ASML-彙總美國GAAP合併業務報表
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
| | 三個月過去了, | | 九個月過去了, | |
| | 9月27日, | | 10月3日, | | 9月27日, | | 10月3日, | |
(未經審計,以百萬歐元為單位,每股數據除外) | | 2020 | | 2021 | | 2020 | | 2021 | |
| | | | | | | | | |
系統淨銷售額 | | 3,095.6 | | | 4,111.1 | | | 7,118.2 | | | 10,189.6 | | |
淨服務和現場選項銷售 | | 862.4 | | | 1,130.2 | | | 2,606.1 | | | 3,435.8 | | |
總淨銷售額 | | 3,958.0 | | | 5,241.3 | | | 9,724.3 | | | 13,625.4 | | |
| | | | | | | | | |
銷售總成本 | | (2,076.6) | | | (2,529.9) | | | (5,138.3) | | | (6,517.0) | | |
毛利 | | 1,881.4 | | | 2,711.4 | | | 4,586.0 | | | 7,108.4 | | |
| | | | | | | | | |
| | | | | | | | | |
研發成本 | | (534.0) | | | (609.2) | | | (1,644.9) | | | (1,866.4) | | |
銷售、一般和行政成本 | | (131.5) | | | (182.9) | | | (393.4) | | | (523.1) | | |
營業收入 | | 1,215.9 | | | 1,919.3 | | | 2,547.7 | | | 4,718.9 | | |
| | | | | | | | | |
利息和其他,淨額 | | (8.4) | | | (10.5) | | | (26.9) | | | (32.4) | | |
所得税前收入 | | 1,207.5 | | | 1,908.8 | | | 2,520.8 | | | 4,686.5 | | |
| | | | | | | | | |
所得税費用 | | (166.5) | | | (270.9) | | | (381.3) | | | (705.4) | | |
所得税後所得 | | 1,041.0 | | | 1,637.9 | | | 2,139.5 | | | 3,981.1 | | |
| | | | | | | | | |
權益法投資相關利潤 | | 20.5 | | | 102.3 | | | 63.6 | | | 128.7 | | |
淨收入 | | 1,061.5 | | | 1,740.2 | | | 2,203.1 | | | 4,109.8 | | |
| | | | | | | | | |
每股普通股基本淨收入 | | 2.54 | | | 4.27 | | | 5.26 | | | 9.99 | | |
稀釋後每股普通股淨收入 | | 2.53 | | | 4.26 | | | 5.25 | | | 9.97 | | |
| | | | | | | | | |
計算每股金額時使用的普通股加權平均數(單位:百萬): |
基本信息 | | 418.4 | | | 407.9 | | | 418.9 | | | 411.6 | | |
稀釋 | | 419.2 | | | 408.6 | | | 419.6 | | | 412.2 | | |
ASML比率和其他數據
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
| | 三個月過去了, | | 九個月過去了, | |
| | 9月27日, | | 10月3日, | | 9月27日, | | 10月3日, | |
(未經審計,單位為百萬歐元,除非另有説明) | | 2020 | | 2021 | | 2020 | | 2021 | |
| | | | | | | | | |
毛利潤佔淨銷售額的百分比 | | 47.5 | % | | 51.7 | % | | 47.2 | % | | 52.2 | % | |
營業收入佔淨銷售額的百分比 | | 30.7 | % | | 36.6 | % | | 26.2 | % | | 34.6 | % | |
淨收益佔淨銷售額的百分比 | | 26.8 | % | | 33.2 | % | | 22.7 | % | | 30.2 | % | |
所得税佔所得税前收入的百分比 | | 13.8 | % | | 14.2 | % | | 15.1 | % | | 15.1 | % | |
股東權益佔總資產的百分比 | | 54.0 | % | | 42.1 | % | | 54.0 | % | | 42.1 | % | |
光刻系統銷售量(單位)1 | | 60 | | | 79 | | | 178 | | | 227 | | |
| | | | | | | | | |
| | | | | | | | | |
預訂系統的價值(百萬歐元)2 | | 2,868 | | | 6,179 | | | 7,054 | | | 19,190 | | |
