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index 0 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 29 30 31 32 33 34 35 36 37 38 39 40 41 42
Rok finansowy 2014 2015 2015 2015 2015 2016 2016 2016 2016 2017 2017 2017 2017 2018 2018 2018 2018 2019 2019 2019 2019 2020 2020 2020 2020 2021 2021 2021 2021 2022 2022 2022 2022 2023 2023 2023 2023 2024 2024 2024 2024 2025 2025
Kwartał Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2
Aktywa 9 877.0 10 613.0 9 720.0 10 074.0 9 962.0 10 097.0 10 109.0 10 173.0 10 100.0 10 109.0 10 171.0 10 439.0 10 503.0 10 695.0 10 747.0 10 986.0 11 003.0 11 937.0 11 760.0 12 019.0 12 843.0 12 049.0 12 990.0 14 143.0 14 026.0 13 931.0 12 861.0 13 572.0 13 611.0 13 442.0 13 312.0 13 223.0 12 837.0 12 794.0 13 425.0 13 482.0 14 022.0 13 954.0 13 881.0 16 095.0 16 153.0 15 797.0 15 969.0
Aktywa trwałe 8 274.0 8 238.0 8 190.0 8 426.0 8 461.0 8 604.0 8 599.0 8 531.0 8 569.0 8 551.0 8 671.0 8 895.0 9 197.0 9 324.0 9 332.0 9 383.0 9 613.0 10 159.0 10 194.0 10 240.0 10 353.0 10 489.0 10 610.0 10 795.0 10 968.0 10 932.0 10 715.0 10 718.0 10 870.0 10 967.0 10 886.0 10 889.0 10 939.0 10 980.0 11 692.0 11 667.0 11 650.0 11 726.0 11 864.0 13 472.0 13 761.0 13 722.0 13 771.0
Rzeczowe aktywa trwałe netto 933.0 902.0 906.0 886.0 925.0 925.0 937.0 952.0 1 029.0 1 027.0 1 045.0 1 097.0 1 145.0 1 156.0 1 168.0 1 194.0 1 288.0 1 774.0 1 818.0 1 859.0 1 971.0 1 973.0 2 027.0 2 079.0 2 231.0 2 224.0 2 211.0 2 230.0 2 304.0 2 288.0 2 263.0 2 314.0 2 351.0 2 384.0 2 425.0 2 437.0 2 418.0 2 389.0 2 435.0 2 754.0 2 764.0 2 754.0 2 775.0
Wartość firmy 6 032.0 5 986.0 5 987.0 5 895.0 5 905.0 5 996.0 5 996.0 6 000.0 6 000.0 6 001.0 6 080.0 6 164.0 6 335.0 6 392.0 6 414.0 6 447.0 6 563.0 6 605.0 6 605.0 6 617.0 6 619.0 6 694.0 6 789.0 6 880.0 6 873.0 6 870.0 7 045.0 7 057.0 7 095.0 7 197.0 7 195.0 7 190.0 7 220.0 7 241.0 7 733.0 7 732.0 7 733.0 7 830.0 7 885.0 8 605.0 8 856.0 8 849.0 8 883.0
Wartości niematerialne i prawne 1 071.0 1 041.0 1 022.0 1 004.0 984.0 1 008.0 990.0 972.0 949.0 933.0 949.0 1 029.0 1 119.0 1 174.0 1 166.0 1 168.0 1 207.0 1 200.0 1 172.0 1 138.0 1 121.0 1 138.0 1 141.0 1 192.0 1 167.0 1 141.0 1 172.0 1 152.0 1 167.0 1 172.0 1 144.0 1 115.0 1 092.0 1 077.0 1 247.0 1 219.0 1 166.0 1 192.0 1 202.0 1 716.0 1 763.0 1 725.0 1 706.0
Wartość firmy i wartości niematerialne i prawne 7 103.0 7 027.0 7 009.0 6 899.0 6 889.0 7 004.0 6 986.0 6 972.0 6 949.0 6 934.0 7 029.0 7 193.0 7 454.0 7 566.0 7 580.0 7 615.0 7 770.0 7 805.0 7 777.0 7 755.0 7 740.0 7 832.0 7 930.0 8 072.0 8 040.0 8 011.0 8 217.0 8 209.0 8 262.0 8 369.0 8 339.0 8 305.0 8 312.0 8 318.0 8 980.0 8 951.0 8 899.0 9 022.0 9 087.0 10 321.0 10 619.0 10 574.0 10 589.0
