Analog Devices, Inc. (FRA:ANL)
Germany flag Germany · Delayed Price · Currency is EUR
260.40
+4.70 (1.84%)
At close: Jan 28, 2026

Analog Devices Balance Sheet

Millions USD. Fiscal year is Dec - Nov.
Fiscal Year
FY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Nov '25 Nov '24 Oct '23 Oct '22 Oct '21
Cash & Equivalents
2,4991,991958.061,4711,978
Short-Term Investments
1,153371.82---
Cash & Short-Term Investments
3,6522,363958.061,4711,978
Cash Growth
54.55%146.66%-34.85%-25.65%87.33%
Receivables
1,4361,3361,4701,8001,459
Inventory
1,6561,4481,6421,4001,201
Prepaid Expenses
302.47330.15312.07267.04240.69
Other Current Assets
60.877.321.94-500
Total Current Assets
7,1085,4854,3844,9385,378
Property, Plant & Equipment
3,5453,6583,4962,6642,259
Long-Term Investments
----127.86
Goodwill
26,94526,91026,91326,91326,918
Other Intangible Assets
8,0149,58511,31213,26515,267
Long-Term Deferred Tax Assets
1,8672,0842,2232,2652,267
Other Long-Term Assets
513.34506.53465.72256.63104.4
Total Assets
47,99348,22848,79450,30252,322
Accounts Payable
543.76487.46493.04582.16443.43
Accrued Expenses
733.6444.68524.12690.74713.92
Short-Term Debt
446.64547.74547.22--
Current Portion of Long-Term Debt
12.55436.49580.65-516.66
Current Portion of Leases
72.9168.1364.7553.6352.58
Current Income Taxes Payable
610.37447.38309.05265.85332.69
Other Current Liabilities
825.98556.41682.14850.28711.04
Total Current Liabilities
3,2462,9883,2012,4432,770
Long-Term Debt
8,1456,6345,9026,5496,253
Long-Term Leases
283.9318.57360.46337.28295.78
Pension & Post-Retirement Benefits
110.34106.9976.0472.25113.29
Long-Term Deferred Tax Liabilities
2,1632,6243,1283,6233,939
Other Long-Term Liabilities
228.57379.42561.58813.68958.1
Total Liabilities
14,17713,05213,22913,83714,330
Common Stock
81.6182.7282.7184.8887.55
Additional Paid-In Capital
23,34925,08225,31427,85730,574
Retained Earnings
10,54010,19710,3578,7217,517
Comprehensive Income & Other
-154.58-185.26-188.3-198.15-186.57
Shareholders' Equity
33,81635,17635,56536,46537,993
Total Liabilities & Equity
47,99348,22848,79450,30252,322
Total Debt
8,9618,0057,4566,9407,118
Net Cash (Debt)
-5,309-5,642-6,497-5,469-5,140
Net Cash Per Share
-10.69-11.31-12.84-10.45-12.81
Filing Date Shares Outstanding
489.65496.3496.26509.3525.33
Total Common Shares Outstanding
489.65496.3496.26509.3525.33
Working Capital
3,8622,4961,1832,4952,608
Book Value Per Share
69.0670.8871.6771.6072.32
Tangible Book Value
-1,143-1,319-2,660-3,713-4,193
Tangible Book Value Per Share
-2.33-2.66-5.36-7.29-7.98
Land
2,1192,0771,7381,4601,392
Machinery
5,0914,9194,7293,9713,375
Leasehold Improvements
195.71191.43177.31118.86167.62
Source: S&P Global Market Intelligence. Standard template. Financial Sources.