ACNB Corporation

NASDAQ:ACNB

44.05 (USD) • At close May 14, 2025
Overview | Financials

Cijfers zijn in miljoenen (behalve de cijfers per aandeel en de ratio's) USD.

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Operationele Activiteiten:
Nettowinst 31.84631.68835.75227.83418.39423.72121.7489.78810.86911.01710.299.3158.8868.5028.4197.2196.7447.9377.297.3769.30810.7688.9048.3378.0957.8237.7257.2297.1096.4596.773
Afschrijvingen & Amortisatie 3.0333.3623.7963.4413.6512.6962.8532.2921.81.7552.0631.9932.0412.2192.3422.2811.8262.0562.6793.163.4594.0441.4260.3160.4960.5960.670.6570.640.5880
Uitgestelde Inkomstenbelasting 0000-1.0380.120.5571.7110.1710000000000.022-0.140.350-0.794-0.475-0.166-0.2-0.2910.0730.0910.0880
Aandelen Gebaseerde Vergoedingen 1.2631.0040.7290.3620.4280.3220.1860.1330.0590000000000000000000000
Verandering in Werkkapitaal 00.164-3.9221.982-1.1921.5572.25.3460.2832.579-0.176-1.1410.6092.248-4.503-4.046-0.73-4.6860.3760.844-0.162-2.225-6.01-14.8091.529-2.893-0.1680.795-0.969-0.1170
Vorderingen 0001.4300.17700000.0770.3330.329000000000000000.442000
Voorraden 0000000000000000000000000000000
Crediteuren 0.7570-0.058-1.325-1.3811.31200000-0.433-0.3150-0.455-0.9240000000000000.1840.5620
Overig Werkkapitaal 6.2380.164-3.8641.8770.1890.0682.25.3460.2832.579-0.253-1.0410.5952.248-4.048-3.122-0.73-4.6860.3760.844-0.162-2.225-6.01-14.8091.529-2.893-0.1680.353-1.153-0.6790
Overige Niet-Contante Posten 3.644.3842.8468.5075.227-2.6932-2.263-1.061-0.972-1.3627.819-2.2335.1852.654.9594.593-0.796-0.4190.152-1.9210.1550.370.240.240.2530.814-0.5121.262-0.3473.332
Kasstroom uit Operationele Activiteiten 39.78240.60239.20142.12625.4725.72329.54417.00712.12114.37910.81517.9869.30318.1548.90810.41312.4334.5119.94811.39211.03412.7423.896-6.39110.1945.5798.758.2428.1336.67110.105
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -0.96-1.168-1.811-1.576-1.048-1.424-1.743-1.757-2.344-1.738-3.148-2.212-2.049-1.942-1.089-1.951-1.382-0.917-1.509-4.092-5.784-0.675-2.109-1.47-0.647-0.28800000
Netto Overnames 0-0.174-6.707035.2620-2.5836.4440-0.173000-0.336-0.031-0.043-6.022-0.6370-5.815.78402.1091.470.6470.28800000
Aankoop van Beleggingen -1.176-48.838-306.746-216.786-218.032-45.337-39.129-30.136-50.443-44.478-22.252-60.813-62.381-71.83-55.356-41.467-82.126-147.845-6.685-34.908-424.87-371.573-222.683-110.774-30.384-25.999-69.101-60.287-73.823-46.442-164.973
Verkoop/verval van Beleggingen 59.043158.42766.475109.369106.43227.47451.04945.08447.47336.05254.74247.05262.58955.80474.75374.363124.787216.17224.13567.717402.286282.713134.67364.63114.24629.925.77272.10759.92868.885143.06
Overige Investeringsactiviteiten -54.479-92.81-82.934169.514-37.46227.308-61.21-71.588-54.128-53.807-73.473-22.152-15.956-29.982-25.647-12.711-94.034-24.585-30.666-53.401-42.051-41.057-13.24-3.028-15.0454.438-2.2740.423-0.235-0.474-0.938
Kasstroom uit Investeringsactiviteiten 2.42815.437-331.72360.521-114.8488.021-53.616-51.953-59.442-64.144-44.131-38.125-17.797-48.286-7.3718.191-58.77742.188-14.725-30.494-64.635-130.592-101.25-49.171-31.1838.339-45.60312.243-14.1321.969-22.851
Financieringsactiviteiten:
Schuldaflossingen 18.944189.928-6.948-22.307-16.972-18.433-13.34417.668-2.862-14.934-5.11924.498-9.896-3.432-15-54.81929.392-44.49120.418-11.88140.2980.23124.9443.02119.137.06917.917-9.26914.668-15.016-3.277
Uitgifte van Gewone Aandelen 0.4240.7210.7130.060.8240.8920.5410.4820.5560.4990.3810.4470.2950.25700000000000000000
Terugkoop van Gewone Aandelen -0.249-2.027-6.682-1.51700000000000-0.286-0.4420000000000-0.41-0.475-0.136-0.571
Uitgekeerde Dividenden -10.713-9.702-9.117-8.968-8.685-6.92-6.261-5.233-4.84-4.82-4.622-4.542-4.524-4.512-4.506-4.512-4.55-4.566-4.566-4.947-4.892-4.838-5.871-4.783-4.876-4.908-4.519-4.15-9.018-3.507-3.417
Overige Financieringsactiviteiten -69.312-337.162-227.414240.864399.20764.16849.637.53954.64168.10444.233-33.53351.38136.26918.00338.22619.6570.914-9.69332.5097.48456.77375.45455.6090.516-2.97914.0140000
Kasstroom uit Financieringsactiviteiten -60.906-158.242-249.448208.132374.37439.70730.53650.45647.49548.84934.873-13.1337.25628.582-1.503-21.39144.057-48.1436.15915.68142.882132.16694.52753.7719.315-2.04927.412-13.8295.175-18.659-7.265
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0000000000000000000000000000000
Netto Kasstroomverandering -18.696-102.203-541.97310.779284.99673.4516.46415.510.174-0.9161.557-33.26928.762-1.550.0357.213-2.287-1.4441.382-3.421-10.71914.316-2.827-1.791-11.67411.869-9.4416.656-0.8229.981-20.011
Kaspositie aan het Einde van de Periode 47.26265.958168.161710.131399.352114.35640.90534.44118.93118.75719.67318.11651.38522.62324.17324.13816.92519.21220.65619.27422.69533.41419.09821.92523.71635.3917.80428.83422.1782313.019