ASML Holding N.V. (TSX:ASML)
Canada flag Canada · Delayed Price · Currency is CAD
39.69
-0.37 (-0.92%)
At close: Feb 27, 2026

ASML Holding Balance Sheet

Millions EUR. Fiscal year is Jan - Dec.
Fiscal Year
FY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Cash & Equivalents
12,91612,7367,0057,2686,952
Short-Term Investments
405.95.45.4107.7638.5
Trading Asset Securities
0.29.3-1.736.6
Cash & Short-Term Investments
13,32212,7517,0107,3787,627
Cash Growth
4.48%81.89%-4.98%-3.27%3.23%
Accounts Receivable
4,0774,8815,9536,8124,378
Other Receivables
276.1562.71,303234.6178.7
Receivables
4,6195,4437,2577,0474,557
Inventory
11,42910,8928,8517,2005,179
Prepaid Expenses
538555.5472.1678.6374.3
Other Current Assets
707.41,096804.2761.9452.9
Total Current Assets
30,61630,73724,39423,06518,190
Property, Plant & Equipment
8,2357,2345,8004,1373,148
Long-Term Investments
2,143903930.9923.6939.8
Goodwill
4,5894,5894,5894,5564,556
Other Intangible Assets
540.1621.3741.7842.4952.1
Long-Term Accounts Receivable
13.3317.260.6-383
Long-Term Deferred Tax Assets
1,7191,9411,8721,6731,099
Other Long-Term Assets
1,057790.8640.5739.8839.7
Total Assets
50,56748,59039,95836,30030,231
Accounts Payable
3,5223,5002,3472,5652,116
Accrued Expenses
2,4332,5342,0371,7461,386
Current Portion of Long-Term Debt
1,7101,05267.5794509.1
Current Portion of Leases
60.868.646.747.646.6
Current Income Taxes Payable
486.6283.3308.9315.3301.9
Current Unearned Revenue
16,00612,57111,44112,4817,935
Other Current Liabilities
44.942.726.634.42.8
Total Current Liabilities
24,26420,05116,27517,98412,298
Long-Term Debt
2,7293,7074,6943,6934,075
Long-Term Leases
190.6237.4181.2149.1115.1
Long-Term Unearned Revenue
3,3665,6254,8265,2703,226
Long-Term Deferred Tax Liabilities
8.546.1122.651.534.7
Other Long-Term Liabilities
396.2445.9406.9342.3341.9
Total Liabilities
30,95430,11326,50527,49020,090
Common Stock
34.935.43636.336.5
Additional Paid-In Capital
4,1074,0493,9983,9413,876
Retained Earnings
17,58714,41412,3809,0478,317
Treasury Stock
-2,253-476-3,306-4,641-2,423
Comprehensive Income & Other
135.8454.1345428.3333.5
Shareholders' Equity
19,61218,47713,4528,81110,141
Total Liabilities & Equity
50,56748,59039,95836,30030,231
Total Debt
4,6905,0654,9904,6844,746
Net Cash (Debt)
8,6327,6862,0212,6942,881
Net Cash Growth
12.30%280.41%-24.99%-6.50%13.71%
Net Cash Per Share
22.2019.535.136.777.02
Filing Date Shares Outstanding
385.42393.28393.42394.59402.6
Total Common Shares Outstanding
385.42393.28393.42394.59402.6
Working Capital
6,35210,6868,1195,0815,892
Book Value Per Share
50.8946.9834.1922.3325.19
Tangible Book Value
14,48413,2678,1223,4134,633
Tangible Book Value Per Share
37.5833.7320.648.6511.51
Land
6,4215,448229.7178.7137.5
Buildings
--4,0943,1352,666
Machinery
5,7705,0184,2783,2752,443
Leasehold Improvements
629594.5478.5400.8368.6
Order Backlog
38,800----
Source: S&P Global Market Intelligence. Standard template. Financial Sources.