Stock Analysis on Net

Starbucks Corp. (NASDAQ:SBUX)

대차 대조표: 부채 및 주주 자본 
분기별 데이터

대차대조표는 채권자, 투자자 및 분석가에게 회사의 자원(자산)과 자본 출처(자본 및 부채)에 대한 정보를 제공합니다. 또한 일반적으로 회사 자산의 미래 수익 능력에 대한 정보와 미수금 및 재고에서 발생할 수 있는 현금 흐름에 대한 표시를 제공합니다.

부채는 과거 사건으로 인해 발생하는 회사의 의무를 나타내며, 이에 대한 해결은 기업으로부터 경제적 이익의 유출을 초래할 것으로 예상됩니다.

Starbucks Corp., Consolidated Balance Sheet: Liability and Shareholders’ Equity (Quarterly Data) (연결대차대조표: 부채 및 주주 자본(Quarterly Data))

US$ 단위 천

Microsoft Excel
2025. 9. 28. 2025. 6. 29. 2025. 3. 30. 2024. 12. 29. 2024. 9. 29. 2024. 6. 30. 2024. 3. 31. 2023. 12. 31. 2023. 10. 1. 2023. 7. 2. 2023. 4. 2. 2023. 1. 1. 2022. 10. 2. 2022. 7. 3. 2022. 4. 3. 2022. 1. 2. 2021. 10. 3. 2021. 6. 27. 2021. 3. 28. 2020. 12. 27. 2020. 9. 27. 2020. 6. 28. 2020. 3. 29. 2019. 12. 29.
미지급금 1,852,800 1,888,200 1,913,800 1,777,700 1,595,500 1,586,300 1,487,400 1,460,700 1,544,300 1,503,500 1,434,000 1,348,200 1,441,400 1,489,800 1,329,500 1,289,400 1,211,600 1,127,000 1,033,600 1,050,600 997,900 860,800 997,700 1,085,600
미지급 부채 2,359,700 2,245,800 2,036,700 2,211,800 2,194,700 2,081,500 2,016,000 2,326,900 2,145,100 2,060,500 1,970,000 2,089,600 2,137,100 2,068,900 2,092,400 2,444,300 2,321,200 1,996,200 1,888,600 1,766,600 1,258,900 1,602,600 1,625,700 3,051,800
누적된 급여 및 복리후생 1,093,900 852,500 833,100 780,000 786,600 708,400 704,800 648,500 828,300 755,400 710,900 664,600 761,700 706,800 665,900 664,100 772,300 741,000 646,100 685,300 696,000 652,100 596,100 578,500
운용리스 부채의 현재 부분 1,564,500 1,496,400 1,477,800 1,453,300 1,463,100 1,419,200 1,406,600 1,309,400 1,275,300 1,265,200 1,269,500 1,257,500 1,245,700 1,214,800 1,236,300 1,253,300 1,251,300 1,308,400 1,296,400 1,267,600 1,248,800 1,237,100 1,253,500 1,268,900
선불금액 카드 부채 및 이연 수익의 현재 부분 1,840,600 1,911,200 1,920,100 2,253,300 1,781,200 1,831,000 1,872,000 2,199,800 1,700,200 1,759,600 1,795,900 2,137,000 1,641,900 1,723,000 1,781,600 2,070,700 1,596,100 1,628,300 1,622,100 1,871,200 1,456,500 1,463,300 1,436,300 1,694,100
단기 부채 23,100 42,100 349,500 33,500 34,500 52,800 175,000 200,000 200,000 18,300 492,600 438,800 936,500 1,107,100 497,900
장기 부채의 현재 부분 1,498,900 2,748,200 2,247,800 1,249,200 1,248,900 1,100,800 1,818,600 1,835,900 1,888,700 1,749,300 1,749,000 999,100 1,998,600 999,300 998,900 998,900 750,000 1,249,900 1,249,600 1,249,400 498,700
유동부채 10,210,400 11,142,300 10,429,300 9,725,300 9,070,000 7,649,500 7,528,900 9,395,600 9,345,300 9,214,600 9,121,800 9,246,200 9,151,800 8,402,400 9,104,300 8,921,100 8,151,400 7,799,800 6,505,100 7,883,900 7,346,800 8,002,000 8,265,800 8,675,500
장기부채, 유동부분 제외 14,575,900 14,570,900 13,324,000 14,312,200 14,319,500 15,551,400 15,547,500 13,564,800 13,547,600 13,544,400 13,544,800 13,176,700 13,119,900 13,930,800 14,014,400 13,586,300 13,616,900 13,619,200 14,630,300 14,673,500 14,659,600 14,645,600 11,658,700 10,653,200
운용리스 부채(유동부분 제외) 8,972,200 9,070,600 8,959,900 8,856,800 8,771,600 8,298,100 8,180,300 8,139,000 7,924,800 7,691,200 7,753,500 7,635,400 7,515,200 7,554,400 7,668,500 7,708,000 7,738,000 7,597,800 7,577,700 7,754,500 7,661,700 7,653,600 7,650,400 7,711,700
이연된 수익 5,772,600 5,826,100 5,871,300 5,941,100 5,963,600 6,011,000 6,058,400 6,129,000 6,101,800 6,152,500 6,200,200 6,263,200 6,279,700 6,333,100 6,381,900 6,447,700 6,463,000 6,491,400 6,532,100 6,597,700 6,598,500 6,642,600 6,685,500 6,748,800