淨預訂量平版印刷系統(單位)1,2 | | 73 | | | 178 | | | 180 | | | 465 | | |
全職員工中的薪資員工數量 | | 24,749 | | | 29,025 | | | 24,749 | | | 29,025 | | |
全職員工人數 | | 1,451 | | | 1,659 | | | 1,451 | | | 1,659 | | |
1.光刻系統不包括計量和檢查系統。
2.我們的系統淨預訂量包括所有已接受書面授權的系統銷售訂單(不包括EUV 0.55 NA(High-NA)系統)。
ASML-彙總美國GAAP合併資產負債表
| | | | | | | | | | | | | | | |
| | 十二月三十一日, | | 10月3日, | |
*(未經審計,以百萬歐元為單位) | | 2020 | | 2021 | |
| | | | | |
資產 | | | | | |
現金和現金等價物 | | 6,049.4 | | | 4,318.7 | | |
短期投資 | | 1,302.2 | | | 137.0 | | |
應收賬款淨額 | | 1,310.3 | | | 3,383.3 | | |
金融應收賬款淨額 | | 1,710.5 | | | 1,185.9 | | |
流動納税資產 | | 67.3 | | | 289.5 | | |
合同資產 | | 119.2 | | | 272.0 | | |
庫存,淨額 | | 4,569.4 | | | 4,944.2 | | |
| | | | | |
其他資產 | | 801.7 | | | 995.0 | | |
持有待售資產 | | — | | | 152.7 | | |
流動資產總額 | | 15,930.0 | | | 15,678.3 | | |
| | | | | |
金融應收賬款淨額 | | 400.5 | | | 139.0 | | |
遞延税項資產 | | 671.5 | | | 986.0 | | |
| | | | | |
其他資產 | | 951.4 | | | 1,120.9 | | |
權益法投資 | | 820.7 | | | 963.2 | | |
商譽 | | 4,629.1 | | | 4,555.6 | | |
其他無形資產,淨額 | | 1,049.0 | | | 963.8 | | |
財產、廠房和設備、淨值 | | 2,470.3 | | | 2,730.3 | | |
使用權資產--經營性 | | 180.1 | | | 155.0 | | |
使用權資產-財務 | | 164.8 | | | 5.9 | | |
非流動資產總額 | | 11,337.4 | | | 11,619.7 | | |
| | | | | |
總資產 | | 27,267.4 | | | 27,298.0 | | |
| | | | | |
負債和股東權益 | | | | | |
流動負債 | | 6,603.5 | | | 9,114.7 | | |
持有待售負債 | | — | | | 47.9 | | |
流動負債總額 | | 6,603.5 | | | 9,162.6 | | |
| | | | | |
長期債務 | | 4,662.8 | | | 4,105.8 | | |
遞延及其他税項負債 | | 238.3 | | | 282.6 | | |
合同責任 | | 1,639.9 | | | 2,001.7 | | |
應計負債和其他負債 | | 257.5 | | | 242.9 | | |
非流動負債總額 | | 6,798.5 | | | 6,633.0 | | |
| | | | | |
總負債 | | 13,402.0 | | | 15,795.6 | | |
| | | | | |
股東權益總額 | | 13,865.4 | | | 11,502.4 | | |
總負債和股東權益 | | 27,267.4 | | | 27,298.0 | | |
ASML-彙總美國GAAP現金流量合併報表
| | | | | | | | | | | | | | | | | | | | | | | | | | |
| | 三個月過去了, | | 九個月過去了, |
| | 9月27日, | | 10月3日, | | 9月27日, | | 10月3日, |
*(未經審計,以百萬歐元為單位) | | 2020 | | 2021 | | 2020 | | 2021 |
| | | | | | | | |
經營活動的現金流 | | | | | | | | |
淨收入 | | 1,061.5 | | | 1,740.2 | | | 2,203.1 | | | 4,109.8 | |
| | | | | | | | |
將淨收入與經營活動的淨現金流量進行調整: | | | | | | | | |
折舊及攤銷 | | 122.0 | | | 116.2 | | | 365.4 | | | 346.8 | |
處置減值和虧損(收益) | | 0.8 | | | (39.8) | | | 4.7 | | | (33.4) | |
基於股份的薪酬費用 | | 22.5 | | | 34.0 | | | 47.7 | | | 84.0 | |
| | | | | | | | |
庫存儲備 | | 36.3 | | | 52.9 | | | 114.8 | | | 131.3 | |
