Realtidsuppskattning
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5-dagars förändring | Förändring 1 jan. | ||
155,91 USD | −0,40 % | +3,81 % | −39,96 % |
02.12. | Från Boeing till Intel: VD-avgångar i stora globala företag under 2024 | RE |
29.11. | Airbus har problem med att kapitalisera på Boeings kris - FT | FW |
Skatteperiod: December | 2014 | 2015 | 2016 | 2017 | 2018 | 2019 | 2020 | 2021 | 2022 | 2023 |
---|---|---|---|---|---|---|---|---|---|---|
TILLGÅNGAR | ||||||||||
Cash And Equivalents | 9,48 md | 7,75 md | 8,05 md | 14,61 md | 12,69 md | |||||
Short Term Investments | 459 mn | 17,76 md | 8,14 md | 2,57 md | 3,25 md | |||||
Total Cash And Short Term Investments | 9,94 md | 25,51 md | 16,19 md | 17,19 md | 15,94 md | |||||
Accounts Receivable, Total | 12,31 md | 9,95 md | 11,26 md | 11,15 md | 10,97 md | |||||
Other Receivables | - | - | - | 20 mn | 26 mn | |||||
Total Receivables | 12,31 md | 9,95 md | 11,26 md | 11,17 md | 10,99 md | |||||
Inventory | 76,62 md | 81,72 md | 78,82 md | 78,15 md | 79,74 md | |||||
Finance Division Loans and Leases Current | 162 mn | 101 mn | 117 mn | 154 mn | 99 mn | |||||
Deferred Tax Assets Current | - | - | - | - | - | |||||
Restricted Cash | 86 mn | 83 mn | 52 mn | 33 mn | 22 mn | |||||
Other Current Assets, Total | 3,11 md | 4,29 md | 2,22 md | 2,83 md | 2,48 md | |||||
Total Current Assets | 102 md | 122 md | 109 md | 110 md | 109 md | |||||
Gross Property Plant And Equipment | 33,03 md | 33,58 md | 32,89 md | 33,44 md | 34,6 md | |||||
Accumulated Depreciation | −19,34 md | −20,51 md | −20,54 md | −21,44 md | −22,24 md | |||||
Net Property Plant And Equipment | 13,68 md | 13,07 md | 12,36 md | 12 md | 12,35 md | |||||
Long-term Investments | 1,09 md | 1,02 md | 975 mn | 983 mn | 1,04 md | |||||
Goodwill | 8,06 md | 8,08 md | 8,07 md | 8,06 md | 8,09 md | |||||
Other Intangibles, Total | 3,34 md | 2,84 md | 2,56 md | 2,31 md | 2,09 md | |||||
Finance Division Loans and Leases Long-Term | 2,14 md | 1,94 md | 1,7 md | 1,45 md | 860 mn | |||||
Loans Receivable Long-Term | - | - | - | - | - | |||||
Deferred Tax Assets Long-Term | 683 mn | 86 mn | 77 mn | 63 mn | 59 mn | |||||
Other Long-Term Assets, Total | 2,4 md | 3,46 md | 4,15 md | 2,71 md | 3,24 md | |||||
Total Assets | 134 md | 152 md | 139 md | 137 md | 137 md | |||||
Skulder | ||||||||||
Accounts Payable, Total | 15,55 md | 12,93 md | 9,26 md | 10,2 md | 11,96 md | |||||
Accrued Expenses, Total | 10,45 md | 12,14 md | 11,33 md | 12 md | 12,26 md | |||||
Current Portion of Long-Term Debt | 6,84 md | 793 mn | 932 mn | 4,92 md | 5,13 md | |||||
Current Portion of Leases | 252 mn | 268 mn | 332 mn | 341 mn | 373 mn | |||||
Finance Division Debt Current | 500 mn | 900 mn | 300 mn | 200 mn | - | |||||
Current Income Taxes Payable | 670 mn | 43 mn | 5 mn | - | - | |||||
Unearned Revenue Current, Total | 51,55 md | 50,49 md | 52,98 md | 53,08 md | 56,33 md | |||||
Deferred Tax Liability Current | - | - | - | - | - | |||||
Other Current Liabilities | 11,5 md | 9,72 md | 6,85 md | 9,3 md | 9,77 md | |||||
Total Current Liabilities | 97,31 md | 87,28 md | 81,99 md | 90,05 md | 95,83 md | |||||
