文件
ASML-美国公认会计准则合并运营报表摘要
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三个月结束, |
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六个月结束, |
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7月2日, |
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6月30日, |
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7月2日, |
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6月30日, |
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| (未经审计,单位:百万欧元,每股数据除外) |
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2023 |
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2024 |
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2023 |
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2024 |
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| 净系统销售额 |
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5,606.1 |
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4,760.9 |
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10,947.9 |
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8,726.8 |
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| 净服务和实地期权销售 |
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1,296.2 |
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1,481.9 |
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2,700.6 |
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2,806.0 |
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| 净销售总额 |
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6,902.3 |
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6,242.8 |
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13,648.5 |
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11,532.8 |
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| 销售总成本 |
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(3,358.3) |
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(3,030.6) |
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(6,691.3) |
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(5,624.0) |
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| 毛利 |
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3,544.0 |
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3,212.2 |
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6,957.2 |
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5,908.8 |
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| 研发费用 |
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(999.9) |
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(1,100.6) |
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(1,947.8) |
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(2,132.5) |
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| 销售、一般和行政成本 |
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(281.1) |
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(277.0) |
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(541.4) |
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(550.3) |
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| 经营收入 |
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2,263.0 |
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1,834.6 |
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4,468.0 |
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3,226.0 |
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| 利息及其他净额 |
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16.7 |
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(11.9) |
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28.9 |
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14.3 |
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| 所得税前收入 |
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2,279.7 |
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1,822.7 |
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4,496.9 |
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3,240.3 |
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| 所得税费用 |
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(403.9) |
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(291.6) |
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(706.5) |
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(515.6) |
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| 所得税后收入 |
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1,875.8 |
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1,531.1 |
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3,790.4 |
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2,724.7 |
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| 权益法投资相关利润 |
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65.9 |
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46.8 |
