VeriSign, Inc.

NASDAQ:VRSN

199.96 (USD) • At close December 23, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 240.1373.6223.487401.194508.196357.415465.851231.945228.659191.608339.223130.7361,313.3491,559.6281,477.166789.0681,376.722501.184476.826330.641393.787282.288306.054460.36270.38222.83.9
Kortetermijnbeleggingen 686.3606.8982.318765.713709.863912.2541,948.91,565.9621,686.7711,233.0761,384.0621,425.732.86501.238001.011198.656378.006406.784329.899121.616420.643565.91386.09800
Liquide middelen en kortetermijnbeleggingen 926.4980.41,205.8051,166.9071,218.0591,269.6692,414.7511,797.9071,915.431,424.6841,723.2851,556.4361,346.2092,060.8661,477.166789.0681,376.722699.84854.832737.425723.686403.904726.6971,026.275156.4822.83.9
Nettovorderingen 13.68.112.9538.2141.52410.4811.45813.05112.63813.44813.63111.47724.42614.87463.133111.702208.799329.848279.766198.317100.12134.124314.923128.01122.7279.82.3
Voorraad 0-8.1-12.953-8.214-17.356-10.48-11.45800055.129113.28100167.716237.60372.435157.51996.26500000000
Overige vlottende activa 48.350.249.97742.819102.06536.88519.94445.76954.67957.84879.78560.49577.146102.217168.759724.065163.041222.67699.2170.38156.60166.27648.93932.1463.63521.18.7
Totaal vlottende activa 988.31,038.71,268.7351,217.941,278.5891,317.0342,446.1531,842.3421,967.9241,490.6071,803.1991,681.521,447.7812,177.9571,709.0581,624.8351,749.5731,332.3641,228.2751,006.123880.407604.3041,090.5591,186.432182.84253.714.9
Niet-vlottende activa:
Materiële vaste activa, netto 240.6232251.223245.571250.283253.905263.513266.125295.57319.028339.653333.861327.136190.319403.821382.241621.917605.292553.036512.621520.219609.354532.546105.60210.1949.28.6
Goodwill 52.552.552.52752.52752.52752.52752.52752.52752.52752.52752.52752.52752.52752.527289.98283.1091,082.421,449.4931,071.91725.427401.3711,129.6025,691.1690000
Immateriële activa 14514514514514514514514552.5270001.3212.61922.4235.312121.792333.431,297.212969.265618.0360017,656.641000
Goodwill en immateriële activa 197.5197.5197.527197.527197.527197.527197.527197.52752.52752.52752.52752.52753.84855.146312.4318.4211,204.2121,782.9231,297.212969.265618.0361,129.6025,691.16917,656.641000
Langetermijnbeleggingen 05.45.32910.37616.33215.01114.96115.30917.642000.413-86.59807.1460109.8280-16.1866.80921.74936.74100144.75100
Belastingvorderingen 301234.6230.71967.91487.798104.99215.3929.38517.361266.954437.6437.29986.598012.6950230.695179.02316.18619.05710.6669.65800000
Overige niet-vlottende activa 21.625.230.23127.58223.4826.0353.6423.8846.71325.74327.74524.91227.41420.58425.024247.735106.88874.65194.37678.99949.141.659223.234246.5473.3791.40.9
Totaal niet-vlottende activa 760.7694.7715.029548.97575.42597.47495.035492.23389.813664.252857.568419.012408.398266.049761.086948.3972,273.542,641.8891,944.6241,586.7511,219.811,787.0146,446.94918,008.79158.32410.69.5
Totaal activa 1,7491,733.41,983.7641,766.911,854.0091,914.5042,941.1882,334.5722,357.7372,154.8592,660.7672,100.5321,856.1792,444.0062,470.1442,573.2324,023.1133,974.2533,172.8992,592.8742,100.2172,391.3187,537.50819,195.222341.16664.324.4
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 12.59.8912.3416.23827.13810.51919.45523.29829.33524.84323.51919.28313.8434.69848.86337.554261.87568.293382.02545.563278.545313.447193.95210.9025.53.5
Kortlopende schulden 5.116.30000638.02629.764634.326631.191,284.689000000199000000000
Belastingschulden 49.537.426.79327.19430.30818.96113.47723.14416.94347.07919.85321.91828.44141.05524.571000000000000