Long-Term Debt | 18,23 md | 60,99 md | 55,49 md | 50,47 md | 46,93 md | |||||
Long-Term Leases | 1,21 md | 1,29 md | 1,39 md | 1,45 md | 1,69 md | |||||
Finance Division Debt Non Current | 1,5 md | 700 mn | 1,2 md | 1,2 md | - | |||||
Pension & Other Post Retirement Benefits | 20,82 md | 18,54 md | 12,63 md | 8,64 md | 8,75 md | |||||
Deferred Tax Liability Non Current | 413 mn | 1,01 md | 218 mn | 230 mn | 229 mn | |||||
Other Non Current Liabilities | 2,44 md | 402 mn | 479 mn | 906 mn | 814 mn | |||||
Total Liabilities | 142 md | 170 md | 153 md | 153 md | 154 md | |||||
Common Stock, Total | 5,06 md | 5,06 md | 5,06 md | 5,06 md | 5,06 md | |||||
Additional Paid In Capital | 6,74 md | 7,79 md | 9,05 md | 9,95 md | 10,31 md | |||||
Retained Earnings | 50,64 md | 38,61 md | 34,41 md | 29,47 md | 27,25 md | |||||
Treasury Stock | −54,91 md | −52,64 md | −51,86 md | −50,81 md | −49,55 md | |||||
Comprehensive Income and Other | −16,15 md | −17,13 md | −11,66 md | −9,55 md | −10,3 md | |||||
Total Common Equity | −8,62 md | −18,32 md | −15 md | −15,88 md | −17,23 md | |||||
Minority Interest | 317 mn | 241 mn | 153 mn | 35 mn | 5 mn | |||||
Total Equity | −8,3 md | −18,08 md | −14,85 md | −15,85 md | −17,23 md | |||||
Total Liabilities And Equity | 134 md | 152 md | 139 md | 137 md | 137 md | |||||
Kompletterande objekt | ||||||||||
ECS Total Shares Outstanding on Filing Date | 563 mn | 583 mn | 583 mn | 598 mn | 610 mn | |||||
ECS Total Common Shares Outstanding | 563 mn | 582 mn | 589 mn | 598 mn | 610 mn | |||||
Book Value / Share | −15,31 | −31,45 | −25,47 | −26,58 | −28,27 | |||||
Tangible Book Value | −20,02 md | −29,24 md | −25,63 md | −26,25 md | −27,42 md | |||||
Tangible Book Value Per Share | −35,56 | −50,21 | −43,52 | −43,93 | −44,99 | |||||
Total Debt | 28,53 md | 64,94 md | 59,64 md | 58,58 md | 54,12 md | |||||
Net Debt | 18,59 md | 39,43 md | 43,45 md | 41,4 md | 38,18 md | |||||
Debt Equivalent of Unfunded Proj. Benefit Obligation | 15,93 md | 13,72 md | 7,82 md | 5,29 md | 5,43 md | |||||
Debt Equivalent Oper. Leases | 2,61 md | 2,88 md | 3,04 md | 3,37 md | 3,66 md | |||||
Minority Interest, Total (Incl. Fin. Div) | 317 mn | 241 mn | 153 mn | 35 mn | 5 mn | |||||
Equity Method Investments, Total | 1,03 md | 936 mn | 930 mn | 948 mn | 966 mn | |||||
Account Code - Inventory Valuation | 6 | 6 | 6 | 6 | 6 | |||||
Inventories - Work In Process, Total | 1,19 md | 823 mn | 872 mn | 582 mn | 686 mn | |||||
Inventories - Finished Goods, Total | 75,44 md | 80,89 md | 77,95 md | 76,78 md | 78,11 md | |||||
Inventories - Others | - | - | - | 794 mn | 946 mn | |||||
Land - (BS) | 527 mn | 512 mn | 377 mn | 376 mn | 377 mn | |||||
Buildings, Total | 14,29 md | 14,42 md | 14,15 md | 14,4 md | 14,8 md | |||||
Machinery, Total | 15,72 md | 16,06 md | 15,69 md | 15,84 md | 16,06 md | |||||
Full Time Employees | 161 tn | 141 tn | 142 tn | 156 tn | 171 tn | |||||
Accumulated Allowance for Doubtful Accounts (Supple) | 73 mn | 444 mn | 390 mn | 116 mn | 89 mn | |||||
Order Backlog | 463 md | 363 md | 377 md | 404 md | 520 md |