Document
ASML - 美国通用会计准则综合营运报告摘要
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
| | 三个月结束, | | 九个月结束, | |
| | 10月1日, | | 9月29日, | | 10月1日, | | 9月29日, | |
(未经审核,以百万欧元为单位,每股数据除外) | | 2023 | | 2024 | | 2023 | | 2024 | |
| | | | | | | | | |
净系统销售 | | 5,308.2 | | | 5,926.0 | | | 16,256.1 | | | 14,652.8 | | |
网络服务和现场选项销售 | | 1,364.8 | | | 1,541.3 | | | 4,065.4 | | | 4,347.3 | | |
总净销售额 | | 6,673.0 | | | 7,467.3 | | | 20,321.5 | | | 19,000.1 | | |
| | | | | | | | | |
销售总成本 | | (3,211.4) | | | (3,673.9) | | | (9,902.7) | | | (9,297.9) | | |
毛利润 | | 3,461.6 | | | 3,793.4 | | | 10,418.8 | | | 9,702.2 | | |
| | | | | | | | | |
研究和开发成本 | | (991.4) | | | (1,055.2) | | | (2,939.3) | | | (3,187.7) | | |
销售、一般及管理费用 | | (287.8) | | | (297.0) | | | (829.1) | | | (847.3) | | |
| | | | | | | | | |
营业收入 | | 2,182.4 | | | 2,441.2 | | | 6,650.4 | | | 5,667.2 | | |
| | | | | | | | | |
利息及其他净额 | | 7.1 | | | (0.8) | | | 36.0 | | | 13.5 | | |
税前收入 | | 2,189.5 | | | 2,440.4 | | | 6,686.4 | | | 5,680.7 | | |
| | | | | | | | | |
所得税支出 | | (343.7) | | | (441.2) | | | (1,050.2) | | | (956.8) | | |
税后净利润 | | 1,845.8 | | | 1,999.2 | | | 5,636.2 | | | 4,723.9 | | |
| | | | | | | | | |
与股权法投资相关的盈利 | | 47.6 | | | 77.3 | | | 154.7 | | | 154.3 | | |
净利润 | | 1,893.4 | | | 2,076.5 | | | 5,790.9 | | | 4,878.2 | | |
| | | | | | | | | |
每股普通股的基本净利润 | | 4.81 | | | 5.28 | | | 14.71 | | | 12.40 | | |
每普通股稀释后每股净利润 | | 4.81 | | | 5.28 | | | 14.70 | | | 12.39 | | |
| | | | | | | | | |
用于计算每股金额的普通股加权平均数量(以百万计): |
基础 | | 393.4 | | | 393.2 | | | 393.8 | | | 393.3 | | |
稀释 | | 393.7 | | | 393.6 | | | 394.0 | | | 393.6 | | |
ASML - 比率和其他数据
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
| | 三个月结束, | | 九个月结束, | |
| | 10月1日, | | 9月29日, | | 10月1日, | | 9月29日, | |
(未经审核,以百万欧元为单位,除另有标明外) | | 2023 | | 2024 | | 2023 | | 2024 | |
| | | | | | | | | |
毛利润占净销售额百分比 | | 51.9 | % | | 50.8 | % | | 51.3 | % | | 51.1 | % | |
营运收入占营业收入比例的百分比 | | 32.7 | % | | 32.7 | % | | 32.7 | % | | 29.8 | % | |
净利润占营业收入比例的百分比 | | 28.4 | % | | 27.8 | % | | 28.5 | % | | 25.7 | % | |
所得税占税前所得比例的百分比 | | 15.7 | % | | 18.1 | % | | 15.7 | % | | 16.8 | % | |
股东权益占总资产比例的百分比 | | 32.0 | % | | 38.7 | % | | 32.0 | % | | 38.7 | % | |
光刻机系统销售量(单位) 1 | | 112 | | | 116 | | | 325 | | | 286 | | |
| | | | | | | | | |
| | | | | | | | | |
系统订单价值 2 | | 2,602 | | | 2,633 | | | 10,854 | | | 11,811 | | |
| | | | | | | | | |