遞延税費(福利) | | (110.6) | | | (270.1) | | | (150.6) | | | (313.4) | |
權益法投資 | | (26.1) | | | (97.3) | | | (84.8) | | | (141.2) | |
資產負債變動情況 | | (915.3) | | | 265.5 | | | (2,543.1) | | | 244.9 | |
經營活動提供(用於)的現金淨額 | | 191.1 | | | 1,801.6 | | | (42.8) | | | 4,428.8 | |
| | | | | | | | |
投資活動的現金流 | | | | | | | | |
購置房產、廠房和設備 | | (212.5) | | | (197.0) | | | (669.1) | | | (627.5) | |
購買無形資產 | | (9.1) | | | (8.0) | | | (26.6) | | | (22.2) | |
購買短期投資 | | (343.7) | | | (50.0) | | | (654.7) | | | (658.5) | |
短期投資的到期日 | | 408.7 | | | 99.7 | | | 964.3 | | | 1,823.7 | |
| | | | | | | | |
發放的貸款和其他投資 | | (10.0) | | | (124.3) | | | (10.0) | | | (124.3) | |
出售附屬公司所得款項 | | — | | | — | | | — | | | 12.9 | |
| | | | | | | | |
| | | | | | | | |
| | | | | | | | |
投資活動提供(用於)的現金淨額 | | (166.6) | | | (279.6) | | | (396.1) | | | 404.1 | |
| | | | | | | | |
融資活動的現金流 | | | | | | | | |
支付的股息 | | — | | | — | | | (564.8) | | | (639.1) | |
購買庫藏股 | | — | | | (2,401.6) | | | (507.5) | | | (5,953.1) | |
發行股票所得淨收益 | | 10.4 | | | 12.3 | | | 30.0 | | | 36.9 | |
發行票據的淨收益,扣除發行成本後的淨收益 | | — | | | — | | | 1,486.3 | | | — | |
償還債務和融資租賃義務 | | (0.9) | | | (2.6) | | | (2.6) | | | (9.4) | |
| | | | | | | | |
融資活動提供(用於)的現金淨額 | | 9.5 | | | (2,391.9) | | | 441.4 | | | (6,564.7) | |
| | | | | | | | |
淨現金流 | | 34.0 | | | (869.9) | | | 2.5 | | | (1,731.8) | |
| | | | | | | | |
匯率變動對現金的影響 | | (1.6) | | | 2.0 | | | (3.3) | | | 1.1 | |
現金及現金等價物淨增(減) | | 32.4 | | | (867.9) | | | (0.8) | | | (1,730.7) | |
| | | | | | | | |
期初現金及現金等價物 | | 3,499.1 | | | 5,186.6 | | | 3,532.3 | | | 6,049.4 | |
期末現金和現金等價物 | | 3,531.5 | | | 4,318.7 | | | 3,531.5 | | | 4,318.7 | |
ASML-季度摘要美國GAAP綜合業務報表
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
| 三個月過去了, | |
| | 9月27日, | | 十二月三十一日, | | 四月四日, | | 七月四日, | | 10月3日, | |
*(未經審計,單位為百萬歐元,每股數據除外) | | 2020 | | 2020 | | 2021 | | 2021 | | 2021 | |
| | | | | | | | | | | |
系統淨銷售額 | | 3,095.6 | | | 3,198.3 | | | 3,128.8 | | | 2,949.6 | | | 4,111.1 | | |
淨服務和現場選項銷售 | | 862.4 | | | 1,055.8 | | | 1,235.1 | | | 1,070.6 | | | 1,130.2 | | |
總淨銷售額 | | 3,958.0 | | | 4,254.1 | | | 4,363.9 | | | 4,020.2 | | | 5,241.3 | | |
| | | | | | | | | | | |
銷售總成本 | | (2,076.6) | | | (2,043.0) | | | (2,011.5) | | | (1,975.6) | | | (2,529.9) | | |
毛利 | | 1,881.4 | | | 2,211.1 | | | 2,352.4 | | | 2,044.6 | | | 2,711.4 | | |
| | | | | | | | | | | |