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107.1 |
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77.0 |
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| 净收入 |
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1,941.7 |
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1,577.9 |
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3,897.5 |
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2,801.7 |
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| 每股普通股基本净收入 |
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4.93 |
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4.01 |
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9.90 |
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7.12 |
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| 稀释后每股普通股净收益 |
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4.93 |
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4.01 |
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9.89 |
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7.12 |
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| 计算每股金额所使用的加权平均普通股数(百万): |
| 基本 |
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393.8 |
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393.2 |
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393.8 |
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393.3 |
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| 摊薄 |
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394.0 |
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393.5 |
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394.0 |
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393.6 |
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ASML-比率和其他数据
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三个月结束, |
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六个月结束, |
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7月2日, |
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6月30日, |
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7月2日, |
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6月30日, |
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| (未经审计,单位:百万欧元,除非另有说明) |
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2023 |
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2024 |
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2023 |
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2024 |
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| 毛利润占净销售额的百分比 |
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51.3 |
% |
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51.5 |
% |
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51.0 |
% |
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51.2 |
% |
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| 运营收入占净销售额的百分比 |
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32.8 |
% |
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29.4 |
% |
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32.7 |
% |
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28.0 |
% |
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| 净收入占净销售额的百分比 |
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28.1 |
% |
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25.3 |
% |
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28.6 |
% |
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24.3 |
% |
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| 所得税占所得税前收入的百分比 |
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17.7 |
% |
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16.0 |
% |
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15.7 |
% |
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15.9 |
% |
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| 股东权益占总资产比例 |
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28.7 |
% |
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36.1 |
% |
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28.7 |
% |
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36.1 |
% |
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光刻系统销量(单位)1
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113 |
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100 |
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213 |
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170 |
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预定系统的价值2
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4,500 |
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5,567 |
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8,252 |
