QUALCOMM Incorporated logo
QUALCOMM Incorporated QCOM
$ 153.09 1.79%

Annual report 2024
added 11-06-2024

report update icon

QUALCOMM Incorporated Balance Sheet 2011-2024 | QCOM

Annual Balance Sheet QUALCOMM Incorporated

2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011

Net Debt

5.52 B 6.13 B 10.5 B 6.71 B 8.52 B 2.11 B 4.59 B -14.6 B 5.81 B 3.41 B -7.91 B -6.12 B -3.81 B -4.47 B

Long Term Debt

13.3 B 14.5 B 13.5 B 13.7 B 15.2 B 13.4 B 15.4 B 19.4 B 10 B 9.97 B - 17 M - -

Long Term Debt Current

98 M 98 M 104 M 126 M - 2 B - 1.5 B - - - - - -

Total Non Current Liabilities

- - - - - 19.1 B 20.5 B 23.8 B 13.3 B 13.3 B 3.39 B 4.22 B 4.16 B 4.18 B

Total Current Liabilities

10.5 B 9.63 B 11.9 B 12 B 8.67 B 8.94 B 11.2 B 10.9 B 7.31 B 6.1 B 6.01 B 5.21 B 5.3 B 5.29 B

Total Liabilities

28.9 B 29.5 B 31 B 31.3 B 29.5 B 28 B 31.8 B 34.7 B 20.6 B 19.4 B 9.4 B 9.43 B 9.47 B 9.47 B

Deferred Revenue

297 M 293 M 369 M 612 M 568 M 565 M 500 M 502 M 509 M 583 M 785 M 501 M 545 M 610 M

Retained Earnings

25.7 B 20.7 B 17.8 B 9.82 B 5.28 B 4.47 B 663 M 30.1 B 30.9 B 31.2 B 30.8 B 25.5 B 20.7 B 16.2 B

Total Assets

55.2 B 51 B 49 B 41.2 B 35.6 B 33 B 32.7 B 65.5 B 52.4 B 50.8 B 48.6 B 45.5 B 43 B 36.4 B

Cash and Cash Equivalents

7.85 B 8.45 B 3.1 B 7.12 B 6.71 B 11.8 B 11.8 B 35 B 5.95 B 7.56 B 7.91 B 6.14 B 3.81 B 5.46 B

Book Value

26.3 B 21.6 B 18 B 9.95 B 6.08 B 4.91 B 928 M 30.7 B 31.8 B 31.4 B 39.2 B 36.1 B 33.5 B 27 B

Total Shareholders Equity

26.3 B 21.6 B 18 B 9.95 B 6.08 B 4.91 B 807 M 30.7 B 31.8 B 31.4 B 39.2 B 36.1 B 33.5 B 27 B

All numbers in USD currency

Quarterly Balance Sheet QUALCOMM Incorporated

2024-Q2 2024-Q1 2023-Q4 2023-Q3 2023-Q2 2023-Q1 2022-Q4 2022-Q3 2022-Q2 2022-Q1 2021-Q4 2021-Q3 2021-Q2 2021-Q1 2020-Q4 2020-Q3 2020-Q2 2020-Q1 2019-Q4 2019-Q3 2019-Q2 2019-Q1 2018-Q4 2018-Q3 2018-Q2 2018-Q1 2017-Q4 2017-Q3 2017-Q2 2017-Q1 2016-Q4 2016-Q3 2016-Q2 2016-Q1 2015-Q4 2015-Q3 2015-Q2 2015-Q1 2014-Q4 2014-Q3 2014-Q2 2014-Q1 2013-Q4 2013-Q3 2013-Q2 2013-Q1 2012-Q4 2012-Q3 2012-Q2 2012-Q1 2011-Q4 2011-Q3 2011-Q2 2011-Q1

Long Term Debt

13.2 B 14.5 B 14.6 B 14.5 B 14.5 B 15.5 B 15.4 B 13.5 B - 12.2 B 13.7 B 13.7 B 13.7 B 13.7 B 15.2 B 15.2 B 15.4 B 15.2 B 13.4 B 13.4 B 13.4 B 15.4 B 15.4 B 15.4 B 15.4 B 15.4 B 19.4 B 19.4 B 19.4 B 19.4 B 9.94 B 10 B 10 B 10 B 9.95 B 9.97 B 9.97 B 9.97 B - - - - - - - - - - - - - - - -

Total Non Current Liabilities

- - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -

Total Liabilities

28.1 B 28.7 B 29.1 B 29.5 B 28.3 B 28.7 B 31.2 B 31 B - 31 B 31.5 B 31.3 B 30.6 B 31.3 B 30.1 B 29.5 B 29.5 B 29.5 B 28.6 B 28 B 28 B 28 B 30.6 B 31.9 B 31.9 B 31.9 B 40.4 B 34.8 B 34.7 B 34.7 B 21.2 B 20.6 B 20.6 B 20.6 B 20 B 19.4 B 19.4 B 19.4 B 9.63 B 9.41 B 9.41 B 9.41 B 9.26 B 9.43 B 9.43 B 9.43 B 9.49 B 9.47 B 9.47 B 9.47 B 9.11 B 9.45 B 9.45 B 9.45 B