다른 장기 부채 577,800 717,900 664,000 522,300 656,200 539,200 490,300 560,200 513,800 471,900 488,100 600,500 610,500 594,400 613,600 621,100 737,800 762,900 774,800 962,800 907,300 821,100 751,400 701,200
장기 부채 29,898,500 30,185,500 28,819,200 29,632,400 29,710,900 30,399,700 30,276,500 28,393,000 28,088,000 27,860,000 27,986,600 27,675,800 27,525,300 28,412,700 28,678,400 28,363,100 28,555,700 28,471,300 29,514,900 29,988,500 29,827,100 29,762,900 26,746,000 25,814,900
총 부채 40,108,900 41,327,800 39,248,500 39,357,700 38,780,900 38,049,200 37,805,400 37,788,600 37,433,300 37,074,600 37,108,400 36,922,000 36,677,100 36,815,100 37,782,700 37,284,200 36,707,100 36,271,100 36,020,000 37,872,400 37,173,900 37,764,900 35,011,800 34,490,400
보통주; 액면가 $0.001 1,100 1,100 1,100 1,100 1,100 1,100 1,100 1,100 1,100 1,100 1,100 1,100 1,100 1,100 1,100 1,200 1,200 1,200 1,200 1,200 1,200 1,200 1,200 1,200
추가 납입 자본금 634,100 548,700 470,900 367,200 322,600 223,000 141,700 38,200 38,100 38,300 38,200 67,200 205,300 117,100 41,100 41,100 846,100 729,300 595,400 488,600 373,900 115,400 41,100 41,100
이익잉여금(Retained Deficit) (8,272,500) (7,700,600) (7,565,500) (7,256,400) (7,343,800) (7,561,500) (7,970,700) (8,097,500) (7,255,800) (7,610,500) (8,024,600) (8,203,200) (8,449,800) (8,719,700) (9,070,500) (8,753,000) (6,315,700) (7,501,600) (8,124,300) (8,253,600) (7,815,600) (8,208,300) (7,050,600) (6,414,800)
기타 포괄손익 누적(손실) (459,300) (535,200) (529,000) (583,600) (428,800) (608,000) (621,500) (557,800) (778,200) (777,500) (521,600) (538,900) (463,200) (65,000) 260,300 253,500 147,200 (29,700) (126,300) (145,900) (364,600) (529,900) (521,800) (387,400)
주주의 적자 (8,096,600) (7,686,000) (7,622,500) (7,471,700) (7,448,900) (7,945,400) (8,449,400) (8,616,000) (7,994,800) (8,348,600) (8,506,900) (8,673,800) (8,706,600) (8,666,500) (8,768,000) (8,457,200) (5,321,200) (6,800,800) (7,654,000) (7,909,700) (7,805,100) (8,621,600) (7,530,100) (6,759,900)
비지배 지분 7,400 7,400 7,100 7,100 7,300 8,000 7,200 7,100 7,000 7,000 7,500 7,900 7,900 7,600 6,800 6,900 6,700 6,500 5,700 5,700 5,700 (2,700) (2,800) 800
총 적자 (8,089,200) (7,678,600) (7,615,400) (7,464,600) (7,441,600) (7,937,400) (8,442,200) (8,608,900) (7,987,800) (8,341,600) (8,499,400) (8,665,900) (8,698,700) (8,658,900) (8,761,200) (8,450,300) (5,314,500) (6,794,300) (7,648,300) (7,904,000) (7,799,400) (8,624,300) (7,532,900) (6,759,100)
총 부채 및 적자 32,019,700 33,649,200 31,633,100 31,893,100 31,339,300 30,111,800 29,363,200 29,179,700 29,445,500 28,733,000 28,609,000 28,256,100 27,978,400 28,156,200 29,021,500 28,833,900 31,392,600 29,476,800 28,371,700 29,968,400 29,374,500 29,140,600 27,478,900 27,731,300

보고서 기준: 10-K (보고 날짜: 2025-09-28), 10-Q (보고 날짜: 2025-06-29), 10-Q (보고 날짜: 2025-03-30), 10-Q (보고 날짜: 2024-12-29), 10-K (보고 날짜: 2024-09-29), 10-Q (보고 날짜: 2024-06-30), 10-Q (보고 날짜: 2024-03-31), 10-Q (보고 날짜: 2023-12-31), 10-K (보고 날짜: 2023-10-01), 10-Q (보고 날짜: 2023-07-02), 10-Q (보고 날짜: 2023-04-02), 10-Q (보고 날짜: 2023-01-01), 10-K (보고 날짜: 2022-10-02), 10-Q (보고 날짜: 2022-07-03), 10-Q (보고 날짜: 2022-04-03), 10-Q (보고 날짜: 2022-01-02), 10-K (보고 날짜: 2021-10-03), 10-Q (보고 날짜: 2021-06-27), 10-Q (보고 날짜: 2021-03-28), 10-Q (보고 날짜: 2020-12-27), 10-K (보고 날짜: 2020-09-27), 10-Q (보고 날짜: 2020-06-28), 10-Q (보고 날짜: 2020-03-29), 10-Q (보고 날짜: 2019-12-29).