69,384.5-69,393.3-69,305.8-69,380.7-68,873.5-68,780.6-68,607.6-68,664.6-68,609-68,680.6-68,537.6-67,585.7-67,450.8-67,424.5-67,273.3-67,012-66,896.5-65,962.7-57,224.4-1,102.5-197.8-88.2-7.111.898.266.8
Overige gereserveerde algehele resultaten -144-136-156.4-97.2-165.9-134.6-102.4-92.410-4811.18.67.532.815.122.677.942.512.64.24.68.933.7-117.2-17.2-5.7-17.6-11.7-5.7-4.9-4.2-3.4-2.6
Overige totale aandeelhoudersvermogen 70,471.970,427.370,370.270,265.570,274.370,244.770,216.270,184.470,059.870,022.769,95769,760.169,693.669,641.469,57469,375.469,32569,143.668,993.868,597.468,577.168,557.368,346.268,046.825,897.43,822.5323.7168.6147.120.717.34.13.2
Totaal eigen vermogen van aandeelhouders 681.6690.8671.7774.8711.4725.8720.7786.4689.31,102.91,187.71,161.31,036.71,065.4908.7860.61,817.41,735.51,583.61,329.71,571.11,671.12,471.410,706.524,778.63,619.2217.9149.8153.224.821.36.77.4
Totaal eigen vermogen 681.6690.8671.7774.8711.4725.8720.7786.4689.31,102.91,187.71,161.31,036.71,065.4908.7860.61,817.41,735.51,583.61,329.71,571.11,671.12,471.410,706.524,778.63,619.2217.9149.8153.224.821.36.77.4
Totaal passiva en aandeelhoudersvermogen 1,736.31,850.51,827.91,961.41,776.31,815.12,022.62,110.51,683.12,216.52,357.61,715.21,867.41,950.71,703.61,669.82,906.13,025.33,065.12,080.42,421.52,137.83,004.512,245.426,389.14,096.1269.3177.6173.831.926.211.811.6