Cadence Design Systems Inc (CDNS)

Industry Software - Application

This stock can be held in an Investment ISA and an Investment Account
Sell

$304.02

Buy

$306.40

arrow-down$-2.18 (-0.71%)

Cadence Design Systems Inc develops system design enablement solutions that are used to design whole electronics systems, complex integrated circuits, and electronic devices. The firm provides maintenance services for its software, hardware, and others.
Prices updated at 10 May 2025, 00:58 EDT
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Prices in USD

Income statement

20172018201920202021202220232024
1,943m2,138m2,336m2,683m2,988m3,562m4,090m4,641m
1,706m1,879m2,070m2,377m2,681m3,190m3,655m3,994m
333m407m500m655m778m1,074m1,262m1,375m
17.1619.0521.4224.4126.0430.1530.8629.62
204m346m989m591m696m849m1,041m1,055m
456m518m621m804m916m1,204m1,464m1,667m
Sales, General and administrative553m573m621m671m749m846m933m1,040m
Interest expenses26m23m19m21m17m23m36m76m
Provision for income taxes111m31m-510m42m72m196m241m340m
Operating expenses1,372m1,472m1,570m1,723m1,903m2,116m2,393m2,619m
Income before taxes315m376m479m633m768m1,045m1,282m1,396m
Net income available to common shareholders204m346m989m591m696m849m1,041m1,055m
0.751.263.622.162.543.133.863.89
Net interest income-22m-15m-9m-17m-14m-13m-7m-14m
Advertising and promotion--------
Net investment income, net--------
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)0.731.233.532.112.53.093.823.85
Free cash flow per share1.75311.91672.26182.99783.36363.94424.52623.4828
Book value/share3.58334.49055.28948.58899.49439.931711.460516.6636
Debt equity ratio0.6514030.2680.2048610.18480.1659110.2868420.1219440.553126

Balance sheet

20172018201920202021202220232024
Current assets980m951m1,169m1,479m1,716m1,707m1,976m4,016m
Current liabilities642m709m672m797m971m1,348m1,591m1,370m
Total capital1,634m1,634m2,449m2,840m3,088m3,393m3,704m7,150m
Total debt729m445m431m461m455m887m764m2,585m
Total equity989m1,288m2,103m2,493m2,741m2,745m3,404m4,674m
Total non current liabilities--------
Loans644m345m346m347m348m648m300m2,476m
Total assets2,419m2,469m3,357m3,951m4,386m5,137m5,669m8,974m
Total liabilities--------
Cash and cash equivalents688m533m705m928m1,089m882m1,008m2,644m
Common stock282m280m280m279m277m273m272m274m

Cash flow

20172018201920202021202220232024
Cash at beginning of period465m688m533m705m928m1,089m882m1,008m
Cash dividends paid--------
413m543m655m810m1,034m1,118m1,247m1,118m
Investments (gains) losses-191m-174m-106m-292m-293m-739m-412m-837m
688m533m705m928m1,089m882m1,008m2,644m
Net income--------
471m605m730m905m1,101m1,242m1,349m1,261m
-58m-62m-75m-95m-67m-124m-103m-143m
The figures shown in the tables are quoted in the currency of the stock selected.
Please note that past performance is not a reliable indicator of future returns. Please use the interactive graph for benchmark comparison.


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