Należności netto 932.0 949.0 937.0 914.0 901.0 952.0 975.0 966.0 926.0 960.0 947.0 960.0 924.0 1 026.0 1 055.0 1 097.0 1 012.0 1 079.0 1 088.0 1 117.0 1 063.0 972.0 1 126.0 1 421.0 1 520.0 1 382.0 1 255.0 1 473.0 1 438.0 1 371.0 1 293.0 1 280.0 1 195.0 1 254.0 1 235.0 1 281.0 1 210.0 1 322.0 1 319.0 1 376.0 1 304.0 1 404.0 1 419.0
Inwestycje długoterminowe 46.0 (158.0) (161.0) 478.0 473.0 471.0 453.0 452.0 443.0 443.0 451.0 459.0 462.0 474.0 456.0 456.0 436.0 454.0 458.0 474.0 482.0 496.0 495.0 480.0 521.0 527.0 111.0 124.0 141.0 155.0 147.0 138.0 132.0 128.0 135.0 130.0 135.0 133.0 126.0 125.0 0.0 134.0 136.0
Aktywa obrotowe 1 603.0 2 375.0 1 530.0 1 648.0 1 501.0 1 493.0 1 510.0 1 642.0 1 531.0 1 558.0 1 500.0 1 544.0 1 306.0 1 371.0 1 415.0 1 603.0 1 390.0 1 778.0 1 566.0 1 779.0 2 490.0 1 560.0 2 380.0 3 348.0 3 058.0 2 999.0 2 146.0 2 854.0 2 741.0 2 475.0 2 426.0 2 334.0 1 898.0 1 814.0 1 733.0 1 815.0 2 372.0 2 228.0 2 017.0 2 623.0 2 392.0 2 075.0 2 198.0
Środki pieniężne i Inwestycje 192.0 974.0 150.0 123.0 133.0 128.0 283.0 406.0 359.0 367.0 314.0 350.0 137.0 124.0 132.0 263.0 135.0 464.0 273.0 434.0 1 192.0 342.0 988.0 1 605.0 1 158.0 1 230.0 560.0 987.0 872.0 712.0 790.0 700.0 315.0 175.0 126.0 143.0 686.0 474.0 271.0 764.0 549.0 188.0 319.0
Zapasy 110.0 106.0 109.0 86.0 84.0 82.0 80.0 82.0 82.0 77.0 83.0 100.0 95.0 94.0 91.0 95.0 99.0 98.0 105.0 112.0 123.0 126.0 154.0 205.0 223.0 223.0 199.0 205.0 208.0 197.0 187.0 183.0 192.0 190.0 184.0 184.0 190.0 181.0 182.0 184.0 188.0 189.0 187.0
Inwestycje krótkoterminowe 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 2.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 44.0 28.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0
Środki pieniężne i inne aktywa pieniężne 192.0 974.0 150.0 123.0 133.0 128.0 283.0 406.0 359.0 367.0 314.0 350.0 137.0 124.0 132.0 263.0 135.0 464.0 273.0 434.0 1 192.0 342.0 988.0 1 605.0 1 158.0 1 230.0 560.0 987.0 872.0 712.0 790.0 700.0 315.0 175.0 126.0 143.0 686.0 474.0 271.0 764.0 549.0 188.0 319.0
Należności krótkoterminowe 257.0 1 041.0 1 070.0 945.0 279.0 921.0 983.0 994.0 231.0 954.0 889.0 1 023.0 224.0 948.0 934.0 1 067.0 222.0 1 003.0 934.0 1 048.0 263.0 976.0 1 136.0 1 677.0 446.0 1 559.0 1 404.0 1 610.0 357.0 1 544.0 1 420.0 1 447.0 324.0 1 160.0 1 181.0 1 143.0 378.0 1 226.0 1 231.0 1 297.0 0.0 0.0 0.0
Dług krótkoterminowy 518.0 1 043.0 168.0 160.0 159.0 158.0 7.0 7.0 36.0 6.0 5.0 5.0 107.0 141.0 305.0 304.0 562.0 1 253.0 953.0 952.0 1 037.0 148.0 701.0 703.0 296.0 148.0 147.0 149.0 269.0 156.0 157.0 155.0 247.0 157.0 674.0 461.0 456.0 1 059.0 765.0 779.0 775.0 174.0 675.0