全职雇员数量 | | 39,850 | | | 42,372 | | | 39,850 | | | 42,372 | | |
临时雇员数量 | | 2,416 | | | 1,417 | | | 2,416 | | | 1,417 | | |
1. 光刻机系统不包括计量和检测系统。
2. 所有板块包括所有经已接受书面授权的系统销售订单和通胀相关调整。
ASML - 美国通用会计准则合并资产负债表摘要
| | | | | | | | | | | | | | | |
| | 十二月三十一日, | | 9月29日, | |
(未经审核,单位:百万欧元) | | 2023 | | 2024 | |
| | | | | |
资产 | | | | | |
现金及现金等价物 | | 7,004.7 | | | 4,979.3 | | |
短期投资 | | 5.4 | | | 5.2 | | |
应收帐款净额 | | 4,334.1 | | | 5,160.6 | | |
融资应收款,净额 | | 1,379.2 | | | 640.7 | | |
当前税款资产 | | 1,001.2 | | | 324.4 | | |
合同资产 | | 240.1 | | | 553.6 | | |
存货净值 | | 8,850.7 | | | 11,414.5 | | |
| | | | | |
其他资产 | | 1,578.5 | | | 1,785.7 | | |
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全部流动资产 | | 24,393.9 | | | 24,864.0 | | |
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融资应收款,净额 | | 60.6 | | | 370.5 | | |
递延税款贷项 | | 1,872.3 | | | 1,939.0 | | |
| | | | | |
应收贷款 | | 929.2 | | | 928.6 | | |
其他资产 | | 651.8 | | | 733.5 | | |
权益法投资 | | 919.6 | | | 1,083.4 | | |
商誉 | | 4,588.6 | | | 4,588.6 | | |
其他无形资产净值 | | 741.7 | | | 652.9 | | |
不动产、厂房及设备,净额 | | 5,493.2 | | | 6,211.9 | | |
租赁资产 | | 306.6 | | | 393.7 | | |
非流动资产总额 | | 15,563.6 | | | 16,902.1 | | |
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资产总额 | | 39,957.5 | | | 41,766.1 | | |
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负债和股东权益 | | | | | |
流动负债 | | 16,274.7 | | | 16,025.8 | | |
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流动负债合计 | | 16,274.7 | | | 16,025.8 | | |
| | | | | |
长期负债 | | 4,631.5 | | | 4,692.2 | | |
透过资本化来弥补这些处于失灵状态中的其他税务负债 | | 372.2 | | | 346.9 | | |
合约负债 | | 4,825.5 | | | 4,103.9 | | |
应计利益及其他负债 | | 401.2 | | | 445.7 | | |
非流动负债总额 | | 10,230.4 | | | 9,588.7 | | |
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总负债 | | 26,505.1 | | | 25,614.5 | | |
| | | | | |
股东权益总额 | | 13,452.4 | | | 16,151.6 | | |
总负债及股东权益 | | 39,957.5 | | | 41,766.1 | | |
ASML - 美国公认会计原则综合现金流量表摘要
| | | | | | | | | | | | | | | | | | | | | | | | | | |
| | 三个月结束时, | | 九个月结束时, |
| | 10月1日, | | 9月29日, | | 10月1日, | | 9月29日, |
(未经审核,以百万欧元为单位) | | 2023 | | 2024 | | 2023 | | 2024 |
| | | | | | | | |
营运活动现金流量 | | | | | | | | |
净利润 | | 1,893.4 | | | 2,076.5 | | | 5,790.9 | | | 4,878.2 | |
| | | | | | | | |
调整以将净利润调解为营运活动现金流量: | | | | | | | | |
折旧和摊销 | | 176.2 | | | 235.7 | | | 527.7 | | | 677.6 | |
减损及亏损(利得)于处置时 | | 20.4 | | | 6.8 | | | 27.5 | | | 24.7 | |
股份报酬费用 | | 41.5 | | | 53.3 | | | 93.2 | | | 119.6 | |
