Wolfspeed, Inc.

NYSE:WOLF

8.81 (USD) • At close September 19, 2024
Overzicht | Financiële gegevens

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

20242023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199519941993
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,045.9-9.7449.5379448.8500.5118.924132.597166.154139.71286.824190.069178.885390.598397.431417.653261.63393.88188.76870.92581.47264.79573.744164.562103.84342.517.710.410.23.74.99.4
Kortetermijnbeleggingen 1,128.72,964.6749.3775.6790.9550.9268.161478.341439.151573.481875.642833.846565.628695.199668.974127.49950.795148.774167.45102.54376.69175.24238.40443.64158.3030000000
Liquide middelen en kortetermijnbeleggingen 2,174.62,954.91,198.81,154.61,239.71,051.4387.085610.938605.305713.1911,162.4661,023.915744.5131,085.7971,066.405417.653312.428242.655256.218173.468158.163140.037112.148208.202262.14642.517.710.410.23.74.99.4
Nettovorderingen 289.8155.6151.5102.379129.1156.309156.432171.915186.157225.16192.507152.258125.265117.535104.561120.20187.61572.37947.19749.51845.55136.67536.1216.29916.310.57.76.43.62.11.5
Voorraad 461.2327.5227166.6121.9187.4296.015284.385300.317280.576284.78197.001188.849176.482112.24178.84180.16171.06829.99431.24919.42817.67417.96615.2029.3242.53.93.21.70.60.6
Overige vlottende activa 74150.9151.427.98.719.720.19123.3944.78854.851101.485102.343744.5131,085.7971,066.40528.3812.60.3010.39429.5167.7846.0937.1166.3921.254742.41.92.47.35
Totaal vlottende activa 2,999.63,625.71,762.41,478.71,592.81,412.8890.091,100.631,153.4821,308.251,773.8911,515.7661,164.2811,456.8951,355.163629.436532.868434.132376.498281.43234.893209.355173.905265.916289.01969.834.724.421.711.414.916.5
Niet-vlottende activa:
Materiële vaste activa, netto 3,751.52,2041,481.11,292.3770.8625.2661.319581.263599.723625.982605.713542.833582.461555.929419.726320.11348.013372.345342.238341.396273.342251.346211.685226.92137.11869.936.524.320.26.443.2
Goodwill 359.2359.2359.2359.2349.7530620.33618.828618.828616.345616.345616.345616.345326.178313.019304.791244.003141.7770000083.28200000000
Immateriële activa 23.9115.9125.4140.5156.9197.9390.054274.315302.81317.154336.423357.525376.075102.86106.109113.328126.03796.13830.28628.89119.8317.1464.2513.2462.3241.71.51.31.31.20.80.6
Goodwill en immateriële activa 383.1475.1484.6499.7506.6727.91,010.384893.143921.638933.499952.768973.87992.42429.038419.128418.119370.04237.91530.28628.89119.8317.1464.25186.5282.3241.71.51.31.31.20.80.6
Langetermijnbeleggingen 81.62.6449.5138.455.939.557.50150.36640.17957.595-29.414-26.125-21.744-17.857-18.82329.55758.6040119.4103.79172.7358.7940000000000
Belastingvorderingen 1.11.2111.25.66.45111.76338.56439.1929.41426.12521.74417.85718.82310.0224.5781.22710.09223.5312.5620.93427.365000000000
Overige niet-vlottende activa 767.7312.1-261.136.7303.75.911.812.7029.249-19.20611.99719.9418.3364.865.159-2.677-0.69670.61121.686-1.63124.64416.11986.98935.75957.7412.800.10.61.90.30
Totaal niet-vlottende activa 4,9852,9952,155.11,968.11,638.21,404.11,747.4551,549.2371,609.3531,637.061,570.4781,536.6441,583.217989.827844.013775.131780.539682.098523.702495.978393.107354.339330.29349.207197.18374.43825.722.19.55.13.8
Totaal activa 7,984.66,620.73,917.53,446.83,2312,816.92,637.5452,649.8672,762.8352,945.313,344.3693,052.412,747.4982,446.7222,199.1761,404.5671,313.4071,116.23900.2777.408628563.694504.195615.123486.202144.272.750.143.820.92020.3