Uitgestelde opbrengsten 931.1890.4847.411780.051755.178732.382713.309688.265680.483621.307595.221564.627502.538457.478653.702629.8552.07454.947368.413305.874245.483357.95471.329031.77700
Overige kortlopende verplichtingen 190.3173.8190.787169.108163.442169.109195.607161.321147.93591.645765.21384.954108.661140.34184.698298.215356.518443.455498.27411.696264.1628.8549.069471.52731.77717.16.2
Totaal kortlopende verplichtingen 1,188.51,116.91,073.991988.693965.166947.591,560.5281,521.9491,502.981,920.5562,029.186695.018658.923652.713897.669976.878946.1421,359.277938.133699.595555.206665.345833.845665.47942.67922.69.7
Langlopende verplichtingen:
Langetermijnschulden 1,792.41,789.51,788.1941,795.2421,474.8891,785.0471,782.5291,237.1891,235.354750750697.614690.086581.626574.3781,261.6551,265.2960000000000
Uitgestelde opbrengsten niet-vlottend 315328.7305.95282.838278.702285.72286.097287.424280.859269.047260.615247.955226.033205.56234.539215.281186.719159.439127.175107.59593.311125.89300000
Uitgestelde belastingverplichtingen niet-vlottend 00095.494312.6760.134444.108371.433294.194477.781437.643424.97325.527309.696144.77716.3782.98524.84918.5631.3190125.89326.5530000
Overige niet-vlottende verplichtingen 34.160.576.14800281.487128.197117.172114.79798.72244.52444.29843.71717.98120.11713.95239.621154.17416.38326.09139.218-105.238171.03659.135000
Totaal niet-vlottende verplichtingen 2,141.52,178.72,170.2922,168.4152,378.9432,352.3882,640.9312,013.2181,925.2041,117.7691,055.1391,414.8371,285.3631,114.863973.8111,496.3511,494.621190.4161.606165.005132.529146.548197.58959.135000
Totaal passiva 3,3303,295.63,244.2833,157.1083,344.1093,299.9784,201.4593,535.1673,428.1843,038.3253,084.3252,109.8551,944.2861,767.5761,871.482,473.2292,440.7631,549.6771,099.739864.6687.735811.8931,031.434724.61442.67922.69.7
Eigen vermogen:
Preferente aandelen 000000000000000000000002.527000
Gewone aandelen 11,80812,644.513,620.03814,275.160.3530.3520.3250.3240.3230.3220.320.3190.3170.3130.3080.3040.2970.2440.2460.2530.2420.2380.2340.1990.10300
Ingehouden winsten -13,386.4-14,204-14,877.772-15,662.602-16,477.49-17,089.789-17,694.79-18,184.954-18,625.599-19,000.835-19,356.095-19,900.545-20,220.577-20,363.468-21,194.435-21,439.41-21,033.452-20,929.497-21,147.368-21,553.829-21,740.054-21,480.175-16,518.878-3,162.926-47.452-51.4-31.4
Overige gereserveerde algehele resultaten -2.6-2.7-2.785-2.756-2.621-2.811-2.941-3.453-3.993-2.998-3.085-0.388-3.084-1.3347.65917.0061.975-8.398-26.464-7.538-4.63-12.85-26.828-37.31287.469-7.10
Overige totale aandeelhoudersvermogen 00-0014,989.65815,706.77416,437.13516,987.48817,558.82218,120.04518,935.30219,891.29120,135.23721,040.91921,736.20921,472.89522,559.04523,314.51123,368.4623,253.11123,128.09523,072.21223,051.54621,670.647258.23999.243.9
Totaal eigen vermogen van aandeelhouders -1,581-1,562.2-1,260.519-1,390.198-1,490.1-1,385.474-1,260.271-1,200.595-1,070.447-883.466-423.558-9.323-88.107676.43549.74150.7951,527.8652,376.862,031.6751,691.9971,383.6531,579.4256,506.07418,470.608298.35940.712.5
Totaal eigen vermogen -1,581-1,562.2-1,260.519-1,390.198-1,490.1-1,385.474-1,260.271-1,200.595-1,070.447-883.466-423.558-9.323-88.107676.43598.664100.0031,582.352,424.5762,073.161,728.2741,412.4821,579.4256,506.07418,470.608298.48741.714.7
Totaal passiva en aandeelhoudersvermogen 1,7491,733.41,983.7641,766.911,854.0091,914.5042,941.1882,334.5722,357.7372,154.8592,660.7672,100.5321,856.1792,444.0062,470.1442,573.2324,023.1133,974.2533,172.8992,592.8742,100.2172,391.3187,537.50819,195.222341.16664.324.4