| | | | | | | | |
库存储备 | | 102.3 | | | 154.8 | | | 274.6 | | | 387.0 | |
递延所得税费用(效益) | | (138.9) | | | (114.6) | | | (84.7) | | | (116.5) | |
权益法投资 | | (53.8) | | | (81.0) | | | (171.5) | | | (165.5) | |
资产变动 | | (913.0) | | | (1,381.6) | | | (4,211.3) | | | (4,183.7) | |
营运活动之净现金提供(使用)量 | | 1,128.1 | | | 949.9 | | | 2,246.4 | | | 1,621.4 | |
| | | | | | | | |
投资活动现金流量 | | | | | | | | |
购入不动产、厂房及设备 | | (501.8) | | | (414.9) | | | (1,571.6) | | | (1,363.2) | |
购置无形资产 | | (8.3) | | | (0.9) | | | (22.3) | | | (14.4) | |
购买短期投资 | | (3.9) | | | (3.8) | | | (22.6) | | | (304.3) | |
短期投资到期款项 | | 3.6 | | | 203.9 | | | 124.7 | | | 304.3 | |
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发放的贷款和其他投资 | | (553.0) | | | 0.7 | | | (553.0) | | | 1.2 | |
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子公司收购(扣除取得现金净额) | | (27.6) | | | — | | | (27.6) | | | — | |
投资活动提供的(使用的)净现金 | | (1,091.0) | | | (215.0) | | | (2,072.4) | | | (1,376.4) | |
| | | | | | | | |
融资活动之现金流量净额 | | | | | | | | |
发放股息 | | (570.4) | | | (595.8) | | | (1,777.5) | | | (1,855.1) | |
购买库藏股 | | (111.1) | | | — | | | (1,000.0) | | | (500.0) | |
股份发行净收益 | | 25.7 | | | 31.5 | | | 73.5 | | | 92.0 | |
发行票据净收益(扣除发行成本) | | — | | | — | | | 997.8 | | | — | |
偿还债务和融资租赁负债 | | (750.4) | | | (0.7) | | | (752.6) | | | (1.6) | |
| | | | | | | | |
筹资活动提供的净现金 | | (1,406.2) | | | (565.0) | | | (2,458.8) | | | (2,264.7) | |
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净现金流量 | | (1,369.1) | | | 169.9 | | | (2,284.8) | | | (2,019.7) | |
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汇率变动对现金的影响 | | 3.3 | | | (4.2) | | | (8.0) | | | (5.7) | |
现金及现金等价物的净增加(减少) | | (1,365.8) | | | 165.7 | | | (2,292.8) | | | (2,025.4) | |
| | | | | | | | |
本期初现金及现金等价物 | | 6,341.3 | | | 4,813.6 | | | 7,268.3 | | | 7,004.7 | |
本期末现金及现金等价物 | | 4,975.5 | | | 4,979.3 | | | 4,975.5 | | | 4,979.3 | |
ASML - 季度摘要 美国通用会计原则 合并营运报表
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
| 三个月结束, | |
| | 10月1日, | | 十二月三十一日, | | 三月三十一日, | | 6月30日, | | 9月29日, | |
(未经审计,以百万欧元为单位,每股数据除外) | | 2023 | | 2023 | | 2024 | | 2024 | | 2024 | |
| | | | | | | | | | | |
净系统销售 | | 5,308.2 | | | 5,682.5 | | | 3,965.9 | | | 4,760.9 | | | 5,926.0 | | |
网络服务和现场选项销售 | | 1,364.8 | | | 1,554.5 | | | 1,324.1 | | | 1,481.9 | | | 1,541.3 | | |
总净销售额 | | 6,673.0 | | | 7,237.0 | | | 5,290.0 | | | 6,242.8 | | | 7,467.3 | | |
