VMware, Inc.

NYSE:VMW

142.48 (USD) • At close November 21, 2023
Overzicht | Financiële gegevens

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

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Operationele Activiteiten:
Nettowinst 4772244942313472425863984114257914344473863156214,926505502334644942-440443334232441319265161373256172196326194167199335261244.1173.569205.769157191.7191.436200.428177.538220.158125.812119.8884.674.53878.42156.40938.21932.53569.935111.45483.28852.33643.05578.15564.67834.22441.08
Afschrijvingen & Amortisatie 3363313283163022882842812752692682612522442471901781741651571521568980808583878688908783769091818376828791.24393.27686.43489.39285.76686.22873.98574.70980.94977.0971.11758.55653.78856.75655.4244.92741.38341.09140.64439.45937.43431.56527.64323.62221.197
Uitgestelde Inkomstenbelasting -150-87-37-101-37-4312-6117-482520-98-98-146-108-5,06331-50-62461802866543-816-1913-1812-21-6-15-13-36-50-29153237.1-28.121-27.225-33.72711.119-34.955-227.23910.23111.119-12.077-413.692-4.088-0.126-4.221-13.376-11.596-7.755-6.8440-8.87683.063-36.3440-22.4460-6.591
Aandelen Gebaseerde Vergoedingen 310290349348311283262258293263253304293272312230208194200192177161170182169163165170152150135126123119131133139128122113103.2115.925123.802119.487100.981.80680.75988.37985.44280.57386.50173.65767.83663.69767.83362.35251.45649.815035.31742.07242.161031.73700.106
Verandering in Werkkapitaal -532986493467-523241-37220-135320-38146-186574352135-67501148-3844317522002249-2325758333-121-41-31309-11123283383146201143.4305.66894.1198.79541.632272.206210.179223.069236.879239.629172.43445.76775.334181.547110.63454.993118.50497.843105.28697.734-9.28368.2399.06174.8035.6537.005
Vorderingen -600672-602162-453675-62641-189395-139181-432352-28384-321384-476125-221393-406290-322325-73796-127544-622203-226531-560163-288418-431152-172.6380.259-469.94767.054-91.296226.55-336.12346.174-54.75781.34-236.36251.553-77.543185.231-279.3925.0916.5374.161020.803-25.1320.846037.06200
Voorraden 19100000-4121373-711-148-93216-405237-153159-527263-305264-331913-167134-3167-69103-146161-8298-13437-22218-92130-8871.3-154.332124.905-3.984108.12-39.451150.63239.143213.18960.502138.971-9.009167.144-26.8130000092.58855.591-15.305045.61500
Crediteuren -9-40-1079-3-281117565-65-1521-10213113-2130-6101-75-2015917-1618-281-216-4927493-1114-226.6-8.31-2.4268.6994.89412.525-3.96-10.846-11.1059.3984.292-1.9719.207-2.64712.699-2.203-11.16-17.222010.88-18.6027.47208.57800
Overig Werkkapitaal -1143541,105226-67-406990149-2457131473963737720194631382112-3326832097189-1044214664-37339-16081-393854215068433139218.188.051441.57827.02619.91472.582399.63148.59889.55288.389265.5335.194-23.47425.776377.32752.105123.13440.904105.286-26.537-21.1475.21799.061-16.4525.6537.005
Overige Niet-Contante Posten 3654-3-630-633725-17311-45-258517-13247186-236-775-100-854-10636-14-25-2-9-8-11-14-6-52-80.718.1383.6458.229-43.418-19.655211.054-49.691-165.511-36.969364.402-74.354-60.015-18.285.435-0.0223.6537.10714.981-4.602-57.013-21.356-45.20721.91822.13512.101
Kasstroom uit Operationele Activiteiten 4441,7501,6321,2653971,0051,1371,0908641,2661,3249927191,3741,0858106991,2731,0127697871,095847970620775463620577720488411316683414606409750688637534.1676.422493.377436.218391.325576.604561.409523.511462.796477.917406.615196.699216.123354.952283.691199.366243.32259.239272.812243.505150.634133.18163.574198.33385.631104.898
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -94-105-123-108-113-106-123-106-87-70-82-84-76-87-64-50-88-71-66-57-61-61-99-59-57-49-44-30-38-41-59-90-78-106-98-100-76-77-98-94-76.1-77.843-81.639-74.812-44.336-33.671-52.911-76.087-120.623-54.468-56.405-38.16-48.306-52.973-38.549-23.089-44.588-65.76-95.016-70.625-63.669-53.186-59.978-197.253-36.207-23.256