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9,178 |
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| FTE中的发薪员工人数 |
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38,866 |
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41,505 |
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38,866 |
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41,505 |
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| FTE中的临时雇员人数 |
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2,676 |
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1,584 |
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2,676 |
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1,584 |
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1.光刻系统不包括计量和检测系统。
2.净预订量包括所有系统销售订单和与通胀相关的调整,已接受书面授权。
ASML-美国公认会计准则合并资产负债表摘要
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12月31日, |
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6月30日, |
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| (未经审计,百万欧元) |
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2023 |
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2024 |
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| 物业、厂房及设备 |
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| 现金及现金等价物 |
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7,004.7 |
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4,813.6 |
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| 短期投资 |
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5.4 |
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205.3 |
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| 应收账款,净额 |
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4,334.1 |
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4,475.8 |
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| 应收融资款项,净额 |
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1,379.2 |
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977.0 |
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| 当前税收资产 |
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1,001.2 |
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684.8 |
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| 合同资产 |
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240.1 |
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435.0 |
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| 库存,净额 |
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8,850.7 |
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10,972.3 |
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| 其他资产 |
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1,578.5 |
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1,889.4 |
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| 流动资产总额 |
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24,393.9 |
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24,453.2 |
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| 应收融资款项,净额 |
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60.6 |
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64.0 |
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| 递延所得税资产 |
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1,872.3 |
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1,872.4 |
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| 应收贷款 |
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929.2 |
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929.3 |
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| 其他资产 |
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651.8 |
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702.8 |
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| 权益法投资 |
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919.6 |
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1,002.3 |
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| 商誉 |
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4,588.6 |
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4,588.6 |
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| 其他无形资产,净额 |
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741.7 |
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686.4 |
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| 固定资产、工厂及设备,净值 |
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5,493.2 |
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6,084.0 |
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| 使用权资产 |
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306.6 |
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358.0 |
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| 非流动资产合计 |
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15,563.6 |