| | | | | | | | | | | |
研發成本 | | (534.0) | | | (555.9) | | | (623.4) | | | (633.8) | | | (609.2) | | |
銷售、一般和行政成本 | | (131.5) | | | (151.5) | | | (168.4) | | | (171.8) | | | (182.9) | | |
營業收入 | | 1,215.9 | | | 1,503.7 | | | 1,560.6 | | | 1,239.0 | | | 1,919.3 | | |
| | | | | | | | | | | |
利息和其他,淨額 | | (8.4) | | | (8.0) | | | (12.1) | | | (9.8) | | | (10.5) | | |
所得税前收入 | | 1,207.5 | | | 1,495.7 | | | 1,548.5 | | | 1,229.2 | | | 1,908.8 | | |
| | | | | | | | | | | |
所得税受益(撥備) | | (166.5) | | | (170.2) | | | (230.3) | | | (204.2) | | | (270.9) | | |
所得税後所得 | | 1,041.0 | | | 1,325.5 | | | 1,318.2 | | | 1,025.0 | | | 1,637.9 | | |
| | | | | | | | | | | |
權益法投資相關利潤 | | 20.5 | | | 25.0 | | | 13.2 | | | 13.2 | | | 102.3 | | |
淨收入 | | 1,061.5 | | | 1,350.5 | | | 1,331.4 | | | 1,038.2 | | | 1,740.2 | | |
| | | | | | | | | | | |
每股普通股基本淨收入 | | 2.54 | | | 3.23 | | | 3.21 | | | 2.52 | | | 4.27 | | |
稀釋後每股普通股淨收入 |
| 2.53 | | | 3.23 | | | 3.20 | | | 2.52 | | | 4.26 | | |
| | | | | | | | | | | |
計算每股金額時使用的普通股加權平均數(單位:百萬): | | | | | |
基本信息 | | 418.4 | | | 417.5 | | | 415.3 | | | 411.5 | | | 407.9 | | |
稀釋 |
| 419.2 | | | 418.4 | | | 415.8 | | | 412.0 | | | 408.6 | | |
ASML-季度彙總比率和其他數據
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
| | | |
| | 9月27日, | | 十二月三十一日, | | 四月四日, | | 七月四日, | | 10月3日, | |
(未經審計,單位為百萬歐元,除非另有説明) | | 2020 | | 2020 | | 2021 | | 2021 | | 2021 | |
| | | | | | | | | | | |
毛利潤佔淨銷售額的百分比 | | 47.5 | % | | 52.0 | % | | 53.9 | % | | 50.9 | % | | 51.7 | % | |
營業收入佔淨銷售額的百分比 | | 30.7 | % | | 35.3 | % | | 35.8 | % | | 30.8 | % | | 36.6 | % | |
淨收益佔淨銷售額的百分比 | | 26.8 | % | | 31.7 | % | | 30.5 | % | | 25.8 | % | | 33.2 | % | |
所得税佔所得税前收入的百分比 | | 13.8 | % | | 11.4 | % | | 14.9 | % | | 16.6 | % | | 14.2 | % | |
股東權益佔總資產的百分比 | | 54.0 | % | | 50.8 | % | | 50.1 | % | | 43.5 | % | | 42.1 | % | |
光刻系統銷售量(單位)1 | | 60 | | | 80 | | | 76 | | | 72 | | | 79 | | |
| | | | | | | | | | | |
| | | | | | | | | | | |
預訂系統的價值(百萬歐元)2 | | 2,868 | |
| 4,238 | |
| 4,740 | |
| 8,271 | |
| 6,179 | | |
淨預訂量平版印刷系統(單位)1,2 | | 73 | |
| 123 | |
| 120 | |
| 167 | |
| 178 | | |
全職員工中的薪資員工數量 | | 24,749 | | | 26,614 | | | 27,248 | | | 27,777 | | | 29,025 | | |
全職員工人數 | | 1,451 | | | 1,459 | | | 1,561 | | | 1,609 | | | 1,659 | | |
1、現有的光刻系統不包括計量和檢測系統。
2.我們的系統淨預訂量包括所有已接受書面授權的系統銷售訂單(不包括EUV 0.55 NA(High-NA)系統)。
ASML-季度摘要美國GAAP合併資產負債表
