Pathward Financial, Inc.

NASDAQ:CASH

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

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

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Operationele Activiteiten:
Nettowinst 163.615159.354145.745109.344101.31651.6244.91733.2218.05515.71313.41817.1144.6412.393-1.463-1.8341.3123.921-0.9243.9873.3972.1571.911.9762.62.83.62.43.52.51.6
Afschrijvingen & Amortisatie 19.24561.60159.04760.74555.1490.14345.04835.61728.88218.14721.10420.3499.75811.4345.973.2042.583.2043.2774.6563.382.1860.851.5221.811.10.90.50.50.3
Uitgestelde Inkomstenbelasting -5.76717.587-1.639-2.347-14.3016.53-6.286-0.23-3.896-1.755-0.395610.093851.885-0.51617.596-1.549000000000000000
Aandelen Gebaseerde Vergoedingen 11.0710.0046.85210.22112.94211.12310.4011.9011.3940.8740.8480.8020.2020.5160.7890.901000000000000000
Verandering in Werkkapitaal -5.303-34.91642.6853.77311.898-0.6284.4064.2442.707-7.385-55.81553.6926.414-0.185-0.434-44.985-1.9411.573-2.451-0.11-0.134-0.555-0.009-0.10.40-2.60.2-0.8-0.20.7
Vorderingen -5.303-1.7250.3742.051.6162.745-2.181-3.847-2.13-2.64-1.872-2.5770.626000000000000000000
Voorraden 0046.08910.16711.19607.3989.1446.1080000000000000000000000
Crediteuren 00-1.344-7.4911.6201.4050.603-0.0460.0270.114-0.046-0.169-0.055-0.1310000000000000000
Overig Werkkapitaal -1.497-33.191-2.434-0.953-2.534-26.635-2.216-1.656-1.225-4.772-54.05756.3155.957-0.13-0.3030000000000000000
Overige Niet-Contante Posten 120.25155.179328.955285.48424.008-10.52521.5124.6732.951.005-1.545-621.285-851.04113.6910.4411.2040.5210.3225.770.240.6071.0470.7432.4641.71.6-0.10.1-0.70.11.4
Kasstroom uit Operationele Activiteiten 303.111268.809581.645467.22191.01251.733119.99878.01148.95625.813-23.06879.9921.85837.33322.898-33.0592.4729.025.6728.7747.2514.8353.4935.8626.55.423.52.52.94
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -449.906-438.868-64.028-65.903-158.403-25.39-6.798-6.979-5.031-2.329-5.262-4.127-1.832-2.347-3.683-5.09-4.740-4.435-1.365-1.255-2.533-3.915-1.771-1.1-0.2-0.8-0.8-0.600
Netto Overnames -25.24659.407-476.933.498-830.6-20.322-29.425-217.841-115.546-112.551-53.447-14.4648.13410.56718.8285.09-33.66504.4351.3651.2552.5333.9151.7711.10.20.80.80.600
Aankoop van Beleggingen -156.885-907.361-1,041.768-229.326-299.269-626.575-849.545-902.864-883.383-506.533-514.809-1,393.844-289.777-437.305-287.113-102.79-87.178-0.109-55.142-46.327-435.799-135.938-22.886-0.717-128-89.9-67.7-122.7-44.4-76.4-9
Verkoop/verval van Beleggingen 182.131604.466456.634282.175954.6850.008635.211422.306700.808265.36400.254896.819181.422296.723130.704120.0834.07875.865106.8289.168276.23561.74331.39430.0986285.462.795.478.640.440.3
Overige Investeringsactiviteiten -470.852371.4847.69-196.76-5.611-423.252-449.876-33.102-150.763-11.743-25.3961.27-1.888-0.63-0.936-60.8648.23652.11-50.818-70.222-9.502-14.173-23.317-25.401-34.9-18-11.9-34.6-24-34.4-7.2
Kasstroom uit Investeringsactiviteiten -920.758-310.872-1,118.402-206.316-339.198-20.314-700.433-738.48-453.915-367.796-198.66-514.342-63.941-132.992-142.2-43.574-83.269127.8660.861-27.381-169.066-88.367-14.8093.98-100.9-22.5-16.9-61.910.2-70.424.1
Financieringsactiviteiten:
Schuldaflossingen -120.436-75.075-0.032-276.737-0.088-11.9-0.08-0.126-0.1160-4000-32.225-64.025-21.3-60.14-3,095.27-2,411.72400-2.262000000-240.3-0.4
Uitgifte van Gewone Aandelen 0.0010.0013.0360.0020.003295.7710.00413.85751.5472.32515.26647.7960000000000000000000
Terugkoop van Gewone Aandelen -120.437-168.235-99.878-118.738-49.912-2.598-0.471,398.579354.5890108.23500000000000000000000
Uitgekeerde Dividenden -5.426-5.921-6.4-7.1-7.76-5.736-4.839-4.389-3.493-3.184-2.926-1.832-1.621-1.544-1.353-1.34-1.319-1.292-1.277-1.287-1.28-1.283-1.247-1.276-1.3-1.2-1-0.7-0.500
Overige Financieringsactiviteiten 851.156367.048529.243442.592232.633-293.3161,079.576-1.280.258334.9360.165256.546233.094178.538156.085124.0587.26519.5283,095.4482,430.798165.47683.42616.669-7.01794.312.214.468.8-14293.7-11.5
Kasstroom uit Financieringsactiviteiten 604.858117.818422.93340.019174.876-17.7791,074.1911,406.641402.785331.752116.74302.51231.473176.994122.50758.693-15.354-41.904-1.09917.787164.19682.14313.16-8.294931113.468.1-14.553.4-11.9
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0.331-1.7360.476-0.101-0.1220.003000000000000.0010000000.117.114.958.4-12.767.5-28.1
Netto Kasstroomverandering -12.45874.019-113.348300.82226.56813.64493.756746.172-2.174-10.231-104.988-131.842189.3981.3353.205-17.94-96.15194.9835.433-0.822.38-1.391.8441.549-1.31113.468.1-14.553.4-11.9
Kaspositie aan het Einde van de Periode 375.58388.038314.019427.367126.54528.2091,267.586773.8327.65829.83240.063145.051276.89387.5036.1682.96311.32109.35314.378.9379.7577.3768.7666.9235.423.927.772.7-8.173.9-7.5