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16,287.8 |
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| 总资产 |
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39,957.5 |
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40,741.0 |
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| 负债和股东权益 |
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| 流动负债 |
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16,274.7 |
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16,132.3 |
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| 流动负债合计 |
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16,274.7 |
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16,132.3 |
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| 长期负债 |
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4,631.5 |
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4,608.2 |
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| 递延及其他税务负债 |
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372.2 |
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351.9 |
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| 合同负债 |
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4,825.5 |
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4,463.0 |
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| 应计负债和其他负债 |
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401.2 |
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474.4 |
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| 非流动负债合计 |
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10,230.4 |
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9,897.5 |
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| 负债总额 |
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26,505.1 |
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26,029.8 |
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| 股东权益合计 |
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13,452.4 |
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14,711.2 |
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| 负债和股东权益合计 |
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39,957.5 |
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40,741.0 |
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ASML-美国通用会计准则合并现金流量表摘要
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三个月结束, |
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六个月结束, |
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7月2日, |
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6月30日, |
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7月2日, |
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6月30日, |
| (未经审计,百万欧元) |
|
2023 |
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2024 |
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2023 |
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2024 |
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| 经营活动产生的现金流量 |
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| 净收入 |
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1,941.7 |
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1,577.9 |
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3,897.5 |
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2,801.7 |
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| 调整净收益与经营活动产生的现金流量净额: |
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| 折旧及摊销 |
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181.2 |
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227.5 |
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351.5 |
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441.9 |
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| 处置减值和损失(收益) |
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3.9 |
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13.7 |
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7.1 |
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17.9 |
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| 股份补偿费用 |
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33.4 |
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46.5 |
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51.7 |
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66.3 |
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| 库存储备 |
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90.6 |
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110.7 |
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172.3 |
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232.2 |
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| 递延所得税费用(收益) |
