Bank of Hawaii Corporation

NYSE:BOH

71.65 (USD) • At close November 4, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 310.832320.403198.898281.066304.084327.109266.438172.264162.829174.999192.332167.179157.525169.22263.521390.693434.272464.332498.718229.951518.23924.331,507.955712.618918.41,017.71,136.61,216.71,258.11,235.81,2331,826.11,609.91,438.41,261.2
Kortetermijnbeleggingen 1,542.072,844.8234,276.0563,791.6892,619.0032,007.9422,232.9792,186.0412,256.8182,289.192,243.6973,367.5573,451.8856,533.8745,330.8342,519.2392,563.191,846.74202,483.719727.233229.720000000000000
Liquide middelen en kortetermijnbeleggingen -308.0713,165.2264,474.9544,072.7552,923.0872,335.0512,499.4172,358.3052,419.6472,464.1892,436.0293,534.7363,609.416,703.0945,594.3552,909.9322,997.4622,311.074498.718229.951518.23924.331,507.955712.618918.41,017.71,136.61,216.71,258.11,235.81,2331,826.11,609.91,438.41,261.2
Nettovorderingen 141.235130.493150.35160.069168.93227.456231.416254.776249.596270.843306.137318.04643.51376.148458.267508.045520.463548.42943.03336.04432.67236.72242.68768.5857985.593.888.184.777.38294.494.291.967.8
Voorraad 241.546-494.628-639.001-692.62-643.191-588.287-550.515-947.676000000000000000000000000000
Overige vlottende activa 1,104.877494.628639.001692.62643.191606.084550.515947.676000000000000000000000000000
Totaal vlottende activa 1,104.8773,295.7194,625.3044,232.8243,092.0172,580.3042,730.8332,613.0812,669.2432,735.0322,742.1663,852.7823,652.927,079.2426,052.6223,417.9773,517.9252,859.503541.751265.995550.902961.0521,550.642781.203997.41,103.21,230.41,304.81,342.81,313.11,3151,920.51,704.11,530.31,329
Niet-vlottende activa:
Materiële vaste activa, netto 280.965299.084295.014299.237289.226151.837130.926113.505111.199109.854108.636105.005103.55108.17110.976116.12117.177125.925133.913146.095160.005176.969196.171254.621271.7293.6288.4273.1246.5221.8167.3156.4144.4137.8103.7
Goodwill 31.51731.51731.51731.51731.51731.51731.51731.51731.51731.51731.51731.51731.51731.51731.51734.95934.95934.95934.95936.21636.21636.2160000000000000
Immateriële activa 20.8822.61922.25119.65225.02224.3124.62223.66323.00224.69528.12325.2424.27925.37925.9721.05727.58819.43718.010000000000000000
Goodwill en immateriële activa 52.39754.13653.76851.16956.53955.82756.13955.1854.51956.21259.6456.75755.79656.89657.48756.01662.54754.39652.96936.21636.21636.21636.216192.264205.9216.1203.496.587.794.5102.95344.664.10
Langetermijnbeleggingen 372.0848,258.9628,970.8367,054.4165,661.2975,490.0346,161.1496,019.0386,239.5546,755.8696,988.2166,962.6227,109.6816,661.1235,511.8522,850.3742,959.4292,239.9842,992.4553,073.6272,718.3492,516.9212,397.6363,181.0833,338.53,671.23,8663,631.73,360.23,164.63,721.43,036.22,545.32,036.51,363.5
Belastingvorderingen 21,222.13177.71342.27716.72405,869.41800000000000000000000000000000
Overige niet-vlottende activa 700.843-177.713-42.277-16.724-6,007.062-5,783.558-6,348.214-6,187.723-6,405.272-6,921.935-7,156.492-7,124.384-7,269.027-6,826.189-5,680.315-3,022.51-3,139.153-2,420.305-3,179.337-3,255.938-2,914.57-2,730.106-2,630.023-3,627.968-3,816.1-4,180.9-4,357.8-4,001.3-3,694.4-3,480.9-3,991.6-3,245.6-2,734.3-2,238.4-1,467.2
Totaal niet-vlottende activa 22,628.4198,612.1829,319.6187,404.8226,007.0625,783.5586,348.2146,187.7236,405.2726,921.9357,156.4927,124.3847,269.0276,826.1895,680.3153,022.513,139.1532,420.3053,179.3373,255.9382,914.572,730.1062,630.0233,627.9683,816.14,180.94,357.84,001.33,694.43,480.93,991.63,245.62,734.32,238.41,467.2
Totaal activa 23,733.29623,606.87722,784.94120,603.65118,095.49617,143.97417,089.05216,492.36715,455.01614,787.20814,084.2813,728.37213,846.39113,126.78712,414.82710,763.47510,472.94210,571.81510,187.0389,766.1919,461.6479,516.41810,627.79714,013.81614,440.315,016.614,995.514,009.213,206.812,586.412,462.112,713.111,409.310,698.58,317.1
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 41.0239.6982.4995.1178.048.2536.9465.3345.0325.1484.8714.7765.335.0077.02613.83720.47622.71810.917.0217.48313.73129.76272.4664.655.757.569.549.549.334.331.844.753.743.7
Kortlopende schulden 151.315100.526103.21107.412108.210.199181.11833.819000006.26.94.910.42711.0589.44715109.195148.201234.892211.481459356.8212.5293.3476.9594.5600.3291.4342.9904.3550.8
