First Busey Corporation

NASDAQ:BUSE

26.4 (USD) • At close November 7, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995
Operationele Activiteiten:
Nettowinst 122.565128.311123.449100.344102.95398.92862.72649.69439.00632.77428.72622.35729.87323.23-323.113-37.94731.47728.88826.93422.45419.86417.90415.65314.05312.511.410.49.3068.775
Afschrijvingen & Amortisatie 19.9225.6528.17627.94824.13615.4113.82211.7338.8898.4568.5988.7599.06310.27812.24914.1498.0485.4594.723.5253.5344.2025.7246.0524.53.93.53.3552.801
Uitgestelde Inkomstenbelasting -2.925.06110.228-5.3090.0967.21913.9072.9532.98512.71510.118.57112.7762.111-46.502-23.666-2.171-2.049-2.70300.344-1.367-0.4070.287-0.7-0.3-0.5-0.373-0.705
Aandelen Gebaseerde Vergoedingen 6.5958.9687.8647.1353.9973.7212.7521.8031.4181.1871.0790.9910.4880.1940.14100.4280.4280.0110000000000
Verandering in Werkkapitaal -5.062-57.314-24.802-16.56-6.1744.5382.233-8.217-2.920.8288.6287.7573.71229.269-39.23111.694-3.3921.551-0.022-0.268-1.382.324-2.3710.319-3.30.40.11.309-2.554
Vorderingen 00000000000000000000000000000
Voorraden 00000000000000000000000000000
Crediteuren 00000000000000000000000000001.903
Overig Werkkapitaal -5.062-57.314-24.802-16.56-6.1744.5382.233-8.217-2.920.8288.6287.7573.71229.269-39.23111.694-3.3921.551-0.022-0.268-1.382.324-2.3710.319-3.30.40.11.309-4.457
Overige Niet-Contante Posten 32.68755.11117.09755.741-44.20872.731157.918-78.8612.12712.15141.0120.63459.96622.688447.85122.2691.176-4.9941.36923.75639.788-32.417-12.8633.48210.5-4.7-3.20.1945.808
Kasstroom uit Operationele Activiteiten 173.785165.787162.012169.29980.8202.547253.358-20.89461.50568.11198.15349.069115.87887.7751.39481.37535.56629.28330.30949.46754.569-14.1222.15522.34421.78.510.313.79114.125
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -9.613-4.989-5.042-4.198-13.24-11.618-14.98-8.991-4.114-3.778-2.549-8.611-2.748-2.037-4.817-8.727-14.45-7.234-6.293-3.529-3.724-1.898-2.38-6.993-24.5-4.2-3.4-1.713-1.788
Netto Overnames 4.4254.528228.279-119.055-61.481-49.5426.97925.57512.114-126.526-255.51-33.603234.944362.629212.4988.72714.457.234-12.392-35.993.7241.8982.386.99324.54.23.40.0310
Aankoop van Beleggingen -17.053-294.903-2,309.072-1,295.322-409.491-342-494.364-182.55-251.578-183.149-84.557-454.538-374.297-252.496-205.119-355.923-466.461-166.606-178.151-273.27-212.444-118.028-125.173-89.398-139.7-141.1-121.2-378.268-229.924
Verkoop/verval van Beleggingen 492.727555.6681,166.292678.896785.02337.646344.327298.101226.328259.452220.273277.367140.511219.325263.736320.508606.91137.447222.85195.885221.526119.906163.77272.086165.1160.3117.8437.986171.271
Overige Investeringsactiviteiten 80.106-551.1690.3534.015-235.8510.162-155.81217.608-116.9962.7393.64514.9514.83124.56112.631-277.932-141.169-211.858-152.236-157.546-127.637-93.9559.842-104.91-141.6-57.6-33.9-88.272-46.927
Kasstroom uit Investeringsactiviteiten 550.592-290.856-829.19-735.66464.958-55.35-293.85149.743-134.246-51.262-118.698-204.43513.241351.982278.929-313.347-0.72-241.017-126.222-274.45-118.555-92.07748.441-122.222-116.2-38.4-37.3-30.236-107.368
Financieringsactiviteiten:
Schuldaflossingen -393.464-117.678-23.158-39.923-29.333-5.5-30-4.906-120.436-50-7-12-23.325-38.5-135-41-20.825-86.5-47.593-25.0590-18-25.976-20.873-5-5-2.5-2.102-29.983
Uitgifte van Gewone Aandelen 0.0090.225922.8480.1010.1690.392-0.365-0.24630500072.66452.454116.85400.8720.8723.283000000000.7970.353
Terugkoop van Gewone Aandelen -4.482-9.912-33.043-12.907-25.155-1.208290.769-252.468-78.965-0.045-0.2370-164.027-258.05700-2.04-2.04-3.23500000000-0.605-0.705
Uitgekeerde Dividenden -53.076-50.863-50.764-48.012-45.171-39.01-30.707-22.748-18.619-17.224-14.04-24.427-18.343-15.617-18.951-28.68-19.248-13.661-11.564-10.383-9.215-8.126-7.007-6.41-6-5.4-4.8-4.378-3.94
Overige Financieringsactiviteiten 219.053-305.634-1.147746.61184.55-215.986-2.639-1.055240.60358.21-78.067227.995-10031.862-276.268366.53768.307315.422167.988256.01977.953138.39-34.618116.024139.532.643.917.113135.55
Kasstroom uit Financieringsactiviteiten -231.96-483.862814.736725.614143.557-260.496227.058-281.42352.58390.986-99.107191.568-233.031-227.858-313.365296.85727.066214.093108.879220.57768.738112.264-67.60188.741128.522.236.610.825101.275
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -594.913000000000000000000000000.129.92700
Netto Kasstroomverandering 492.417-608.931147.558159.249289.315-113.299186.566-152.574-20.158107.835-119.65236.202-103.912211.89416.95864.88561.9122.35912.966-4.4064.7526.065-17.005-11.13734.122.236.6-5.628.032
Kaspositie aan het Einde van de Periode 719.581227.164836.095688.537529.288239.973353.272166.706319.28339.438231.603351.255315.053418.965207.071190.113125.22863.31660.95747.99152.39747.64541.5858.58569.765.570.333.73839.358