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41.5 |
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0.8 |
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54.2 |
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(1.9) |
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| 权益法投资 |
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(70.9) |
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(50.6) |
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(117.7) |
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(84.5) |
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| 资产负债变动 |
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(1,836.7) |
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(1,003.1) |
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(3,298.3) |
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(2,802.1) |
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| 经营活动提供(使用)的现金净额 |
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384.7 |
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923.4 |
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1,118.3 |
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671.5 |
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| 投资活动产生的现金流量 |
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| 购置物业、厂房及设备 |
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(537.8) |
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(531.0) |
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(1,069.8) |
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(948.3) |
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| 购买无形资产 |
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(6.6) |
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(7.0) |
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(14.0) |
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(13.5) |
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| 购买短期投资 |
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(0.5) |
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(0.5) |
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(18.7) |
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(300.5) |
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| 短期投资到期 |
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— |
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100.4 |
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121.1 |
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100.4 |
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| 发放的贷款和其他投资 |
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— |
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0.3 |
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— |
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0.5 |
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| 投资活动提供(使用)的现金净额 |
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(544.9) |
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(437.8) |
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(981.4) |
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(1,161.4) |
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| 筹资活动产生的现金流量 |
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| 已支付股息 |
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(666.1) |
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(688.3) |
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(1,207.1) |
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(1,259.3) |
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| 购买库存股 |
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(492.6) |
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(114.9) |
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(888.9) |
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(500.0) |
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| 发行股份所得款项净额 |
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25.1 |
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31.2 |
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47.8 |
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60.5 |
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| 发行票据所得款项净额,扣除发行费用 |
|
997.8 |
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— |
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|
997.8 |
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— |
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| 偿还债务和融资租赁义务 |
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(0.7) |
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(0.3) |
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(2.2) |