Belastingschulden 7.6367.10411.9012.46316.08519.73624.00921.67417.73727.77734.90788.01495.84121.517229.14229.699278.218277.202269.094229.928207.101196.813138.366130.76685114.4152155160.3133.7154.3126.3120.500
Uitgestelde opbrengsten -41.0230-100.711-102.295-100.170-174.172-28.485000000000000000000000000000
Overige kortlopende verplichtingen 15,592.6-100.526-2.499-5.117-8.04-8.452-6.946-5.334-5.032-5.148-4.871-4.776-5.33-11.207-13.926-18.737-30.903-33.776-20.357-22.021-116.678-161.932-264.654-283.941-523.6-412.5-270-362.8-526.4-643.8-634.6-323.2-387.6-958-594.5
Totaal kortlopende verplichtingen 15,743.9159.6982.4995.1178.048.4526.9465.3345.0325.1484.8714.7765.3311.20713.92618.73730.90333.77620.35722.021116.678161.932264.654283.941523.6412.5270362.8526.4643.8634.6323.2387.6958594.5
Langlopende verplichtingen:
Langetermijnschulden 550510.82113.601167.893193.775135.643260.716267.938245.786173.912174.706128.05530.69632.65290.317203.285208.946233.863242.703252.638227.563275.004469.735997.152727.7585.6705.8932.11,063.4861.6357.984.175.5117.147.6
Uitgestelde opbrengsten niet-vlottend 11,300.444-7.104101.7165.43177.69115.907236.707246.264000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 7.6367.10411.9012.46316.08519.73624.00921.674000000000000000000000000000
Overige niet-vlottende verplichtingen -5,282.941-501.122-113.601-167.893-193.775-135.643-260.716-267.938-245.786-173.912-174.706-128.055-30.696-32.652-90.317-203.285-208.946-233.863-242.703-252.638-227.563-275.004-469.735-997.152-727.7-585.6-705.8-932.1-1,063.4-861.6-357.9-84.1-75.5-117.1-47.6
Totaal niet-vlottende verplichtingen 6,575.1399.698113.601167.893193.775135.643260.716267.938245.786173.912174.706128.05530.69632.65290.317203.285208.946233.863242.703252.638227.563275.004469.735997.152727.7585.6705.8932.11,063.4861.6357.984.175.5117.147.6
Totaal passiva 22,319.05422,289.88221,173.3319,229.14416,808.66415,875.77415,857.18415,330.8314,338.75613,732.12213,072.30412,706.70712,843.72412,115.65411,518.8549,972.7719,722.6879,852.3959,493.6868,951.3578,668.5158,500.6599,380.78512,707.92413,223.613,823.613,872.512,933.812,152.411,619.611,52411,884.810,685.310,068.27,834.4
Eigen vermogen:
Preferente aandelen 18018018000000000000000000000000000000000
Gewone aandelen 0.5830.5820.5810.580.5790.5770.5760.5760.5750.5740.5720.5710.5710.570.5690.5680.5670.5660.5650.8130.8070.8060.8060.8060.80000000000
Ingehouden winsten 2,107.5692,055.9121,950.3751,811.9791,761.4151,641.3141,512.2181,415.441,316.261,234.8011,151.7541,084.4771,003.938932.629843.521787.924688.638630.66546.5911,282.4251,199.0771,115.911,055.424996.791942.2867.9813.7803.5717.8641.2595.8501.7409.5347.5342.8
Overige gereserveerde algehele resultaten -396.688-434.658-66.3827.822-31.112-51.043-34.715-33.906-23.557-26.686-31.82329.20835.26326.9656.925-28.888-5.091-39.084-58.898-21.35-14.0221.89415.124-25.079-66.1-22.5-24.8-3.713.9-18.10.50-1.7-3.9-3.8
Overige totale aandeelhoudersvermogen -477.222-484.841-452.963-445.874-444.05-322.648-246.211-220.573-177.018-153.603-108.527-92.591-37.10550.96944.95831.166.141127.278205.094-447.054-392.732-122.851175.658328.838335.4340.2328.3266.3322.7343.7341.8326.6316.2286.7143.7
Totaal eigen vermogen van aandeelhouders 1,414.2421,316.9951,611.6111,374.5071,286.8321,268.21,231.8681,161.5371,116.261,055.0861,011.9761,021.6651,002.6671,011.133895.973790.704750.255719.42693.352814.834793.1321,015.7591,247.0121,301.3561,212.31,185.61,117.21,066.11,054.4966.8938.1828.3724630.3482.7
Totaal eigen vermogen 1,414.2421,316.9951,611.6111,374.5071,286.8321,268.21,231.8681,161.5371,116.261,055.0861,011.9761,021.6651,002.6671,011.133895.973790.704750.255719.42693.352814.834793.1321,015.7591,247.0121,305.8921,216.71,1931,1231,075.41,054.4966.8938.1828.3724630.3482.7
Totaal passiva en aandeelhoudersvermogen 23,733.29623,606.87722,784.94120,603.65118,095.49617,143.97417,089.05216,492.36715,455.01614,787.20814,084.2813,728.37213,846.39113,126.78712,414.82710,763.47510,472.94210,571.81510,187.0389,766.1919,461.6479,516.41810,627.79714,013.81614,440.315,016.614,995.514,009.213,206.812,586.412,462.112,713.111,409.310,698.58,317.1