Cathay General Bancorp

NASDAQ:CATY

46.54 (USD) • At close November 5, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199519941993199219911990
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 173.988195.44134.141138.616179.74225.333539.801218.017180.13176.83153.747144.909412.844293.668354.8584.818168.437114.798109.27586.133111.69970.77773.51465.68764.181.7124.775.271.355.85360.835.941.4
Kortetermijnbeleggingen 2,259.3832,432.0793,442.8722,319.0121,868.381,617.4661,333.6262,281.4122,123.2321,808.5492,103.6061,703.463294.956206.321254.726252.27816.3791,217.4381,817.9421,707.962248.273248.95800000000000
Liquide middelen en kortetermijnbeleggingen -173.9882,627.5193,577.0132,457.6282,048.121,842.7991,873.4272,499.4292,303.3621,985.3792,257.3531,848.372412.844293.668354.8584.818168.437114.798109.27586.133111.69970.77773.51465.68764.181.7124.775.271.355.85360.835.941.4
Nettovorderingen 97.67382.42856.99459.03253.5451.6545.30737.29930.55825.36424.27426.01532.22635.38235.98243.60353.03239.26724.76721.71221.55314.45314.54515.63313.21212.21511.77.75.84.96.86.4
Voorraad 76.315-1,267.969-2,560.278-1,518.281-677.85700000000000000000000000000000
Overige vlottende activa 965.8791,267.9692,560.2781,518.281677.85712,857.37511,631.649,937.8748,666.1217,663.336,611.3326,239.6297,235.0137,094.1377,103.2837,788.9177,299.0775,803.3114,734.6983,850.293,370.6191,924.703-14.5452,086.0471,882.71,652.81,450.91,378.4000000
Totaal vlottende activa 965.8792,709.9473,634.0072,516.662,101.6614,751.82413,550.37412,474.60211,000.0419,674.0738,892.9598,114.0167,680.0837,423.1877,494.1157,917.3387,520.5465,957.3764,868.743,958.1353,503.8712,009.93373.5142,167.3671,9601,746.51,587.81,468.68363.558.865.742.747.8
Niet-vlottende activa:
Materiële vaste activa, netto 123.173124.403127.236133.917138.229103.189103.064105.607108.92499.682102.045102.613105.961109.456108.635104.10776.84878.19330.2933.42135.62429.78829.40329.72325.325.825.225.826.626.926.225.624.116.9
Goodwill 375.696375.696372.189372.189372.189372.189372.189372.189372.189316.34316.34316.34316.34316.34316.34319.557319.873316.752239.527241.013241.7286.5528.8800000000000
Immateriële activa 4.4615.7574.6275.4346.2967.1948.0622.9493.6773.2372.236.13211.59817.04423.15729.24636.09742.98741.50847.49452.730000000000000
Goodwill en immateriële activa 380.157381.453376.816377.623378.485379.383380.251375.138375.866319.577318.57322.472327.938333.384339.497348.803355.97359.739281.035288.507294.4586.5528.889.74410.68.69.59.9000000
Langetermijnbeleggingen 988.6212,781.3653,764.4022,651.7722,205.0661,927.1781,606.4972,532.4892,306.1751,908.1282,192.652,566.9712,530.8822,935.9593,645.9853,212.3912,449.1681,631.21,217.4381,817.9421,707.962707.725623.314570.609587.3658.1566.5593.5402.6255.2190.2112110.586.7
Belastingvorderingen 117.685120.22579.66591.58179.76789.59187.77191.9410000000-348.803-355.97-359.739-281.035-288.507-294.458-6.552-632.194-580.353-597.9-666.7-576-603.4000000
Overige niet-vlottende activa 20,526.3-1,078.956-79.665-91.581-79.767-466.428-87.771-1,059.008-536.88-484.614-516.938-411.983000348.803355.97359.739281.035288.507294.4586.552-20.5239.74410.68.69.59.9-429.2-282.1-216.4-137.6-134.6-103.6