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(0.9) |
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| 筹资活动提供(使用)的现金净额 |
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(136.5) |
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(772.3) |
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(1,052.6) |
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(1,699.7) |
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| 净现金流 |
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(296.7) |
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(286.7) |
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(915.7) |
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(2,189.6) |
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| 汇率变动对现金的影响 |
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(9.7) |
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(0.5) |
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(11.3) |
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(1.5) |
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| 现金及现金等价物净增加(减少)额 |
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(306.4) |
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(287.2) |
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(927.0) |
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(2,191.1) |
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| 期初现金及现金等价物 |
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6,647.7 |
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5,100.8 |
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7,268.3 |
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7,004.7 |
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| 期末现金及现金等价物 |
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6,341.3 |
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4,813.6 |
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6,341.3 |
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4,813.6 |
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ASML-季度摘要美国公认会计准则合并运营报表
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三个月结束, |
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7月2日, |
|
10月1日, |
|
12月31日, |
|
3月31日, |
|
6月30日, |
|
| (未经审计,单位:百万欧元,每股数据除外) |
|
2023 |
|
2023 |
|
2023 |
|
2024 |
|
2024 |
|
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|
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|
|
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| 净系统销售额 |
|
5,606.1 |
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5,308.2 |
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5,682.5 |
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|
3,965.9 |
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|
4,760.9 |
|
|
| 净服务和实地期权销售 |
|
1,296.2 |
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|
1,364.8 |
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|
1,554.5 |
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|
1,324.1 |
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1,481.9 |
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| 净销售总额 |
|
6,902.3 |
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6,673.0 |
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7,237.0 |
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5,290.0 |
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6,242.8 |
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|
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| 销售总成本 |
|
(3,358.3) |
|
|
(3,211.4) |
|
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(3,519.7) |
|
|
(2,593.4) |
|
|
(3,030.6) |
|
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| 毛利 |
|
3,544.0 |
|
|
3,461.6 |
|
|
3,717.3 |
|
|
2,696.6 |
|
|
3,212.2 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| 研发费用 |
|
(999.9) |
|
|
(991.4) |
|
|
(1,041.3) |
|
|
(1,031.9) |
|
|
(1,100.6) |
|
|
| 销售、一般和行政成本 |
|
(281.1) |
|
|
(287.8) |
|
|
(284.1) |
|
|
(273.3) |
|
|
(277.0) |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| 经营收入 |
|
2,263.0 |
|
|
2,182.4 |
|
|
2,391.9 |
|
|
1,391.4 |
|
|
1,834.6 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| 利息及其他净额 |
|
16.7 |
|
|
7.1 |
|
|
5.2 |
|
|
26.2 |
|
|
(11.9) |
|
|
| 所得税前收入 |
|
2,279.7 |
|
|
2,189.5 |
|
|
2,397.1 |
|
|
1,417.6 |
|
|
1,822.7 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| 收益(拨备)所得税 |
|
(403.9) |
|
|
(343.7) |
|
|
(385.6) |
|
|
(224.0) |
|
|
(291.6) |
|
|
| 所得税后收入 |
|
1,875.8 |
|
|
1,845.8 |
|
|
2,011.5 |
|
|
1,193.6 |
|
|
1,531.1 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| 权益法投资相关利润 |
|
65.9 |
|
|
47.6 |
|
|
36.6 |
|
|
30.2 |
|
|
46.8 |
|
|
| 净收入 |
|
1,941.7 |
|
|
1,893.4 |
|
|
2,048.1 |
|
|
1,223.8 |
|
