US Stock MarketDetailed Quotes

VWSYF VESTAS WIND SYSTEMS

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  • 15.515
  • +0.735+4.97%
15min DelayClose Nov 29 13:00 ET
15.66BMarket Cap292.74P/E (TTM)

VESTAS WIND SYSTEMS Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
39.16%2.32B
86.58%2.75B
39.99%2.35B
39.92%3.29B
39.92%3.29B
50.04%1.67B
2.43%1.48B
-11.26%1.68B
-6.29%2.35B
-6.29%2.35B
-Cash and cash equivalents
29.95%2.17B
78.71%2.64B
36.47%2.29B
39.80%3.29B
39.80%3.29B
49.69%1.67B
11.40%1.48B
-5.46%1.68B
-1.75%2.35B
-1.75%2.35B
-Short-term investments
3,875.00%159M
--116M
--59M
--3M
--3M
--4M
----
----
----
----
-Accounts receivable
11.49%1.41B
10.13%1.27B
1.17%1.21B
1.95%1.31B
1.95%1.31B
-11.25%1.26B
-17.26%1.16B
-12.32%1.2B
-16.39%1.28B
-16.39%1.28B
-Taxes receivable
114.46%178M
194.92%174M
69.78%236M
309.80%209M
309.80%209M
-15.31%83M
-57.25%59M
31.13%139M
-50.00%51M
-50.00%51M
-Other receivables
1.48%3.23B
7.45%3.15B
19.63%3.22B
16.45%3.05B
16.45%3.05B
21.85%3.18B
16.05%2.93B
7.09%2.69B
12.35%2.62B
12.35%2.62B
Inventory
-1.54%6.9B
5.56%7.51B
5.11%7.26B
2.46%6.53B
2.46%6.53B
-0.81%7.01B
-0.31%7.11B
3.64%6.91B
12.34%6.37B
12.34%6.37B
Restricted cash
6.67%32M
----
-86.21%4M
15.38%30M
15.38%30M
15.38%30M
11.54%29M
11.54%29M
0.00%26M
0.00%26M
Current deferred assets
-10.11%711M
-15.96%774M
-21.86%640M
-32.93%505M
-32.93%505M
-28.16%791M
-3.26%921M
16.83%819M
9.13%753M
9.13%753M
Total current assets
5.38%14.78B
14.23%15.62B
10.84%14.92B
9.49%14.92B
9.49%14.92B
3.19%14.03B
0.21%13.68B
1.46%13.46B
5.94%13.63B
5.94%13.63B
Non current assets
Net PPE
15.14%2.15B
16.60%2.07B
11.49%1.98B
9.08%1.91B
9.08%1.91B
-1.11%1.87B
-9.57%1.78B
-9.66%1.78B
-16.21%1.75B
-16.21%1.75B
-Gross PPE
15.14%2.15B
16.60%2.07B
11.49%1.98B
9.90%5.44B
9.90%5.44B
-1.11%1.87B
-9.57%1.78B
-9.66%1.78B
-0.20%4.95B
-0.20%4.95B
-Accumulated depreciation
----
----
----
-10.35%-3.53B
-10.35%-3.53B
----
----
----
-11.46%-3.2B
-11.46%-3.2B
Goodwill and other intangible assets
5.69%3.31B
6.08%3.28B
5.32%3.23B
4.50%3.2B
4.50%3.2B
2.56%3.13B
2.38%3.09B
2.58%3.07B
0.10%3.07B
0.10%3.07B
-Goodwill
-0.46%1.5B
0.00%1.51B
-0.07%1.51B
-0.46%1.51B
-0.46%1.51B
-0.92%1.51B
-0.59%1.51B
-0.07%1.51B
0.40%1.51B
0.40%1.51B
-Other intangible assets
11.45%1.8B
11.87%1.77B
10.53%1.72B
9.35%1.7B
9.35%1.7B
6.04%1.62B
5.39%1.58B
5.27%1.56B
-0.19%1.55B
-0.19%1.55B
Total non current assets
19.17%8.14B
20.10%7.99B
19.00%7.68B
17.55%7.6B
17.55%7.6B
-0.34%6.83B
-2.26%6.66B
-5.26%6.45B