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
| | 9月27日, | | 十二月三十一日, | | 四月四日, | | 七月四日, | | 10月3日, | |
(未經審計,百萬歐元) | | 2020 | | 2020 | | 2021 | | 2021 | | 2021 | |
| | | | | | | | | | | |
資產 | | | | | | | | | | | |
現金和現金等價物 | | 3,531.5 | | | 6,049.4 | | | 3,243.8 | | | 5,186.6 | | | 4,318.7 | | |
短期投資 | | 876.3 | | | 1,302.2 | | | 1,411.6 | | | 186.7 | | | 137.0 | | |
應收賬款淨額 | | 2,458.8 | | | 1,310.3 | | | 2,239.2 | | | 2,782.0 | | | 3,383.3 | | |
金融應收賬款淨額 | | 1,855.4 | | | 1,710.5 | | | 2,218.6 | | | 1,637.4 | | | 1,185.9 | | |
流動納税資產 | | 265.6 | | | 67.3 | | | 809.7 | | | 608.2 | | | 289.5 | | |
合同資產 | | 176.8 | | | 119.2 | | | 107.4 | | | 178.9 | | | 272.0 | | |
庫存,淨額 | | 4,613.7 | | | 4,569.4 | | | 4,748.1 | | | 5,086.3 | | | 4,944.2 | | |
| | | | | | | | | | | |
其他資產 | | 772.7 | | | 801.7 | | | 915.7 | | | 922.9 | | | 995.0 | | |
持有待售資產 | | — | | | — | | | 165.5 | | | 150.2 | | | 152.7 | | |
流動資產總額 | | 14,550.8 | | | 15,930.0 | | | 15,859.6 | | | 16,739.2 | | | 15,678.3 | | |
| | | | | | | | | | | |
金融應收賬款淨額 | | 349.6 | | | 400.5 | | | 66.6 | | | 6.2 | | | 139.0 | | |
遞延税項資產 |
| 610.7 | | | 671.5 | | | 700.8 | | | 710.5 | | | 986.0 | | |
| | | | | | | | | | | |
其他資產 | | 961.5 | | | 951.4 | | | 1,313.4 | | | 1,016.4 | | | 1,120.9 | | |
權益法投資 | | 918.0 | | | 820.7 | | | 842.5 | | | 864.9 | | | 963.2 | | |
商譽 | | 4,541.1 | | | 4,629.1 | | | 4,555.5 | | | 4,555.5 | | | 4,555.6 | | |
其他無形資產,淨額 | | 1,035.4 | | | 1,049.0 | | | 1,014.2 | | | 987.7 | | | 963.8 | | |
財產、廠房和設備、淨值 | | 2,198.3 | | | 2,470.3 | | | 2,521.6 | | | 2,609.4 | | | 2,730.3 | | |
使用權資產--經營性 | | 180.1 | | | 180.1 | | | 179.7 | | | 161.8 | | | 155.0 | | |
使用權資產-財務 | | 117.9 | | | 164.8 | | | 164.8 | | | 163.9 | | | 5.9 | | |
非流動資產總額 | | 10,912.6 | | | 11,337.4 | | | 11,359.1 | | | 11,076.3 | | | 11,619.7 | | |
| | | | | | | | | | | |
總資產 | | 25,463.4 | | | 27,267.4 | | | 27,218.7 | | | 27,815.5 | | | 27,298.0 | | |
| | | | | | | | | | | |
負債和股東權益 | | | | | | | | | | | |
流動負債 | | 4,990.9 | | | 6,603.5 | | | 6,829.1 | | | 8,707.5 | | | 9,114.7 | | |
持有待售負債 | | — | | | — | | | 47.2 | | | 46.6 | | | 47.9 | | |
流動負債總額 |
| 4,990.9 | | | 6,603.5 | | | 6,876.3 | | | 8,754.1 | | | 9,162.6 | | |
| | | | | | | | | | | |
長期債務 | | 4,626.7 | | | 4,662.8 | | | 4,634.2 | | | 4,619.9 | | | 4,105.8 | | |
遞延及其他税項負債 |