|
1,577.9 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| 每股普通股基本净收入 |
|
4.93 |
|
|
4.81 |
|
|
5.21 |
|
|
3.11 |
|
|
4.01 |
|
|
| 稀释后每股普通股净收益 |
|
4.93 |
|
|
4.81 |
|
|
5.20 |
|
|
3.11 |
|
|
4.01 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| 计算每股金额所使用的加权平均普通股数(百万): |
|
|
|
|
|
| 基本 |
|
393.8 |
|
|
393.4 |
|
|
393.4 |
|
|
393.4 |
|
|
393.2 |
|
|
| 摊薄 |
|
394.0 |
|
|
393.7 |
|
|
393.8 |
|
|
393.7 |
|
|
393.5 |
|
|
ASML-季度摘要比率和其他数据
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
7月2日, |
|
10月1日, |
|
12月31日, |
|
3月31日, |
|
6月30日, |
|
| (未经审计,单位:百万欧元,除非另有说明) |
|
2023 |
|
2023 |
|
2023 |
|
2024 |
|
2024 |
|
|
|
|
|
|
|
|
|
|
|
|
|
| 毛利润占净销售额的百分比 |
|
51.3 |
% |
|
51.9 |
% |
|
51.4 |
% |
|
51.0 |
% |
|
51.5 |
% |
|
| 运营收入占净销售额的百分比 |
|
32.8 |
% |
|
32.7 |
% |
|
33.1 |
% |
|
26.3 |
% |
|
29.4 |
% |
|
| 净收入占净销售额的百分比 |
|
28.1 |
% |
|
28.4 |
% |
|
28.3 |
% |
|
23.1 |
% |
|
25.3 |
% |
|
| 所得税占所得税前收入的百分比 |
|
17.7 |
% |
|
15.7 |
% |
|
16.1 |
% |
|
15.8 |
% |
|
16.0 |
% |
|
| 股东权益占总资产比例 |
|
28.7 |
% |
|
32.0 |
% |
|
33.7 |
% |
|
35.3 |
% |
|
36.1 |
% |
|
|
光刻系统销量(单位)1
|
|
113 |
|
|
112 |
|
|
124 |
|
|
70 |
|
|
100 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
预定系统的价值2
|
|
4,500 |
|
|
2,602 |
|
|
9,186 |
|
|
3,611 |
|
|
5,567 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
FTE中的发薪员工人数
|
|
38,866 |
|
|
39,850 |
|
|
40,310 |
|
|
40,940 |
|
|
41,505 |
|
|
| FTE中的临时雇员人数 |
|
2,676 |
|
|
2,416 |
|
|
2,107 |
|
|
1,773 |
|
|
1,584 |
|
|
1.光刻系统不包括计量和检测系统。
2.净预订量包括所有系统销售订单和与通胀相关的调整,已接受书面授权。
ASML-季度摘要美国公认会计准则合并资产负债表
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
7月2日, |
|
10月1日, |
|
12月31日, |
|
3月31日, |
|
6月30日, |
|
| (未经审计,百万欧元) |
|
2023 |
|
2023 |
|
2023 |
|
2024 |
|
2024 |
|
|
|
|
|
|
|
|
|
|
|
|
|
| 物业、厂房及设备 |
|
|
|
|
|
|
|
|
|
|
|
| 现金及现金等价物 |
|
6,341.3 |
|
|
4,975.5 |
|
|
7,004.7 |
|
|
5,100.8 |
|
|
4,813.6 |
|
|
| 短期投资 |
|
5.1 |
|
|
5.4 |
|
|
5.4 |
|
|
305.3 |
|
|
205.3 |
|
|
| 应收账款,净额 |
|
3,963.6 |
|
|
3,910.5 |
|
|
4,334.1 |
|
|
3,585.5 |
|
|
4,475.8 |
|
|
| 应收融资款项,净额 |
|
1,650.8 |
|
|
1,348.2 |
|
|
1,379.2 |
|
|
1,441.2 |
|
|
977.0 |
|
|
| 当前税收资产 |
|
595.8 |
|
|
854.3 |
|
|
1,001.2 |
|
|
649.3 |
|
|
684.8 |
|
|
| 合同资产 |
|
191.9 |
|
|
266.5 |
|
|
240.1 |
|
|
302.6 |
|
|
435.0 |
|
|
| 库存,净额 |
|
7,734.4 |
|
|
8,378.5 |
|
|
8,850.7 |
|
|
9,864.5 |
|
|
10,972.3 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| 其他资产 |
|
1,915.3 |
|
|
1,916.8 |
|
|
1,578.5 |
|
|
1,890.5 |
|
|
1,889.4 |
|
|
| 流动资产总额 |
|
22,398.2 |
|
|
21,655.7 |
|
|
24,393.9 |
|
|
23,139.7 |
|
|
24,453.2 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| 应收融资款项,净额 |
|
71.7 |
|
|
423.4 |
|
|
60.6 |
|
|
13.8 |
|
|
64.0 |
|
|
| 递延所得税资产 |
|
1,679.1 |
|
|
1,827.4 |
|
|
1,872.3 |
|
|
1,875.2 |
|
|
1,872.4 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| 应收贷款 |
|
364.4 |
|
|
920.7 |
|
|
929.2 |
|
|
929.5 |
|
|
929.3 |
|
|
| 其他资产 |
|
996.3 |
|
|
859.2 |
|
|
651.8 |
|
|
648.5 |
|
|
702.8 |
|
|
| 权益法投资 |
|
1,040.4 |
|
|
1,094.3 |
|
|
919.6 |
|
|
951.5 |
|
|
1,002.3 |
|
|
| 商誉 |
|
4,555.6 |
|
|
4,582.6 |
|
|
4,588.6 |
|
|
4,588.6 |
|
|
4,588.6 |
|
|
| 其他无形资产,净额 |
|
789.2 |
|
|
756.6 |
|
|
741.7 |
|
|
711.1 |
|
|
686.4 |
|
|
| 固定资产、工厂及设备,净值 |
|
4,727.9 |
|
|
5,093.2 |
|
|
5,493.2 |
|
|
5,841.4 |
|
|
6,084.0 |
|
|
| 使用权资产 |
|
305.7 |
|
|
300.4 |
|
|
306.6 |
|
|
343.3 |
|
|
358.0 |
|
|
| 非流动资产合计 |
|
14,530.3 |
|
|
15,857.8 |
|
|
15,563.6 |
|
|
15,902.9 |
|
|
16,287.8 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| 总资产 |
|
36,928.5 |
|
|
37,513.5 |
|
|
39,957.5 |
|
|
39,042.6 |
|
|
40,741.0 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| 负债和股东权益 |
|
|
|
|
|
|
|
|
|
|
|
| 流动负债 |
|
16,754.3 |
|
|
16,309.5 |
|
|
16,274.7 |
|
|
15,048.7 |
|
|
16,132.3 |
|
|
| 流动负债合计 |
|
16,754.3 |
|
|
16,309.5 |
|
|
16,274.7 |
|
|
15,048.7 |
|
|
16,132.3 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| 长期负债 |
|
4,517.8 |
|
|
4,522.3 |
|
|
4,631.5 |
|
|
4,612.0 |
|
|
4,608.2 |
|
|
| 递延及其他税务负债 |
|
372.8 |
|
|
380.4 |
|
|
372.2 |
|
|
400.4 |
|
|
351.9 |
|
|
| 合同负债 |
|
4,205.3 |
|
|
3,826.0 |
|
|
4,825.5 |
|
|
4,744.7 |
|
|
4,463.0 |
|
|
| 应计负债和其他负债 |
|
473.4 |
|
|
480.4 |
|
|
401.2 |
|
|
442.7 |
|
|
474.4 |
|
|
| 非流动负债合计 |
|
9,569.3 |
|
|
9,209.1 |
|
|
10,230.4 |
|
|
10,199.8 |
|
|
9,897.5 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| 负债总额 |
|
26,323.6 |
|
|
25,518.6 |
|
|
26,505.1 |
|
|
25,248.5 |
|
|
26,029.8 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| 股东权益合计 |
|
10,604.9 |
|
|
11,994.9 |
|
|
13,452.4 |
|
|
13,794.1 |
|
|
14,711.2 |
|
|
| 负债和股东权益合计 |
|
36,928.5 |
|
|
37,513.5 |
|
|
39,957.5 |
|
|
39,042.6 |
|
|
40,741.0 |
|
|
ASML-季度季度摘要美国公认会计准则合并现金流量表
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