-4.75%6.46B
-4.75%6.46B
Total assets
9.90%22.92B
16.15%23.62B
13.48%22.6B
12.07%22.51B
12.07%22.51B
2.01%20.86B
-0.61%20.33B
-0.82%19.91B
2.25%20.09B
2.25%20.09B
Liabilities
Current liabilities
Payables
6.23%4.01B
11.39%3.98B
3.91%3.72B
-5.62%3.91B
-5.62%3.91B
-5.01%3.77B
-15.91%3.57B
-14.78%3.58B
-4.91%4.15B
-4.91%4.15B
-accounts payable
7.17%3.92B
11.09%3.89B
1.68%3.56B
-8.58%3.74B
-8.58%3.74B
-6.93%3.66B
-16.93%3.5B
-15.55%3.5B
-4.60%4.09B
-4.60%4.09B
-Total tax payable
-22.69%92M
25.33%94M
110.96%154M
203.45%176M
203.45%176M
158.70%119M
97.37%75M
52.08%73M
-22.67%58M
-22.67%58M
Current provisions
21.81%916M
7.65%774M
15.68%782M
-5.55%783M
-5.55%783M
9.94%752M
-3.49%719M
-19.33%676M
28.33%829M
28.33%829M
Current debt and capital lease obligation
-72.38%187M
-8.90%174M
-16.67%185M
-34.27%163M
-34.27%163M
200.89%677M
-19.75%191M
-8.64%222M
-64.77%248M
-64.77%248M
Other current liabilities
-32.49%773M
-27.67%894M
-18.44%867M
-13.64%1.17B
-13.64%1.17B
11.71%1.15B
12.26%1.24B
3.20%1.06B
66.75%1.35B
66.75%1.35B
Current liabilities
7.85%14.56B
14.90%15.25B
10.36%14.07B
3.75%14.02B
3.75%14.02B
3.36%13.5B
-1.80%13.27B
-1.76%12.75B
6.40%13.51B
6.40%13.51B
Non current liabilities
Long term provisions
12.70%1.33B
12.04%1.22B
15.97%1.23B
29.77%1.23B
29.77%1.23B
57.05%1.18B
43.54%1.09B
49.65%1.06B
37.61%944M
37.61%944M
Long term debt and capital lease obligation
14.52%3.14B
20.17%3.24B
20.18%3.25B
47.96%3.22B
47.96%3.22B
24.42%2.74B
54.80%2.69B
57.58%2.7B
197.68%2.18B
197.68%2.18B
Other non current liabilities
118.52%177M
76.09%162M
227.59%190M
245.76%204M
245.76%204M
-5.81%81M
-37.84%92M
-21.62%58M
-59.31%59M
-59.31%59M
Total non current liabilities
24.37%5.44B
29.18%5.45B
32.00%5.46B
55.02%5.45B
55.02%5.45B
19.60%4.38B
28.19%4.22B
29.40%4.14B
56.24%3.52B
56.24%3.52B
Total liabilities
11.89%20B
18.34%20.69B
15.66%19.54B
14.34%19.47B
14.34%19.47B
6.91%17.88B
4.07%17.48B
4.39%16.89B
13.91%17.03B
13.91%17.03B
Shareholders'equity
Share capital
0.00%27M
0.00%27M
0.00%27M
0.00%27M
0.00%27M
0.00%27M
0.00%27M
0.00%27M
0.00%27M
0.00%27M
-common stock
0.00%27M
0.00%27M
0.00%27M
0.00%27M
0.00%27M
0.00%27M
0.00%27M
0.00%27M
0.00%27M
0.00%27M
Retained earnings
1.53%2.98B
-1.83%2.85B
0.46%3.03B
3.33%3.1B
3.33%3.1B
-17.05%2.93B
-21.25%2.9B
-21.66%3.02B
-35.23%3B
-35.23%3B
Total stockholders'equity
-1.99%2.91B
2.86%2.91B
1.56%3.06B
-0.56%3.03B
-0.56%3.03B
-20.12%2.97B
-22.28%2.83B
-22.55%3.01B
-35.01%3.04B
-35.01%3.04B
Noncontrolling interests
-20.00%12M
-25.00%12M