| | | | | | | | | | | |
销售总成本 | | (3,211.4) | | | (3,519.7) | | | (2,593.4) | | | (3,030.6) | | | (3,673.9) | | |
毛利润 | | 3,461.6 | | | 3,717.3 | | | 2,696.6 | | | 3,212.2 | | | 3,793.4 | | |
| | | | | | | | | | | |
研究和开发成本 | | (991.4) | | | (1,041.3) | | | (1,031.9) | | | (1,100.6) | | | (1,055.2) | | |
销售、一般及管理费用 | | (287.8) | | | (284.1) | | | (273.3) | | | (277.0) | | | (297.0) | | |
| | | | | | | | | | | |
营业收入 | | 2,182.4 | | | 2,391.9 | | | 1,391.4 | | | 1,834.6 | | | 2,441.2 | | |
| | | | | | | | | | | |
利息及其他净额 | | 7.1 | | | 5.2 | | | 26.2 | | | (11.9) | | | (0.8) | | |
税前收入 | | 2,189.5 | | | 2,397.1 | | | 1,417.6 | | | 1,822.7 | | | 2,440.4 | | |
| | | | | | | | | | | |
受益于(所得税费用) | | (343.7) | | | (385.6) | | | (224.0) | | | (291.6) | | | (441.2) | | |
所得税后收益 | | 1,845.8 | | | 2,011.5 | | | 1,193.6 | | | 1,531.1 | | | 1,999.2 | | |
| | | | | | | | | | | |
与权益法投资相关的利润 | | 47.6 | | | 36.6 | | | 30.2 | | | 46.8 | | | 77.3 | | |
净利润 | | 1,893.4 | | | 2,048.1 | | | 1,223.8 | | | 1,577.9 | | | 2,076.5 | | |
| | | | | | | | | | | |
每股普通股的基本净利润 | | 4.81 | | | 5.21 | | | 3.11 | | | 4.01 | | | 5.28 | | |
每普通股稀释后每股净利润 |
| 4.81 | | | 5.20 | | | 3.11 | | | 4.01 | | | 5.28 | | |
| | | | | | | | | | | |
用于计算每股金额的普通股加权平均数量(以百万为单位): | | | | | |
基础 | | 393.4 | | | 393.4 | | | 393.4 | | | 393.2 | | | 393.2 | | |
稀释 |
| 393.7 | | | 393.8 | | | 393.7 | | | 393.5 | | | 393.6 | | |
ASML - 季度摘要比率和其他数据
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| | | |
| | 10月1日, | | 十二月三十一日, | | 三月三十一日, | | 6月30日, | | 9月29日, | |
(未经审计,以百万欧元为单位,除非另有指示) | | 2023 | | 2023 | | 2024 | | 2024 | | 2024 | |
| | | | | | | | | | | |
毛利润占净销售额百分比 | | 51.9 | % | | 51.4 | % | | 51.0 | % | | 51.5 | % | | 50.8 | % | |
营运收入占净销售额百分比 | | 32.7 | % | | 33.1 | % | | 26.3 | % | | 29.4 | % | | 32.7 | % | |
净利润占营业额百分比 | | 28.4 | % | | 28.3 | % | | 23.1 | % | | 25.3 | % | | 27.8 | % | |
所得税占所得税前利润百分比 | | 15.7 | % | | 16.1 | % | | 15.8 | % | | 16.0 | % | | 18.1 | % | |
股东权益占总资产百分比 | | 32.0 | % | | 33.7 | % | | 35.3 | % | | 36.1 | % | | 38.7 | % | |
光刻机系统销售(单位数) 1 | | 112 | | | 124 | | | 70 | | | 100 | | | 116 | | |
| | | | | | | | | | | |
| | | | | | | | | | | |
已订购系统价值 2 | | 2,602 | |
| 9,186 | |
| 3,611 | |
| 5,567 | |
| 2,633 | | |
| | | | | | | | | | | |
全职员工人数 | | 39,850 | | | 40,310 | | | 40,940 | | | 41,505 | | | 42,372 | | |
临时员工人数 | | 2,416 | | | 2,107 | | | 1,773 | | | 1,584 | | | 1,417 | | |