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 53570.9307.7381.188.1200.9151.307133.185129.06154.038202.294121.44178.87376.59363.82638.7737.40232.9423.21423.46525.10214.91613.07514.14814.2047.55.62.22.71.10.40.4
Kortlopende schulden 7.40.50.55.23.6300000000000000000000000000
Belastingschulden 19.611.60.41.238.05311.14812.722.03514.8481.3153.83415.49314.3758.1395.3144.50400000000000000
Uitgestelde opbrengsten 62.3433722.914.245.800000000000000.0678.4375.5330000000000
Overige kortlopende verplichtingen 542.647.543.339.6185.318.596.98678.83890.71491.658104.36185.9770.30463.72356.26589.91187.27321.50914.17612.50411.4437.8438.9797.5918.85821.51.20.40.30.20.2
Totaal kortlopende verplichtingen 665.3661.9388.5448.8291.2268.2248.293212.023219.774245.696306.655207.411149.177140.316120.091128.681124.67554.44937.3936.03644.98228.29222.05421.73923.0629.57.13.43.11.40.60.6
Langlopende verplichtingen:
Langetermijnschulden 6,161.14,184.31,031.2833.9795.2469.129214516020000000000000000008.700000
Uitgestelde opbrengsten niet-vlottend 8.9000.69.8000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 10.83.93.22.51.823.05649.860.94312.17412.17325.50415.73521.90239.39842.75238.04844.5533.3128.4543.886003.8504.72.21.60000
Overige niet-vlottende verplichtingen 256.4148.755.344.543.836.422.11520.17914.29421.08435.39512.84322.69522.9411.6398.3864.9441.2321.887000.0300.43700-0.200000
Totaal niet-vlottende verplichtingen 6,437.24,336.91,089.7881.5850.6507.5317.171215.039175.237233.25847.56838.34738.4344.84251.03751.13842.99245.78235.19728.4543.8860.030.0374.28704.710.71.6000.10
Totaal passiva 7,102.54,998.81,478.21,330.31,141.8775.7565.464427.062395.011478.954354.223245.758187.607185.158171.128179.819167.667100.23172.58764.4948.86828.32222.09126.02623.06214.217.853.11.40.70.6
Eigen vermogen:
Preferente aandelen 0000000.0020000000000000000000000000
Gewone aandelen 0.20.20.20.10.10.10.1250.1210.1250.1310.1490.1480.1440.1360.1350.1120.110.1060.0960.0940.0910.0920.090.0910.0880000000
Ingehouden winsten -2,928.4-2,064.2-1,764-1,563.1-1,039.2-847.5-482.71-202.742-0.613174.873788.581772.496687.238654.807508.307356.017325.692292.287234.955158.28267.1399.179-25.72276.00148.15618.85.1-1.2-4.7-4.9-4.9-4.5
Overige gereserveerde algehele resultaten -11.6-25.1-25.32.7169.50.5965.9098.7285.79811.4058.24411.00713.09112.17111.2368.9239.82611.7586.25.627-0.218-0.696-5.776-0.820000000
Overige totale aandeelhoudersvermogen 3,821.93,7114,228.43,676.83,106.22,874.12,549.1232,419.5172,359.5842,285.5542,190.0112,025.7641,861.5021,593.531,507.435857.383811.015713.78580.804548.342506.275526.319508.432518.781415.716111.249.846.345.424.424.224.2
Totaal eigen vermogen van aandeelhouders 882.11,621.92,439.32,116.52,083.12,036.22,067.1362,222.8052,367.8242,466.3562,990.1462,806.6522,559.8912,261.5642,028.0481,224.7481,145.741,015.999827.613712.918579.132535.372482.104589.097463.1413054.945.140.719.519.319.7
Totaal eigen vermogen 882.11,621.92,439.32,116.52,089.22,041.22,072.0812,222.8052,367.8242,466.3562,990.1462,806.6522,559.8912,261.5642,028.0481,224.7481,145.741,015.999827.613712.918579.132535.372482.104589.097463.1413054.945.140.719.519.319.7
Totaal passiva en aandeelhoudersvermogen 7,984.66,620.73,917.53,446.83,2312,816.92,637.5452,649.8672,762.8352,945.313,344.3693,052.412,747.4982,446.7222,199.1761,404.5671,313.4071,116.23900.2777.408628563.694504.195615.123486.202144.272.750.143.820.92020.3