| 209.1 | | | 238.3 | | | 245.2 | | | 247.7 | | | 282.6 | | |
合同責任 | | 1,652.8 | | | 1,639.9 | | | 1,583.2 | | | 1,860.2 | | | 2,001.7 | | |
應計負債和其他負債 | | 241.4 | | | 257.5 | | | 250.9 | | | 240.3 | | | 242.9 | | |
非流動負債總額 | | 6,730.0 | | | 6,798.5 | | | 6,713.5 | | | 6,968.1 | | | 6,633.0 | | |
| | | | | | | | | | | |
總負債 | | 11,720.9 | | | 13,402.0 | | | 13,589.8 | | | 15,722.2 | | | 15,795.6 | | |
| | | | | | | | | | | |
股東權益總額 | | 13,742.5 | | | 13,865.4 | | | 13,628.9 | | | 12,093.3 | | | 11,502.4 | | |
總負債和股東權益 | | 25,463.4 | | | 27,267.4 | | | 27,218.7 | | | 27,815.5 | | | 27,298.0 | | |
ASML-季度摘要美國GAAP現金流量表合併報表
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
| 三個月過去了, | |
| | 9月27日, | | 十二月三十一日, | | 四月四日, | | 七月四日, | | 10月3日, | |
*(未經審計,以百萬歐元為單位) | | 2020 | | 2020 | | 2021 | | 2021 | | 2021 | |
| | | | | | | | | | | |
經營活動的現金流 | | | | | | | | | | | |
淨收入 | | 1,061.5 | | | 1,350.6 | | | 1,331.4 | | | 1,038.2 | | | 1,740.2 | | |
| | | | | | | | | | | |
將淨收入與經營活動的淨現金流量進行調整: | | | | | | | | | | | |
折舊及攤銷 | | 122.0 | | | 125.4 | | | 117.9 | | | 112.7 | | | 116.2 | | |
處置減值和虧損(收益) | | 0.8 | | | 0.8 | | | 6.2 | | | 0.2 | | | (39.8) | | |
基於股份的薪酬費用 | | 22.5 | | | 6.2 | | | 21.0 | | | 29.0 | | | 34.0 | | |
| | | | | | | | | | | |
庫存儲備 | | 36.3 | | | 77.6 | | | 34.4 | | | 44.0 | | | 52.9 | | |
遞延税費(福利) | | (110.6) | | | (60.7) | | | (35.8) | | | (7.5) | | | (270.1) | | |
權益法投資 | | (26.1) | | | 95.8 | | | (21.5) | | | (22.5) | | | (97.3) | | |
資產負債變動情況 | | (915.3) | | | 3,074.7 | | | (2,395.3) | | | 2,374.8 | | | 265.5 | | |
經營活動提供(用於)的現金淨額 | | 191.1 | | | 4,670.4 | | | (941.7) | | | 3,568.9 | | | 1,801.6 | | |
| | | | | | | | | | | |
投資活動的現金流 | | | | | | | | | | | |
購置房產、廠房和設備 | | (212.5) | | | (292.9) | | | (189.4) | | | (241.1) | | | (197.0) | | |
購買無形資產 | | (9.1) | | | (12.2) | | | (7.9) | | | (6.3) | | | (8.0) | | |
購買短期投資 | | (343.7) | | | (820.8) | | | (608.5) | | | — | | | (50.0) | | |
短期投資的到期日 | | 408.7 | | | 394.8 | | | 499.1 | | | 1,224.9 | | | 99.7 | | |
| | | | | | | | | | | |
發放的貸款和其他投資 | | (10.0) | | | (2.2) | | | — | | | — | | | (124.3) | | |
出售附屬公司所得款項 | | — | | | — | | | — | | | 12.9 | | | — | | |
| | | | | | | | | | | |
| | | | | | | | | | | |
收購子公司(扣除收購現金後的淨額) | | — | | | (222.8) | | | — | | | — | | | — | | |
投資活動提供(用於)的現金淨額 | | (166.6) | | | (956.1) | | | (306.7) | | | 990.4 | | | (279.6) | | |