1. 光刻机系统不包括计量和检测系统。
2. 所有板块包括所有经已接受书面授权的系统销售订单和通胀相关调整。
ASML - 季度摘要 美国公认会计原则合并资产负债表
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
| | 10月1日, | | 十二月三十一日, | | 三月三十一日, | | 6月30日, | | 9月29日, | |
(未经审核,以百万欧元计) | | 2023 | | 2023 | | 2024 | | 2024 | | 2024 | |
| | | | | | | | | | | |
资产 | | | | | | | | | | | |
现金及现金等价物 | | 4,975.5 | | | 7,004.7 | | | 5,100.8 | | | 4,813.6 | | | 4,979.3 | | |
短期投资 | | 5.4 | | | 5.4 | | | 305.3 | | | 205.3 | | | 5.2 | | |
应收帐款净额 | | 3,910.5 | | | 4,334.1 | | | 3,585.5 | | | 4,475.8 | | | 5,160.6 | | |
融资应收款,净额 | | 1,348.2 | | | 1,379.2 | | | 1,441.2 | | | 977.0 | | | 640.7 | | |
当前税款资产 | | 854.3 | | | 1,001.2 | | | 649.3 | | | 684.8 | | | 324.4 | | |
合同资产 | | 266.5 | | | 240.1 | | | 302.6 | | | 435.0 | | | 553.6 | | |
存货净值 | | 8,378.5 | | | 8,850.7 | | | 9,864.5 | | | 10,972.3 | | | 11,414.5 | | |
| | | | | | | | | | | |
其他资产 | | 1,916.8 | | | 1,578.5 | | | 1,890.5 | | | 1,889.4 | | | 1,785.7 | | |
全部流动资产 | | 21,655.7 | | | 24,393.9 | | | 23,139.7 | | | 24,453.2 | | | 24,864.0 | | |
| | | | | | | | | | | |
融资应收款,净额 | | 423.4 | | | 60.6 | | | 13.8 | | | 64.0 | | | 370.5 | | |
递延税款贷项 |
| 1,827.4 | | | 1,872.3 | | | 1,875.2 | | | 1,872.4 | | | 1,939.0 | | |
| | | | | | | | | | | |
应收贷款 | | 920.7 | | | 929.2 | | | 929.5 | | | 929.3 | | | 928.6 | | |
其他资产 | | 859.2 | | | 651.8 | | | 648.5 | | | 702.8 | | | 733.5 | | |
权益法投资 | | 1,094.3 | | | 919.6 | | | 951.5 | | | 1,002.3 | | | 1,083.4 | | |
商誉 | | 4,582.6 | | | 4,588.6 | | | 4,588.6 | | | 4,588.6 | | | 4,588.6 | | |
其他无形资产净值 | | 756.6 | | | 741.7 | | | 711.1 | | | 686.4 | | | 652.9 | | |
不动产、厂房及设备,净额 | | 5,093.2 | | | 5,493.2 | | | 5,841.4 | | | 6,084.0 | | | 6,211.9 | | |
租赁资产 | | 300.4 | | | 306.6 | | | 343.3 | | | 358.0 | | | 393.7 | | |
非流动资产总额 | | 15,857.8 | | | 15,563.6 | | | 15,902.9 | | | 16,287.8 | | | 16,902.1 | | |
| | | | | | | | | | | |
资产总额 | | 37,513.5 | | | 39,957.5 | | | 39,042.6 | | | 40,741.0 | | | 41,766.1 | | |
| | | | | | | | | | | |
负债和股东权益 | | | | | | | | | | | |
流动负债 | | 16,309.5 | | | 16,274.7 | | | 15,048.7 | | | 16,132.3 | | | 16,025.8 | | |
流动负债合计 |
| 16,309.5 | | | 16,274.7 | | | 15,048.7 | | | 16,132.3 | | | 16,025.8 | | |
| | | | | | | | | | | |
长期负债 | | 4,522.3 | | | 4,631.5 | | | 4,612.0 | | | 4,608.2 | | | 4,692.2 | | |
透过资本化来弥补这些处于失灵状态中的其他税务负债 |
| 380.4 | | | 372.2 | | | 400.4 | | | 351.9 | | | 346.9 | | |