-43.75%9M
-6.25%15M
-6.25%15M
7.14%15M
23.08%16M
6.67%16M
23.08%16M
23.08%16M
Total equity
-2.08%2.92B
2.70%2.93B
1.32%3.06B
-0.59%3.04B
-0.59%3.04B
-20.02%2.98B
-22.12%2.85B
-22.44%3.02B
-34.85%3.06B
-34.85%3.06B
Currency Unit
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 39.16%2.32B86.58%2.75B39.99%2.35B39.92%3.29B39.92%3.29B50.04%1.67B2.43%1.48B-11.26%1.68B-6.29%2.35B-6.29%2.35B
-Cash and cash equivalents 29.95%2.17B78.71%2.64B36.47%2.29B39.80%3.29B39.80%3.29B49.69%1.67B11.40%1.48B-5.46%1.68B-1.75%2.35B-1.75%2.35B
-Short-term investments 3,875.00%159M--116M--59M--3M--3M--4M----------------
-Accounts receivable 11.49%1.41B10.13%1.27B1.17%1.21B1.95%1.31B1.95%1.31B-11.25%1.26B-17.26%1.16B-12.32%1.2B-16.39%1.28B-16.39%1.28B
-Taxes receivable 114.46%178M194.92%174M69.78%236M309.80%209M309.80%209M-15.31%83M-57.25%59M31.13%139M-50.00%51M-50.00%51M
-Other receivables 1.48%3.23B7.45%3.15B19.63%3.22B16.45%3.05B16.45%3.05B21.85%3.18B16.05%2.93B7.09%2.69B12.35%2.62B12.35%2.62B
Inventory -1.54%6.9B5.56%7.51B5.11%7.26B2.46%6.53B2.46%6.53B-0.81%7.01B-0.31%7.11B3.64%6.91B12.34%6.37B12.34%6.37B
Restricted cash 6.67%32M-----86.21%4M15.38%30M15.38%30M15.38%30M11.54%29M11.54%29M0.00%26M0.00%26M
Current deferred assets -10.11%711M-15.96%774M-21.86%640M-32.93%505M-32.93%505M-28.16%791M-3.26%921M16.83%819M9.13%753M9.13%753M
Total current assets 5.38%14.78B14.23%15.62B10.84%14.92B9.49%14.92B9.49%14.92B3.19%14.03B0.21%13.68B1.46%13.46B5.94%13.63B5.94%13.63B
Non current assets
Net PPE 15.14%2.15B16.60%2.07B11.49%1.98B9.08%1.91B9.08%1.91B-1.11%1.87B-9.57%1.78B-9.66%1.78B-16.21%1.75B-16.21%1.75B
-Gross PPE 15.14%2.15B16.60%2.07B11.49%1.98B9.90%5.44B9.90%5.44B-1.11%1.87B-9.57%1.78B-9.66%1.78B-0.20%4.95B-0.20%4.95B
-Accumulated depreciation -------------10.35%-3.53B-10.35%-3.53B-------------11.46%-3.2B-11.46%-3.2B
Goodwill and other intangible assets 5.69%3.31B6.08%3.28B5.32%3.23B4.50%3.2B4.50%3.2B2.56%3.13B2.38%3.09B2.58%3.07B0.10%3.07B0.10%3.07B
-Goodwill -0.46%1.5B0.00%1.51B-0.07%1.51B-0.46%1.51B-0.46%1.51B-0.92%1.51B-0.59%1.51B-0.07%1.51B0.40%1.51B0.40%1.51B
-Other intangible assets 11.45%1.8B11.87%1.77B10.53%1.72B9.35%1.7B9.35%1.7B6.04%1.62B5.39%1.58B5.27%1.56B-0.19%1.55B-0.19%1.55B
Total non current assets 19.17%8.14B20.10%7.99B19.00%7.68B17.55%7.6B17.55%7.6B-0.34%6.83B-2.26%6.66B-5.26%6.45B-4.75%6.46B-4.75%6.46B
Total assets 9.90%22.92B16.15%23.62B13.48%22.6B12.07%22.51B12.07%22.51B2.01%20.86B-0.61%20.33B-0.82%19.91B2.25%20.09B2.25%20.09B