三个月结束, |
|
|
|
7月2日, |
|
10月1日, |
|
12月31日, |
|
3月31日, |
|
6月30日, |
|
| (未经审计,百万欧元) |
|
2023 |
|
2023 |
|
2023 |
|
2024 |
|
2024 |
|
|
|
|
|
|
|
|
|
|
|
|
|
| 经营活动产生的现金流量 |
|
|
|
|
|
|
|
|
|
|
|
| 净收入 |
|
1,941.7 |
|
|
1,893.4 |
|
|
2,048.1 |
|
|
1,223.8 |
|
|
1,577.9 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| 调整净收益与经营活动产生的现金流量净额: |
|
|
|
|
|
|
|
|
|
|
|
| 折旧及摊销 |
|
181.2 |
|
|
176.2 |
|
|
212.1 |
|
|
214.4 |
|
|
227.5 |
|
|
| 处置减值和损失(收益) |
|
3.9 |
|
|
20.4 |
|
|
10.0 |
|
|
4.2 |
|
|
13.7 |
|
|
| 股份补偿费用 |
|
33.4 |
|
|
41.5 |
|
|
41.6 |
|
|
19.8 |
|
|
46.5 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| 库存储备 |
|
90.6 |
|
|
102.3 |
|
|
210.7 |
|
|
121.5 |
|
|
110.7 |
|
|
| 递延所得税费用(收益) |
|
41.5 |
|
|
(138.9) |
|
|
(48.9) |
|
|
(2.7) |
|
|
0.8 |
|
|
| 权益法投资 |
|
(70.9) |
|
|
(53.8) |
|
|
175.7 |
|
|
(33.9) |
|
|
(50.6) |
|
|
| 资产负债变动 |
|
(1,836.7) |
|
|
(913.0) |
|
|
547.7 |
|
|
(1,799.0) |
|
|
(1,003.1) |
|
|
| 经营活动提供(使用)的现金净额 |
|
384.7 |
|
|
1,128.1 |
|
|
3,197.0 |
|
|
(251.9) |
|
|
923.4 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| 投资活动产生的现金流量 |
|
|
|
|
|
|
|
|
|
|
|
| 购置物业、厂房及设备 |
|
(537.8) |
|
|
(501.8) |
|
|
(584.0) |
|
|
(417.3) |
|
|
(531.0) |
|
|
| 购买无形资产 |
|
(6.6) |
|
|
(8.3) |
|
|
(18.3) |
|
|
(6.5) |
|
|
(7.0) |
|
|
| 购买短期投资 |
|
(0.5) |
|
|
(3.9) |
|
|
(1.0) |
|
|
(300.0) |
|
|
(0.5) |
|
|
| 短期投资到期 |
|
— |
|
|
3.6 |
|
|
0.9 |
|
|
— |
|
|
100.4 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| 发放的贷款和其他投资 |
|
— |
|
|
(553.0) |
|
|
(8.5) |
|
|
0.2 |
|
|
0.3 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| 收购子公司(扣除收购现金) |
|
— |
|
|
(27.6) |
|
|
(6.0) |
|
|
— |
|
|
— |
|
|
| 投资活动提供(使用)的现金净额 |
|
(544.9) |
|
|
(1,091.0) |
|
|
(616.9) |
|
|
(723.6) |
|
|
(437.8) |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| 筹资活动产生的现金流量 |
|
|
|
|
|
|
|
|
|
|
|
| 已支付股息 |
|
(666.1) |
|
|
(570.4) |
|
|
(570.8) |
|
|
(571.0) |
|
|
(688.3) |
|
|
| 购买库存股 |
|
(492.6) |
|
|
(111.1) |
|
|
— |
|
|
(385.1) |
|
|
(114.9) |
|
|
| 发行股份所得款项净额 |
|
25.1 |
|
|
25.7 |
|
|
25.9 |
|
|
29.3 |
|
|
31.2 |
|
|
| 发行票据所得款项净额,扣除发行费用 |
|
997.8 |
|
|
— |
|
|
— |
|
|
— |
|
|
— |
|
|
| 偿还债务和融资租赁义务 |
|
(0.7) |
|
|
(750.4) |
|
|
(0.2) |
|
|
(0.6) |
|
|
(0.3) |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| 筹资活动提供(使用)的现金净额 |
|
(136.5) |
|
|
(1,406.2) |
|
|
(545.1) |
|
|
(927.4) |
|
|
(772.3) |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| 净现金流 |
|
(296.7) |
|
|
(1,369.1) |
|
|
2,035.0 |
|
|
(1,902.9) |
|
|
(286.7) |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| 汇率变动对现金的影响 |
|
(9.7) |
|
|
3.3 |
|
|
(5.8) |
|
|
(1.0) |
|
|
(0.5) |
|
|
| 现金及现金等价物净增加(减少)额 |
|
(306.4) |
|
|
(1,365.8) |
|
|
2,029.2 |
|
|
(1,903.9) |
|
|
(287.2) |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| 期初现金及现金等价物 |
|
6,647.7 |
|
|
6,341.3 |
|
|
4,975.5 |
|
|
7,004.7 |
|
|
5,100.8 |
|
|
| 期末现金及现金等价物 |
|
6,341.3 |
|
|
4,975.5 |
|
|
7,004.7 |
|
|
5,100.8 |
|
|
4,813.6 |
|
|
美国公认会计原则合并财务报表摘要附注
编制依据
随附的未经审计的汇总合并财务报表是按照美国普遍接受的会计原则(“美国公认会计原则”)编制的。
有关我们在美国公认会计原则下的年度披露要求的更多详细信息,包括我们的重要会计政策,这些中期未经审计的合并财务报表摘要应与我们基于美国公认会计原则的2023年年度报告中包含的合并财务报表和附注一起阅读,该报告可在www.asml.com上查阅。
前瞻性陈述
本文件和相关讨论包含1995年美国《私人证券诉讼改革法案》含义内的前瞻性陈述,包括有关计划、战略、预期趋势的陈述,包括半导体行业和终端市场的趋势和商业环境趋势、预期需求、光刻工具利用率和强度、半导体库存水平、预订、积压、半导体行业的预期复苏和增长以及预期驱动因素和时间,包括预计2024年下半年行业将持续复苏、增加和改善产能的计划、产能爬坡和技术方面的持续投资,展望和预期财务业绩,包括2024年第三季度的预期业绩,包括净销售额、IBM销售额、毛利率、研发成本、SG & A成本、2024年下半年和全年的展望,包括对2024年下半年的预期强劲以及对2024年全年总净销售额、毛利率和估计年化有效税率的预期,对按细分市场划分的销售额的预期以及IBM销售额及其预期驱动因素,以及其他2024年全年预期,对2025年预期财务业绩和增长的预期及其预期驱动因素,我们在2022年投资者日发表的声明,包括2025年和2030年的收入和毛利率机会、关于出口管制政策和法规以及对我们的预期影响的声明、关于继续执行ESG可持续发展战略的声明、我们期望通过不断增加的股息和股票回购继续向股东返还大量现金、关于我们的股票回购计划的声明,包括根据该计划打算回购的股票数量以及关于股息的声明,关于我们系统和客户计划的预期性能和能力的声明以及其他非历史声明。你一般可以通过使用“可能”、“将”、“可以”、“应该”、“项目”、“相信”、“预期”、“计划”、“估计”、“预测”、“潜在”、“打算”、“继续”、“目标”、“未来”、“进展”、“目标”、“机会”等词语来识别这些陈述,以及这些词语或类似词语的变体。这些陈述不是历史事实,而是基于当前对我们业务和未来财务业绩的预期、估计、假设、计划和预测,读者不应过分依赖它们。前瞻性陈述并不能保证未来的业绩,并且涉及大量已知和未知的重大风险和不确定性。这些风险和不确定性包括但不限于客户需求、半导体设备行业产能、全球对半导体和半导体制造产能的需求、光刻工具利用率和半导体库存水平、半导体行业的一般趋势和消费者信心、一般经济状况的影响,包括当前宏观经济环境对半导体行业的影响、围绕市场复苏的不确定性、通货膨胀的影响、利率、地缘政治发展、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步伐以及客户对新产品的接受度和需求,我们的生产能力和调整能力以满足需求的能力、供应链能力、限制因素和物流、零部件、原材料、关键制造设备和合格员工的及时可用性、我们生产系统以满足需求的能力受到限制、订购、发运和确认为收入的系统的数量和时间、与净预订量波动有关的风险、订单取消或推出的风险以及出口管制下已订购系统的发货受到限制、与贸易环境、进出口和国家安全法规和订单相关的风险及其对我们的影响,包括出口法规变化的影响以及此类法规对我们获得必要许可证和向某些客户销售我们的系统和提供服务的能力的影响、汇率波动、税率变化、可用流动性和自由现金流以及流动性要求、我们为债务再融资的能力、可用现金和可分配准备金,以及影响股息支付和股票回购的其他因素,我们根据股票回购计划回购的股票数量,我们执行专利和保护知识产权的能力以及知识产权纠纷和诉讼的结果、我们实现ESG目标和执行ESG战略的能力、可能影响ASML业务或财务业绩的其他因素, 以及ASML截至2023年12月31日止年度的20-F表格年度报告以及向美国证券交易委员会提交和提交的其他文件中包含的风险因素中提示的其他风险。这些前瞻性陈述仅在本文件发布之日作出。除法律要求外,我们不承担在本报告发布之日后更新任何前瞻性陈述或使此类陈述符合实际结果或经修订的预期的义务。