Netto Overnames 0-8-120-1-3-70-6-10-19-56-296-38-1-2,052-339-48-419-499-3-28-441-7-2770-150-590-1700-21-47-440-1,068-105630-184.4860-1,242.048-102.16600-99.522-189.138-14.95-15.955-125.82-60.6-106.550-356.27800-47.917-57.3630-33.289-7.017-54.10800
Aankoop van Beleggingen -3020-30-8-5-1-60-13-5-6-5-12-9-80-5-2-388-393-934-1,187-1,674-512-405-1,133-1,111-1,126-651-587-1,071-1,027-974-999-1,482-531-953-573-917.4-736.927-469.042-764.574-1,247.855-707.213-584.397-1,084.769-537.038-612.767-482.001-964.655-660.0510-3.2-5.72-25-0.74500-1.7500000
Verkoop/verval van Beleggingen 000002093426826000-10004,3008287435198179281,0659667521,1868917067566431,141756768772699564647480521.3667.538361.082348.272625.536679.294-516.649463.443576.881371.189361.193157.76-19.31008.8440000000000
Overige Investeringsactiviteiten 100-200846941070184200203231200-2201-45-27611-20-3-861-8-10.048-37.195759.921-8.4274.253973.598145.966-141.241-57.495.3750-138.636-16.8480-8.8440.54900.032000.8960.6730.555-27.7960.692
Kasstroom uit Investeringsactiviteiten -87-113-135-111-30-91-117-69-72-72-81-145-360-126-76-2,111-435-993,81327232239-657-325-94540728824-321-4562742-7-397-353-371-862-1,198-508-189-443.2-331.67-226.794-973.241-777.248-57.337-180.359-650.969-411.159-368.486-187.793-970.875-926.903-176.371-41.749-385.087-69.039-66.505-142.901-127.988-65.419-85.579-66.322-250.806-64.003-22.564
Financieringsactiviteiten:
Schuldaflossingen -1-1-251-501-751-751-2,020-271-1-1-1-1,501-1,263-1-500-1,400-100000-1,225-1,2250000000000000-4500000000000000000000000000000
Uitgifte van Gewone Aandelen 42212451193128813191223610614933103782891182870725415235515547591188127047.267.88938.93669.62833.554111.04152.33284.572110.54390.17175.46139.939106.132109.77561.14384.91777.1034.50322.6934.09109.65823.66901,035.23300
Terugkoop van Gewone Aandelen -112-190-122-48-111-183-392-191-544-427-472-299-291-296-196-283-594-795-171-36-97-94-249-949-57-545-626-1,041-48-24-108-217-502-472-292-70-303-198-160-107-164.1-204.029-203.622-153.836-229.541-13.63769.521-315.335-132.66-147.72917.529-95.857-147.829-42.254-6.161-7.06-11.449-6.797-3.666-4.339-17.359-19.1190000
Uitgekeerde Dividenden -109-189-1,748-426-750-750-11,499000-2,755000-1,400000-11,000000000000000000000-1,5000000000000000000000000000000
Overige Financieringsactiviteiten 1091891,7484267507503,9985,944002,7550-911,9841,1341,993000-8001,2253,9610096-3001282215112,991101225.622.21527.22524.53132.70153.682-96.976117.00652.5928.096-29.9268.58764.58323.91813.3768.3654.2430.230.5055.84456.73522.6920-128.9400
Kasstroom uit Financieringsactiviteiten -109-189-371-425-857-815-9,9105,610-537-297-464-1,678-1,6091,793-948403-592-692-11,16438-89-3-2311,81513-538-615-981-5028-105-161-459-416-2834-281931-138-25-91.3-113.925-137.461-59.677-163.286151.08624.877-113.75730.473-29.46263.06352.66922.88691.43968.35886.22269.897-2.06419.52935.595149.03427.2420906.29300
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0000000000001-1-20000000000000000000000000000-0.30.009000000000000000000000
Netto Kasstroomverandering 2481,4481,126729-49099-8,8906,631255897779-831-1,2493,04059-898-328482-6,3391,0791,0201,131-412,460-312644136-337206292410292-150-130-222239-73448342423-0.4230.827129.122-596.7-549.209670.353405.927-241.21582.1179.969281.885-721.507-687.894270.02310.3-99.499244.178190.67149.44151.112234.24974.84397.252853.8221.62882.334
Kaspositie aan het Einde van de Periode 6,8236,5755,1274,0013,2723,7623,66312,5535,9225,6674,7703,9914,8226,0713,0312,1503,0483,3762,8949,2338,1547,1345,9716,0123,5523,8642,7902,6542,9912,7852,4932,0831,7911,9412,0712,2932,0542,7882,3052,2631,839.71,840.1491,609.3221,480.22,076.92,626.1091,955.7561,549.8291,791.0441,708.9341,628.9651,347.082,068.5872,756.4812,486.4612,176.1612,275.662,031.4821,840.8121,691.3721,540.261,306.0111,231.1681,133.916280.096258.468