ASML Holding N.V. financials

Also U.S.-listed. ASML Holding N.V. is also a foreign private issuer filing with the U.S. SEC. View its EDGAR financials: ASML — ASML HOLDING NV

ASML Holding N.V.

Country: NL Reporting currency: EUR Latest annual report: 2025-12-31
LEI: 724500Y6DUVHQD6OXN27
Source filing ↗
Financial statements (EUR, as reported — unscaled; 111 line items across 3 annual periods)
Line item 202520242023
Income statement
Cost of sales €15.74B€13.98B€13.78B
Gross profit €16.93B€14.28B€13.77B
Operating profit (EBIT) €12.05B€9.94B€9.51B
Finance costs €118.3M€162.6M€152.7M
Profit before tax €12.16B€9.96B€9.55B
Income tax expense €2.16B€1.82B€1.63B
Profit for the year €10.21B€8.35B€8.12B
Total comprehensive income €10.31B€8.46B€8.03B
Per share
Basic EPS €26.29€21.23€20.61
Diluted EPS €26.26€21.21€20.59
Free cash flow / share €31.51€26.18€11.12
Cash flow statement
Net cash from operating activities €13.83B€12.37B€6.54B
Net cash from investing activities -€4.86B-€3.73B-€3.63B
Purchase of PP&E (capex) €1.57B€2.07B€2.16B
Purchase of intangibles €1.14B€1.14B€985.9M
Net cash from financing activities -€8.76B-€2.91B-€3.15B
Dividends paid €2.55B€2.45B€2.35B
Net change in cash €210.2M€5.72B-€249.8M
Balance sheet
Total assets €55.58B€52.57B
Non-current assets €25.34B€22.21B
Property, plant & equipment €7.89B€6.85B
Right-of-use assets €341.0M€387.2M
Intangible assets & goodwill €4.61B€4.61B
Current assets €30.24B€30.36B
Inventories €11.43B€10.89B
Trade & other receivables €3.02B€4.48B
Cash & equivalents €12.92B€12.74B€7.00B
Total equity €24.18B€22.02B€16.21B
Non-current liabilities €6.95B€10.50B
Long-term borrowings €2.71B€3.68B
Current liabilities €24.44B€20.05B
Current portion of long-term borrowings €1.68B€1.01B
Deferred tax liabilities €444.9M€732.9M
Derived metrics
Free cash flow €12.25B€10.30B€4.38B
Operating margin 36.9%35.2%34.5%
Net margin 31.3%29.5%29.4%
Return on equity 42.2%37.9%50.1%
Cash conversion ratio 1.35×1.48×0.81×
Capex coverage 8.79×5.98×3.03×
Other reported items
Adjusted Weighted Average Shares 388.9M393.6M394.1M
Adjustments For Decrease Increase In Inventories -€832.5M-€1.86B-€1.65B
Adjustments For Decrease Increase In Other Assets -€562.1M-€1.25B-€532.6M
Adjustments For Decrease Increase In Trade Account Receivable €1.42B-€139.9M€959.9M
Adjustments For Deferred Tax Expense €302.1M-€38.1M€233.2M
Adjustments For Depreciation and Amortisation Expense €1.43B€1.20B€1.05B
Adjustments For Increase Decrease In Other Liabilities -€230.5M€634.0M€539.0M
Adjustments For Increase Decrease In Trade Account Payable €15.2M€1.13B-€261.1M
Adjustments For Sharebased Payments €215.4M€182.1M€139.8M
Adjustments For Undistributed Profits of Associates -€94.6M-€4.4M-€4.2M
Cancellation of Treasury Shares €0€0€0
Cash Advances and Loans Made To Other Parties Classified As Investing Activities €703.7M€526.2M€561.5M
Cash Advances and Loans Made To Related Parties €703.7M€528.4M€548.0M
Cash Flows Used In Obtaining Control of Subsidiaries Or Other Businesses Classified As Investing Activities €0€0€33.6M
Cash Receipts From Repayment of Advances and Loans Made To Other Parties Classified As Investing Activities €260.2M€0€0
Cash Receipts From Repayment of Advances and Loans Made To Related Parties €256.9M€0€0
Comprehensive Income Attributable To Owners of Parent €10.31B€8.46B€8.03B
Current Accrued Expenses and Other Current Liabilities €2.49B€2.60B
Current Contract Assets €440.6M€320.6M
Current Contract Liabilities €16.01B€12.57B
Current Derivative Financial Assets €33.6M€96.5M
Current Derivative Financial Liabilities €73.1M€84.3M
Current Finance Lease Receivables €613.5M€82.6M
Current Tax Assets Current €88.9M€283.6M
Current Tax Liabilities Current €662.1M€283.3M
Decrease Increase Through Tax On Sharebased Payment Transactions -€13.1M-€9.5M-€2.5M
Deferred Tax Assets €1.81B€2.17B
Dividends Proposed Or Declared Before Financial Statements Authorised For Issue But Not Recognised As Distribution To Owners Per Share €7.50€6.40