Zobowiązania krótkoterminowe 1 709.0 2 089.0 1 242.0 1 133.0 1 173.0 1 090.0 1 111.0 1 046.0 981.0 985.0 917.0 1 052.0 1 057.0 1 117.0 1 262.0 1 389.0 1 485.0 2 282.0 1 904.0 2 011.0 1 990.0 1 129.0 1 843.0 2 389.0 1 776.0 1 707.0 1 551.0 1 759.0 1 753.0 1 700.0 1 577.0 1 602.0 1 551.0 1 355.0 1 875.0 1 618.0 1 815.0 2 298.0 2 012.0 2 092.0 2 169.0 1 441.0 2 024.0
Rozliczenia międzyokresowe 63.0 (1 041.0) (1 070.0) (945.0) 4.0 (921.0) (983.0) (994.0) 3.0 (954.0) (889.0) (1 023.0) 80.0 (948.0) (934.0) (1 067.0) 115.0 (1 002.0) (933.0) (1 047.0) 115.0 (975.0) (1 134.0) (1 538.0) 196.0 (1 558.0) (1 404.0) (1 610.0) (357.0) (1 698.0) (1 575.0) (1 600.0) 0.0 (1 160.0) (1 181.0) (1 143.0) (1 512.0) 0.0 (1 406.0) 0.0 0.0 0.0 0.0
Zobowiązania długoterminowe 3 838.0 4 253.0 4 134.0 4 251.0 4 006.0 4 269.0 4 355.0 4 357.0 4 382.0 4 383.0 4 441.0 4 481.0 4 411.0 4 435.0 4 146.0 4 155.0 4 174.0 4 237.0 4 271.0 4 278.0 5 090.0 5 141.0 5 189.0 5 228.0 5 359.0 5 355.0 5 292.0 5 302.0 5 296.0 5 249.0 5 208.0 5 272.0 5 279.0 5 274.0 5 186.0 5 325.0 5 789.0 5 110.0 5 134.0 7 082.0 7 206.0 7 427.0 6 717.0
Rezerwy z tytułu odroczonego podatku 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 290.0 0.0 0.0 0.0 295.0 0.0 0.0 0.0 270.0 0.0 0.0 0.0 0.0 0.0 0.0
Zobowiązania długoterminowe 3 838.0 4 253.0 4 134.0 4 251.0 4 006.0 4 269.0 4 355.0 4 357.0 4 382.0 4 383.0 4 441.0 4 481.0 4 411.0 4 435.0 4 146.0 4 155.0 4 174.0 4 237.0 4 271.0 4 278.0 5 090.0 5 141.0 5 189.0 5 228.0 5 359.0 5 355.0 5 292.0 5 302.0 5 296.0 5 249.0 5 208.0 5 272.0 5 279.0 5 274.0 5 186.0 5 325.0 5 789.0 5 110.0 5 134.0 7 082.0 7 206.0 7 427.0 6 717.0
Zobowiązania z tytułu leasingu 0.0 0.0 0.0 0.0 0.0 0.0 0.0 13.0 0.0 7.0 0.0 0.0 0.0 37.0 36.0 36.0 0.0 538.0 559.0 552.0 558.0 554.0 562.0 576.0 640.0 649.0 637.0 643.0 645.0 676.0 652.0 658.0 642.0 645.0 664.0 662.0 656.0 642.0 666.0 719.0 0.0 0.0 0.0
Zobowiązania ogółem 5 547.0 6 342.0 5 376.0 5 384.0 5 179.0 5 359.0 5 466.0 5 403.0 5 363.0 5 368.0 5 358.0 5 533.0 5 468.0 5 552.0 5 408.0 5 544.0 5 659.0 6 519.0 6 175.0 6 289.0 7 080.0 6 270.0 7 032.0 7 617.0 7 135.0 7 062.0 6 843.0 7 061.0 7 049.0 6 949.0 6 785.0 6 874.0 6 830.0 6 629.0 7 061.0 6 943.0 7 604.0 7 408.0 7 146.0 9 174.0 9 375.0 8 868.0 8 623.0
Kapitał (fundusz) podstawowy 2.0 2.0 2.0 2.0 2.0 2.0 2.0 2.0 2.0 2.0 2.0 2.0 2.0 2.0 2.0 2.0 2.0 2.0 2.0 2.0 2.0 2.0 2.0 2.0 2.0 2.0 2.0 2.0 2.0 2.0 2.0 2.0 2.0 2.0 2.0 2.0 2.0 2.0 2.0 2.0 2.0 2.0 2.0