合约负债 | | 3,826.0 | | | 4,825.5 | | | 4,744.7 | | | 4,463.0 | | | 4,103.9 | | |
应计利益及其他负债 | | 480.4 | | | 401.2 | | | 442.7 | | | 474.4 | | | 445.7 | | |
非流动负债总额 | | 9,209.1 | | | 10,230.4 | | | 10,199.8 | | | 9,897.5 | | | 9,588.7 | | |
| | | | | | | | | | | |
总负债 | | 25,518.6 | | | 26,505.1 | | | 25,248.5 | | | 26,029.8 | | | 25,614.5 | | |
| | | | | | | | | | | |
股东权益总额 | | 11,994.9 | | | 13,452.4 | | | 13,794.1 | | | 14,711.2 | | | 16,151.6 | | |
总负债及股东权益 | | 37,513.5 | | | 39,957.5 | | | 39,042.6 | | | 40,741.0 | | | 41,766.1 | | |
ASML - 季度概况 美国通用会计准则 合并资金流量表
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
| 三个月结束, | |
| | 10月1日, | | 十二月三十一日, | | 三月三十一日, | | 6月30日, | | 9月29日, | |
(未经审核,单位:百万欧元) | | 2023 | | 2023 | | 2024 | | 2024 | | 2024 | |
| | | | | | | | | | | |
营运活动现金流量 | | | | | | | | | | | |
净利润 | | 1,893.4 | | | 2,048.1 | | | 1,223.8 | | | 1,577.9 | | | 2,076.5 | | |
| | | | | | | | | | | |
调整净利润以汇率和来自营运活动的净现金流量相符: | | | | | | | | | | | |
折旧与摊提 | | 176.2 | | | 212.1 | | | 214.4 | | | 227.5 | | | 235.7 | | |
减值和亏损(利得)出售 | | 20.4 | | | 10.0 | | | 4.2 | | | 13.7 | | | 6.8 | | |
股份报酬费用 | | 41.5 | | | 41.6 | | | 19.8 | | | 46.5 | | | 53.3 | | |
| | | | | | | | | | | |
库存储备 | | 102.3 | | | 210.7 | | | 121.5 | | | 110.7 | | | 154.8 | | |
递延所得税费用(效益) | | (138.9) | | | (48.9) | | | (2.7) | | | 0.8 | | | (114.6) | | |
权益法投资 | | (53.8) | | | 175.7 | | | (33.9) | | | (50.6) | | | (81.0) | | |
资产变动 | | (913.0) | | | 547.7 | | | (1,799.0) | | | (1,003.1) | | | (1,381.6) | | |
营运活动之净现金提供(使用)量 | | 1,128.1 | | | 3,197.0 | | | (251.9) | | | 923.4 | | | 949.9 | | |
| | | | | | | | | | | |
投资活动现金流量 | | | | | | | | | | | |
购入不动产、厂房及设备 | | (501.8) | | | (584.0) | | | (417.3) | | | (531.0) | | | (414.9) | | |
购置无形资产 | | (8.3) | | | (18.3) | | | (6.5) | | | (7.0) | | | (0.9) | | |
购买短期投资 | | (3.9) | | | (1.0) | | | (300.0) | | | (0.5) | | | (3.8) | | |
短期投资到期款项 | | 3.6 | | | 0.9 | | | — | | | 100.4 | | | 203.9 | | |
| | | | | | | | | | | |
发放的贷款及其他投资 | | (553.0) | | | (8.5) | | | 0.2 | | | 0.3 | | | 0.7 | | |
| | | | | | | | | | | |
| | | | | | | | | | | |
| | | | | | | | | | | |
子公司收购(扣除取得现金净额) | | (27.6) | | | (6.0) | | | — | | | — | | | — | | |
投资活动提供的(使用的)净现金 | | (1,091.0) | | | (616.9) | | | (723.6) | | | (437.8) | | | (215.0) | | |
| | | | | | | | | | | |
融资活动之现金流量净额 | | | | | | | | | | | |