Dividends Received From Associates Classified As Investing Activities €320.5M€225.4M€218.0M
Dividends Recognised As Distributions To Owners Per Share €1.60
Effect of Exchange Rate Changes On Cash and Cash Equivalents -€30.1M€6.4M-€13.8M
Equity and Liabilities €55.58B€52.57B
Finance Income €223.0M€182.4M€193.9M
Gains Losses On Cash Flow Hedges Net of Tax -€88.4M€38.2M-€15.8M
Gains Losses On Exchange Differences On Translation Net of Tax -€262.8M€93.0M-€67.6M
Gains Losses On Financial Assets Measured At Fair Value Through Other Comprehensive Income Net of Tax €416.0M€0€0
Income Taxes Paid Refund Classified As Operating Activities €1.62B€1.10B€2.57B
Increase Decrease In Cash and Cash Equivalents €180.1M€5.73B-€263.6M
Increase Decrease Through Appropriation of Retained Earnings €0€0€0
Increase Decrease Through Sharebased Payment Transactions €215.4M€182.1M€139.8M
Intangible Assets Other Than Goodwill €5.40B€4.73B
Interest Paid Classified As Financing Activities €114.5M€160.0M€137.8M
Interest Received Classified As Operating Activities €201.3M€169.5M€190.8M
Investment Accounted For Using Equity Method €822.6M€903.0M
Investments Other Than Investments Accounted For Using Equity Method €1.74B€0
Issue of Equity €142.3M€124.0M€99.4M
Noncurrent Contract Liabilities €3.37B€5.63B
Noncurrent Derivative Financial Assets €0€0
Noncurrent Derivative Financial Liabilities €19.9M€29.3M
Noncurrent Finance Lease Receivables €13.3M€317.2M
Number of Shares Outstanding 385.4M393.3M393.5M
Other Comprehensive Income €92.7M€110.2M-€82.6M
Other Comprehensive Income Net of Tax Cash Flow Hedges -€74.6M€29.3M-€15.2M
Other Current Assets €1.02B€1.46B
Other Noncurrent Assets €1.06B€790.8M
Payments To Acquire Or Redeem Entitys Shares €5.95B€500.0M€1.00B
Proceeds From Issue of Bonds Notes and Debentures €754.1M€22.5M€997.8M
Proceeds From Issuing Shares €142.3M€124.0M€99.4M
Proceeds From Sales Or Maturity of Financial Instruments Classified As Investing Activities €5.3M€305.2M€125.6M
Profit Loss From Continuing Operations €10.00B€8.14B€7.92B
Purchase of Financial Instruments Classified As Investing Activities €406.2M€305.2M€23.6M
Purchase of Investments Other Than Investments Accounted For Using Equity Method €1.30B€0€0
Purchase of Treasury Shares €5.95B€500.0M€1.00B
Reclassification Adjustments On Cash Flow Hedges Net of Tax -€13.8M€8.9M-€600.0K
Research and Development Expense €3.62B€3.18B€3.11B
Revenue From Contracts With Customers €32.67B€28.26B€27.56B
Selling General and Administrative Expense €1.26B€1.17B€1.15B
Share of Other Comprehensive Income of Associates and Joint Ventures Accounted For Using Equity Method €14.1M-€12.1M€200.0K
Share of Profit Loss of Associates Accounted For Using Equity Method €216.7M€209.8M€191.3M
Shortterm Deposits Not Classified As Cash Equivalents €405.9M€5.4M
Trade and Other Current Payables To Trade Suppliers €3.52B€3.50B
Weighted Average Shares 388.5M393.3M393.8M
Methodology

Every line item above is a fact tagged in ASML Holding N.V.'s annual report filed in the European Single Electronic Format (ESEF) under the IFRS taxonomy (ifrs-full) — the income statement, balance sheet and cash-flow statement as the filer reported them. Values are shown as-is, in the reporting currency (EUR), without rescaling; the row labels map to the underlying concept name (e.g. Revenue → ifrs-full:Revenue, Operating profit → ifrs-full:ProfitLossFromOperatingActivities, Diluted EPS → ifrs-full:DilutedEarningsLossPerShare), and any concept without a curated label is shown under “Other reported items” with its de-camel-cased tag name. Only consolidated, default-member facts are shown (segment / dimensional breakdowns are excluded).

“Derived metrics” (free cash flow, margins, ROE, …) are computed from those facts by the same model the U.S. financials pages use — not tagged by the filer.

Source: machine-readable OIM xBRL-JSON aggregated by filings.xbrl.org (XBRL International). Entity identity is resolved by LEI via the public-domain GLEIF register. This is reference data, not investment advice.