Deferred Revenue

263 M 253 M 210 M 293 M 249 M 277 M 289 M 369 M - 534 M 604 M 612 M 618 M 612 M 540 M 568 M 568 M 568 M 511 M 565 M 565 M 565 M 484 M 506 M 506 M 506 M 487 M 502 M 502 M 502 M 487 M 509 M 509 M 509 M 639 M 583 M 583 M 583 M 885 M 785 M 785 M 785 M 470 M 501 M 501 M 501 M 733 M 545 M 545 M 545 M 543 M 610 M 610 M 610 M

Retained Earnings

24.3 B 24 B 22.6 B 20.7 B 20.2 B 19.3 B 18.5 B 17.8 B - 13.1 B 11.3 B 9.82 B 7.99 B 9.82 B 6.97 B 5.28 B 5.28 B 5.28 B 4.38 B 4.47 B 4.47 B 4.47 B 3.42 B 1.38 B 1.38 B 1.38 B 23.3 B 30.1 B 30.1 B 30.1 B 30.8 B 30.9 B 30.9 B 30.9 B 30.2 B 31.2 B 31.2 B 31.2 B 32.1 B 30.8 B 30.8 B 30.8 B 26.7 B 25.5 B 25.5 B 25.5 B 22.2 B 20.7 B 20.7 B 20.7 B 17.2 B 16.2 B 16.2 B 16.2 B

Total Assets

52.7 B 53.2 B 52.1 B 51 B 49 B 48.4 B 50 B 49 B - 44.3 B 42.8 B 41.2 B 38.8 B 41.2 B 37.5 B 35.6 B 35.6 B 35.6 B 33.1 B 33 B 33 B 33 B 34.2 B 32.7 B 32.7 B 32.7 B 64.4 B 65.5 B 65.5 B 65.5 B 52.4 B 52.4 B 52.4 B 52.4 B 50.2 B 50.8 B 50.8 B 50.8 B 48.4 B 48.6 B 48.6 B 48.6 B 46.3 B 45.5 B 45.5 B 45.5 B 44.8 B 43 B 43 B 43 B 37.6 B 36.4 B 36.4 B 36.4 B

Cash and Cash Equivalents

7.77 B 9.22 B 8.13 B 8.45 B 6.18 B 3.78 B 5.07 B 2.77 B 3.2 B 7.17 B 6.61 B 7.12 B 7.4 B 7.12 B 7.08 B 6.71 B 6.71 B 6.71 B 11.1 B 11.8 B 11.8 B 11.8 B 10.1 B 11.8 B 11.8 B 11.8 B 33.4 B 35 B 35 B 33.4 B 6.88 B 5.95 B 5.95 B 6.88 B 6.91 B 7.56 B 7.56 B 6.91 B 6.32 B 7.91 B 7.91 B 6.32 B 8.29 B 6.14 B 6.14 B 8.29 B 4.29 B 3.81 B 3.81 B 4.29 B 4.96 B 5.46 B 5.46 B 4.96 B

Book Value

24.7 B 24.5 B 23.1 B 21.6 B 20.7 B 19.7 B 18.8 B 18 B - 13.3 B 11.3 B 9.95 B 8.18 B 9.95 B 7.38 B 6.08 B 6.08 B 6.08 B 4.51 B 4.91 B 4.91 B 4.91 B 3.62 B 807 M 807 M 807 M 23.9 B 30.7 B 30.7 B 30.7 B 31.2 B 31.8 B 31.8 B 31.8 B 30.2 B 31.4 B 31.4 B 31.4 B 38.8 B 39.2 B 39.2 B 39.2 B 37 B 36.1 B 36.1 B 36.1 B 35.4 B 33.5 B 33.5 B 33.5 B 28.5 B 27 B 27 B 27 B

Total Shareholders Equity

24.7 B 24.5 B 23.1 B 21.6 B 20.7 B 19.7 B 18.8 B 18 B 16 B 13.3 B 11.3 B 9.95 B 8.18 B 11.3 B 7.38 B 6.08 B 7.38 B 7.38 B 4.51 B 4.91 B 4.51 B 4.51 B 3.62 B 807 M 23.1 B 807 M 23.9 B 30.7 B 30.7 B 31.3 B 31.2 B 31.8 B 31.8 B 31.8 B 30.2 B 31.4 B 31.4 B 31.4 B 38.8 B 39.2 B 39.2 B 39.2 B 37 B 36.1 B 36.1 B 36.1 B 35.3 B 33.5 B 33.5 B 33.5 B 28.5 B 27 B 27 B 27 B

All numbers in USD currency