Liabilities
Current liabilities
Payables 6.23%4.01B11.39%3.98B3.91%3.72B-5.62%3.91B-5.62%3.91B-5.01%3.77B-15.91%3.57B-14.78%3.58B-4.91%4.15B-4.91%4.15B
-accounts payable 7.17%3.92B11.09%3.89B1.68%3.56B-8.58%3.74B-8.58%3.74B-6.93%3.66B-16.93%3.5B-15.55%3.5B-4.60%4.09B-4.60%4.09B
-Total tax payable -22.69%92M25.33%94M110.96%154M203.45%176M203.45%176M158.70%119M97.37%75M52.08%73M-22.67%58M-22.67%58M
Current provisions 21.81%916M7.65%774M15.68%782M-5.55%783M-5.55%783M9.94%752M-3.49%719M-19.33%676M28.33%829M28.33%829M
Current debt and capital lease obligation -72.38%187M-8.90%174M-16.67%185M-34.27%163M-34.27%163M200.89%677M-19.75%191M-8.64%222M-64.77%248M-64.77%248M
Other current liabilities -32.49%773M-27.67%894M-18.44%867M-13.64%1.17B-13.64%1.17B11.71%1.15B12.26%1.24B3.20%1.06B66.75%1.35B66.75%1.35B
Current liabilities 7.85%14.56B14.90%15.25B10.36%14.07B3.75%14.02B3.75%14.02B3.36%13.5B-1.80%13.27B-1.76%12.75B6.40%13.51B6.40%13.51B
Non current liabilities
Long term provisions 12.70%1.33B12.04%1.22B15.97%1.23B29.77%1.23B29.77%1.23B57.05%1.18B43.54%1.09B49.65%1.06B37.61%944M37.61%944M
Long term debt and capital lease obligation 14.52%3.14B20.17%3.24B20.18%3.25B47.96%3.22B47.96%3.22B24.42%2.74B54.80%2.69B57.58%2.7B197.68%2.18B197.68%2.18B
Other non current liabilities 118.52%177M76.09%162M227.59%190M245.76%204M245.76%204M-5.81%81M-37.84%92M-21.62%58M-59.31%59M-59.31%59M
Total non current liabilities 24.37%5.44B29.18%5.45B32.00%5.46B55.02%5.45B55.02%5.45B19.60%4.38B28.19%4.22B29.40%4.14B56.24%3.52B56.24%3.52B
Total liabilities 11.89%20B18.34%20.69B15.66%19.54B14.34%19.47B14.34%19.47B6.91%17.88B4.07%17.48B4.39%16.89B13.91%17.03B13.91%17.03B
Shareholders'equity
Share capital 0.00%27M0.00%27M0.00%27M0.00%27M0.00%27M0.00%27M0.00%27M0.00%27M0.00%27M0.00%27M
-common stock 0.00%27M0.00%27M0.00%27M0.00%27M0.00%27M0.00%27M0.00%27M0.00%27M0.00%27M0.00%27M
Retained earnings 1.53%2.98B-1.83%2.85B0.46%3.03B3.33%3.1B3.33%3.1B-17.05%2.93B-21.25%2.9B-21.66%3.02B-35.23%3B-35.23%3B
Total stockholders'equity -1.99%2.91B2.86%2.91B1.56%3.06B-0.56%3.03B-0.56%3.03B-20.12%2.97B-22.28%2.83B-22.55%3.01B-35.01%3.04B-35.01%3.04B
Noncontrolling interests -20.00%12M-25.00%12M-43.75%9M-6.25%15M-6.25%15M7.14%15M23.08%16M6.67%16M23.08%16M23.08%16M
Total equity -2.08%2.92B2.70%2.93B1.32%3.06B-0.59%3.04B-0.59%3.04B-20.02%2.98B-22.12%2.85B-22.44%3.02B-34.85%3.06B-34.85%3.06B
Currency Unit EUREUREUREUREUREUREUREUREUREUR

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