| | | | | | | | | | | |
融資活動的現金流 | | | | | | | | | | | |
支付的股息 | | — | | | (501.6) | | | — | | | (639.1) | | | — | | |
購買庫藏股 | | — | | | (700.0) | | | (1,567.6) | | | (1,983.9) | | | (2,401.6) | | |
發行股票所得淨收益 | | 10.4 | | | 7.9 | | | 11.0 | | | 13.6 | | | 12.3 | | |
| | | | | | | | | | | |
償還債務和融資租賃義務 | | (0.9) | | | (0.7) | | | (3.6) | | | (3.2) | | | (2.6) | | |
| | | | | | | | | | | |
融資活動提供(用於)的現金淨額 | | 9.5 | | | (1,194.4) | | | (1,560.2) | | | (2,612.6) | | | (2,391.9) | | |
| | | | | | | | | | | |
淨現金流 | | 34.0 | | | 2,519.9 | | | (2,808.6) | | | 1,946.7 | | | (869.9) | | |
| | | | | | | | | | | |
匯率變動對現金的影響 | | (1.6) | | | (2.0) | | | 3.0 | | | (3.9) | | | 2.0 | | |
現金及現金等價物淨增(減) | | 32.4 | | | 2,517.9 | | | (2,805.6) | | | 1,942.8 | | | (867.9) | | |
| | | | | | | | | | | |
期初現金及現金等價物 | | 3,499.1 | | | 3,531.5 | | | 6,049.4 | | | 3,243.8 | | | 5,186.6 | | |
期末現金和現金等價物 | | 3,531.5 | | | 6,049.4 | | | 3,243.8 | | | 5,186.6 | | | 4,318.7 | | |
| | | | | | | | | | | |
美國GAAP合併財務報表摘要附註
製備基礎
隨附的未經審核摘要綜合財務報表乃根據美國公認會計原則(“美國公認會計原則”)編制。
有關我們根據美國公認會計原則的年度披露要求(包括我們的主要會計政策)的更多詳情,這些中期未經審計彙總綜合財務報表應與我們基於美國公認會計原則的2020年年度報告中包括的綜合財務報表和附註一起閲讀,該報告可在www.asml.com上查閲。
前瞻性陳述
本文包含前瞻性陳述,包括有關預期趨勢的陳述,包括終端市場和技術行業及商業環境趨勢的趨勢、前景和預期財務結果,包括預期淨銷售額、毛利率、研發成本、SG&A成本和估計的年化有效税率、淨銷售額的預期增長、邏輯和存儲器需求和銷售的預期趨勢、2025年的年度收入和毛利率、2020-2030年期間的年收入增長率、收入確認時間(包括對收入將推遲到2022年的估計)、預期產能增長、長期需求驅動因素、計劃和戰略,包括ESG戰略、有關股息和股票回購的聲明,包括通過股票回購和不斷增長的年化股息(包括2021年中期股息)繼續向股東返還大量現金的意圖,以及與2021-2023年股票回購計劃有關的聲明(包括根據該計劃打算回購的股票數量)和其他非歷史聲明。你通常可以通過使用諸如“可能”、“將”、“可能”、“應該”、“計劃”、“相信”、“預期”、“預期”、“計劃”、“估計”、“預測”、“潛在”、“打算”、“繼續”、“目標”、“未來”、“進展”、“目標”等詞語以及這些詞語或類似詞語的變體來識別這些陳述。這些陳述不是歷史事實,而是基於對我們的業務和未來財務業績的當前預期、估計、假設和預測,讀者不應過分依賴它們。前瞻性陳述不能保證未來的業績,涉及大量已知和未知的風險和不確定性。這些風險和不確定性包括但不限於經濟狀況。, 產品需求和半導體設備行業產能、全球半導體需求和產能利用率、總體經濟狀況對消費者信心和客户產品需求的影響、公司系統的性能、新冠肺炎疫情的影響以及採取的遏制措施對公司、供應商、全球經濟和金融市場的影響,以及其他可能影響ASML財務業績的因素,包括客户需求和ASML為其產品獲得供應的能力、技術進步的成功和新產品開發的速度以及客户對新產品的接受和需求。生產能力和我們提高產能以滿足需求的能力,訂購、裝運和確認收入的系統的數量和時間,以及訂單取消或推出的風險,我們系統的生產能力,包括系統生產延遲,與供應鏈產能和物流相關的風險,半導體行業的趨勢,我們實施專利和保護知識產權的能力,以及知識產權糾紛和訴訟的結果,原材料的可用性,關鍵製造設備和合格員工的可用性,貿易環境,進出口和國家安全法規和訂單及其對我們的影響,匯率和税率的變化,可用流動資金和流動資金需求,我們為債務再融資的能力,可用於股息支付和股票回購的現金和可分配儲備,以及其他影響股息支付和股票回購的因素,股票回購計劃的結果,以及ASML截至12月31日的20-F表格年度報告中包含的風險因素中顯示的其他風險, 2020年和其他提交給美國證券交易委員會(SEC)的文件和提交給美國證券交易委員會(SEC)的其他文件。這些前瞻性陳述僅在本文發表之日作出。除法律要求外,我們沒有義務在本報告日期之後更新任何前瞻性陳述,也沒有義務使此類陳述符合實際結果或修訂後的預期。