发放股息 | | (570.4) | | | (570.8) | | | (571.0) | | | (688.3) | | | (595.8) | | |
购买库藏股 | | (111.1) | | | — | | | (385.1) | | | (114.9) | | | — | | |
股份发行净收益 | | 25.7 | | | 25.9 | | | 29.3 | | | 31.2 | | | 31.5 | | |
| | | | | | | | | | | |
偿还债务和融资租赁义务 | | (750.4) | | | (0.2) | | | (0.6) | | | (0.3) | | | (0.7) | | |
| | | | | | | | | | | |
筹资活动提供的净现金 | | (1,406.2) | | | (545.1) | | | (927.4) | | | (772.3) | | | (565.0) | | |
| | | | | | | | | | | |
净现金流量 | | (1,369.1) | | | 2,035.0 | | | (1,902.9) | | | (286.7) | | | 169.9 | | |
| | | | | | | | | | | |
汇率变动对现金的影响 | | 3.3 | | | (5.8) | | | (1.0) | | | (0.5) | | | (4.2) | | |
现金及现金等价物的净增加(减少) | | (1,365.8) | | | 2,029.2 | | | (1,903.9) | | | (287.2) | | | 165.7 | | |
| | | | | | | | | | | |
本期初现金及现金等价物 | | 6,341.3 | | | 4,975.5 | | | 7,004.7 | | | 5,100.8 | | | 4,813.6 | | |
本期末现金及现金等价物 | | 4,975.5 | | | 7,004.7 | | | 5,100.8 | | | 4,813.6 | | | 4,979.3 | | |
基本报表摘要注解
准备基础
附带的未经审核的综合基本报表已按照美利坚合众国通用会计原则("US GAAP")编制。
为了进一步了解我们根据美国通用会计准则的年度披露要求的细节,包括我们的重要会计政策,请阅读这份中期未经审计的汇总财务报表,并结合我们2023年度根据美国通用会计准则编制的年度报告中的汇总财务报表和注释进行阅读,该报告可以在www.asml.com上获取。
前瞻性陈述
本文件及相关讨论包含根据1995年美国《证券诉讼民事改革法》的预见性声明,包括关于计划、策略、预期趋势,包括半导体行业和终端市场趋势以及业务环境趋势,预期需求、订单、积压订单、预期半导体行业的回升及预期时点,包括预计2025年持续行业回升,计划继续扩建能力,展望及预期财务业绩,市场部门展望,包括2024年Q4预期结果,包括净销售、IBm销售、毛利率、研发成本、SG&A成本,2024年全年展望,包括预期2024年全年总净销售、毛利率和估计年化有效税率,2025年营收和毛利率的期望和建模述,我们2022年投资者日所作的声明,包括2025年和2030年营收和毛利率的机遇,关于执行esg可持续发展策略,我们预期通过增加分红和股票回购为股东继续返还重大金额现金,关于我们的股票回购计划,包括可能回购的股份数量,以及关于分红的声明,有关我们系统的预期性能和功能,客户计划和其他非历史性声明。你可以通常通过使用「可能」、「将」、「可能」、「应该」、「项目」、「相信」、「期望」、「计划」、「估计」、「预测」、「潜力」、「打算」、「继续」、「目标」、「未来」、「进展」、「目标」、「模型」、「机会」等字词识别这些声明或这些词的变体或相应词。这些声明不是历史事实,而基于当前对我们业务和未来财务业绩的期望、估计、假设、计划和投射,读者不应对其给予过度依赖。预见性声明不能保证未来业绩,其中涉及多个实际已知和未知风险和不确定性。这些风险和不确定性包括但不限于客户需求、半导体设备行业容量、全球对半导体和半导体制造能力的需求、光刻机利用率和半导体库存水平、一般趋势和消费者对半导体行业的信心、总体经济环境的影响,包括当前宏观经济环境对半导体行业的影响,市场回升的不确定性,包括时机,通货膨胀、利率、战争和地缘政治发展的影响、大流行病的影响、我们系统的性能、技术进步的成功以及新产品开发的速度和客户对新产品的接受和需求,我们的产能和调整能力以满足需求,供应链容量,零部件和组件、原材料、关键制造设备及有资格的员工及时可用性,我们生产系统以满足需求的能力,订购、发货和在收入中确定的系统数量和时间,与净订单波动有关的风险和我们将订单转化为销售的能力,订单取消或推迟的风险以及在出口控制下订购系统的限制,与贸易环境有关的风险,进出口和国家安全规定和命令及其对我们的影响,包括出口法规的变更对我们获得必要许可证以及向某些客户销售我们的系统和提供服务的影响,汇率波动,税率变化,可用流动性和自由现金流和流动性要求,我们再融资能力,可用现金和可分配储备以及影响股息支付和股票回购的其他要素,我们在股票回购计划下回购的股份数量,我们能否执行专利和保护知识产权权利以及有关知识产权纠纷和诉讼的结果,我们实现esg目标和执行我们esg策略的能力,可能影响ASML业务或财务业绩的其他因素,以及包括在2023财政年度年报第20-F表中所列风险因素、以及向美国证监会提交的其他文件和提交的其他风险。这些预见性声明仅截至本文件日期。我们无义务在本报告日期后更新任何预见性声明,或使其与实际结果或修订预期相符,除非法律要求。