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Estados financieros anuales adaptados para el inversor.
Normalizados a saldos a fin de año y moneda constante al año actual.
(millones de $) Fin del año 2022Fin del año 2021Fin del año 2020Fin del año 2019Fin del año 2018Fin del año 2017Fin del año 2016Fin del año 2015Fin del año 2014Fin del año 2013Fin del año 2012Fin del año 2011Fin del año 2010Fin del año 2009Fin del año 2008Fin del año 2007
Tesorería y activos equivalentes $20,535$37,119$36,748$41,431$46,684$29,250$17,659$12,147$21,429$15,741$18,358$3,360$13,302$6,293$14,307$11,488
Otros activos líquidos 30,82026,79441,65270,20443,43652,83947,54929,32314,28529,78326,89526,67616,96221,76312,3327,412
Activos líquidos 51,35563,91378,400111,63690,12082,08965,20741,46935,71445,52445,25330,03630,26428,05626,63918,900
Existencias en sentido amplio 6,8205,8765,0754,2685,2014,7042,9252,6702,5122,3731,6548981,242544613425
Deudores comerciales 23,75230,21327,65621,84518,84924,94015,16314,10818,38215,87913,1806,2146,5094,0192,9182,011
Efectos comerciales a cobrar 30,42835,04032,16519,76819,71229,21615,01512,70914,59612,29811,2927,3475,2142,0282,7492,938
Gastos diferidos 309309315322322329333337340346351358365369572512
Otros activos comerciales 16,42218,11213,96712,52812,96312,06213,15012,06020,55213,77210,8417,5736,0042,7142,6592,184
Activo comercial 77,42289,24178,86358,41056,72670,92246,25341,54756,04144,32236,96622,03218,9699,6749,5128,071
Inmovilizado material 42,95139,24538,71046,14241,28935,83428,59524,28922,43417,31917,5269,0015,6323,5322,9582,250
Inmovilizado intangible 2,1492,1492,1932,2392,2412,2863,0724,2744,8084,5905,0714,092404422424469
Activo de ciclo largo 37,63637,63638,40739,20741,28938,12031,66728,56327,24221,90922,59713,0936,0363,9543,3822,720
Activo cíclico 77,99577,99579,59381,25198,015109,04277,92170,10983,28366,23159,56335,12525,00513,62912,89410,790
Fondo de comercio 5,8895,8896,0106,1356,1416,2665,8505,6665,0932,2611,5691,03787524624947
Activos no financieros 114,095138,683121,178104,070165,386221,248200,241193,509160,062132,096110,56764,37129,99312,5882,866
Otros activos no cíclicos 60,92450,10944,15734,58136,16814,1757,9718,6853,9695,6935,8904,1162,6732,2789301,399
Activo no cíclico 149,630149,630152,696155,877201,554241,689214,062207,860169,124140,050118,02769,52433,54215,1124,0461,446
TOTAL ACTIVO 322,239322,239328,842335,692389,689432,820357,190319,439288,121251,805222,843134,68588,81156,79743,57831,137
Proveedores 57,91874,36265,15446,99446,18667,01541,53936,28341,80633,08630,00016,93514,1936,6976,6506,105
Pasivos por impuesto diferido 39839840641541558329,06823,54525,71120,47017,7909,4435,0792,6501,204760
Acreedores comerciales varios 1,5341,4491,4651,29726,26027,96225,60625,0169,3196,0644,4042,8101,8821,5461,590948
Pasivo comercial 29,11529,11529,71230,33146,18695,56096,21484,84476,83759,62052,19429,18821,15410,8939,4447,814
Deudas con entidades de crédito a corto plazo 1,7435,0005,1025,19812,48012,74611,3187,9064,2890000000
Parte de deudas a largo plazo que vencen en el corto plazo 9,74011,1697,92110,66510,1906,9143,7742,723
Acreedores varios a corto plazo 67,88557,04357,04442,27144,0548,5598,51010,95025,56720,97618,87212,6278,4045,5155,4474,346
Pasivo a corto no comercial 60,58960,58961,83063,11866,72428,21923,60221,57929,85720,97618,87212,6278,4045,5155,4474,346
Deudas con entidades de crédito a largo plazo 99,627106,629101,31596,96496,963110,57179,34357,94935,75918,96600
Acreedores varios a largo plazo 53,10755,05657,19058,18056,88649,30215,22615,3629,9897,2287,0564,1982,8002,5581,8241,125
Deudas a largo plazo 136,079136,079138,867141,760153,849159,87294,57073,31045,74826,1947,0564,1982,8002,5581,8241,125
Pasivos cíclicos 225,783225,783230,409235,209266,759283,652214,386179,733152,442106,79078,12246,01332,35718,96516,71513,285
Capital 0052,80447,89142,72138,77934,67330,77326,60922,98919,50915,42912,6029,8178,6476,594
Prima de emisión 66,39958,42450,77945,17440,20112,87912,87912,87912,879
Resultados de ejercicios anteriores 3,24014,43514,59445,81383,950111,285107,868110,545106,910122,368124,51772,73143,90627,92318,22711,180
Otros fondos propios (12,912)(927)183(435)(3,741)(895)264(1,612)2,160(342)696513(54)92(11)77
Recursos propios 56,72771,93267,58193,269122,930149,169142,804139,706135,678145,015144,72288,67356,45437,83226,86317,851
TOTAL PASIVO $322,239$322,239$328,842$335,692$389,689$432,820$357,190$319,439$288,121$251,805$222,843$134,685$88,811$56,797$43,578$31,137
Por favor, espere