Zyski zatrzymane 5 723.0 5 729.0 5 793.0 6 066.0 6 199.0 6 244.0 6 384.0 6 520.0 6 613.0 6 715.0 6 847.0 6 946.0 7 138.0 7 249.0 7 401.0 7 546.0 7 602.0 7 694.0 7 849.0 7 992.0 8 174.0 8 197.0 8 307.0 8 800.0 9 303.0 9 690.0 10 246.0 7 333.0 7 649.0 7 926.0 8 083.0 8 263.0 8 290.0 8 412.0 8 566.0 8 711.0 8 825.0 8 935.0 9 080.0 9 222.0 9 360.0 9 490.0 9 682.0
Kapitał własny 4 330.0 4 271.0 4 344.0 4 690.0 4 783.0 4 738.0 4 643.0 4 770.0 4 737.0 4 741.0 4 813.0 4 906.0 5 035.0 5 143.0 5 339.0 5 442.0 5 344.0 5 418.0 5 585.0 5 730.0 5 763.0 5 779.0 5 958.0 6 526.0 6 891.0 6 869.0 6 018.0 6 511.0 6 562.0 6 493.0 6 527.0 6 349.0 6 007.0 6 165.0 6 364.0 6 539.0 6 418.0 6 546.0 6 735.0 6 921.0 6 861.0 7 010.0 7 346.0
Udziały mniejszościowe 29.0 28.0 30.0 101.0 99.0 102.0 106.0 107.0 109.0 111.0 116.0 112.0 114.0 113.0 116.0 125.0 128.0 128.0 126.0 125.0 122.0 122.0 127.0 126.0 132.0 124.0 119.0 119.0 118.0 116.0 116.0 114.0 114.0 115.0 115.0 114.0 111.0 114.0 118.0 112.0 83.0 81.0 118.0
Pasywa 9 877.0 10 613.0 9 720.0 10 074.0 9 962.0 10 097.0 10 109.0 10 173.0 10 100.0 10 109.0 10 171.0 10 439.0 10 503.0 10 695.0 10 747.0 10 986.0 11 003.0 11 937.0 11 760.0 12 019.0 12 843.0 12 049.0 12 990.0 14 143.0 14 026.0 13 931.0 12 861.0 13 572.0 13 611.0 13 442.0 13 312.0 13 223.0 12 837.0 12 794.0 13 425.0 13 482.0 14 022.0 13 954.0 13 881.0 16 095.0 16 153.0 15 797.0 15 969.0
Inwestycje 46.0 (158.0) (161.0) 478.0 473.0 471.0 453.0 452.0 443.0 443.0 451.0 459.0 462.0 474.0 456.0 456.0 436.0 454.0 458.0 474.0 482.0 496.0 495.0 480.0 521.0 527.0 111.0 124.0 141.0 155.0 147.0 138.0 132.0 128.0 135.0 130.0 135.0 133.0 126.0 125.0 0.0 134.0 136.0
Dług 3 762.0 4 731.0 3 736.0 3 731.0 3 651.0 3 898.0 3 842.0 3 822.0 3 734.0 3 731.0 3 737.0 3 764.0 3 784.0 3 859.0 3 713.0 3 698.0 3 893.0 4 777.0 4 535.0 4 545.0 5 328.0 4 590.0 5 137.0 5 149.0 4 655.0 4 661.0 4 647.0 4 650.0 4 657.0 4 663.0 4 637.0 4 640.0 4 622.0 4 622.0 4 959.0 4 912.0 5 369.0 5 352.0 5 088.0 6 970.0 6 925.0 6 570.0 6 384.0
Środki pieniężne i inne aktywa pieniężne 192.0 974.0 150.0 123.0 133.0 128.0 283.0 406.0 359.0 367.0 314.0 350.0 137.0 124.0 132.0 263.0 135.0 464.0 273.0 434.0 1 192.0 342.0 988.0 1 605.0 1 158.0 1 230.0 560.0 987.0 872.0 712.0 790.0 700.0 315.0 175.0 126.0 143.0 686.0 474.0 271.0 764.0 549.0 188.0 319.0
Dług netto 3 570.0 3 757.0 3 586.0 3 608.0 3 518.0 3 770.0 3 559.0 3 416.0 3 375.0 3 364.0 3 423.0 3 414.0 3 647.0 3 735.0 3 581.0 3 435.0 3 758.0 4 313.0 4 262.0 4 111.0 4 136.0 4 248.0 4 149.0 3 544.0 3 497.0 3 431.0 4 087.0 3 663.0 3 785.0 3 951.0 3 847.0 3 940.0 4 307.0 4 447.0 4 833.0 4 769.0 4 683.0 4 878.0 4 817.0 6 206.0 6 376.0 6 382.0 6 065.0
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