Totaal niet-vlottende activa 22,135.9362,328.494,268.4543,163.3122,721.782,032.9132,089.8122,046.1672,254.0851,842.7732,096.3272,580.0732,964.7813,378.7994,094.1173,665.3012,881.9862,069.1321,528.7632,139.872,038.044744.0658.8839.46735.934.434.735.7429.2282.1216.4137.6134.6103.6
Totaal activa 23,101.81521,985.75320,886.72319,043.13418,096.6216,785.7615,638.86214,520.76913,254.12611,511.84610,989.74710,694.08910,644.86410,801.98611,588.23211,582.63910,402.5328,026.5086,397.5036,098.0055,541.9152,753.9982,453.1142,206.8341,995.91,780.91,622.51,504.31,087.4941.1877.5832.8750660
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 0000000000000000000000000000000000
Kortlopende schulden 10.810.8339.438139.38425.68318.75484.688625000000008.301714.68215598.916312.16950000000000000
Belastingschulden 0000000000000000000000000000000000
Uitgestelde opbrengsten 0000000000000000000000000000000000
Overige kortlopende verplichtingen 18,265.59817,419.94211,634.1878,664.165-25.68306,455.3995,919.67200000000000000000000000000
Totaal kortlopende verplichtingen 18,276.39817,430.77511,643.6258,803.54925.68318.756,940.0876,544.672000000008.301714.68215598.916312.16950000000000000
Langlopende verplichtingen:
Langetermijnschulden 674.923659.254192.975326.334854.031736.746641.617486.798412.729564.07661.398336.049415.936748.7121,127.031,639.9981,565.958134.10694.48317.11627.62203010303023.4101.54.40000
Uitgestelde opbrengsten niet-vlottend 1,083.846-18.732171.647299.044831.704-13.803-12.434-201.45100000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 20.28118.73221.32827.2922.32713.80312.43420.74500000000000000000000000000
Overige niet-vlottende verplichtingen 309.79218,852.459-192.975-326.334-854.031-18.7513,029.894180.70609,344.888000000000000000000000000
Totaal niet-vlottende verplichtingen 2,088.84219,511.713192.975326.334854.031717.99613,671.511486.798412.7299,908.958661.398336.049415.936748.7121,127.031,639.9981,565.958134.10694.48317.11627.62203010303023.4101.54.40000
Totaal passiva 20,365.2419,511.713192.975326.33415,802.33714,663.60213,671.51112,692.2311,506.3489,908.9589,530.3159,064.5859,129.2319,365.88110,275.48810,281.2529,422.1137,074.9345,615.3865,373.3924,918.2072,466.0372,207.1031,992.0471,816.81,624.21,486.61,385.9992.9855.8797757.1681.9600.2
Eigen vermogen:
Preferente aandelen 000000.29200000.46254.58250.992247.455243.9670.003000000001000000000
Gewone aandelen 0.9140.9110.9090.9060.90.8980.8910.8780.870.840.8380.830.8290.8270.6770.5370.5350.5330.5160.5130.2510.1830.090.0910.1000000000
Ingehouden winsten 2,500.3412,244.8561,985.1681,789.3251,659.1531,479.1491,281.6371,175.4851,059.66943.834829.109721.993624.192543.625551.588645.592617.108520.689421.545335.608263.973218.489179.681146.118115.592.574.159.65145.140.23731.124.8
Overige gereserveerde algehele resultaten -85.416-102.295-3.0655.312.302-18.006-2.511-3.715-8.426-5.569-29.7280.465-8.732-1.022-0.87523.327-0.545-12.428-31.818-8.199-1.396.7195.0632.303-10000-0.50.1000
Overige totale aandeelhoudersvermogen 320.736330.568463.238622.603631.928659.825687.334655.891695.674663.783658.753643.189639.905636.773508.887623.428354.821434.28383.374388.071356.46262.5761.17766.27563.564.261.858.843.540.740.238.73735
Totaal eigen vermogen van aandeelhouders 2,736.5752,474.042,446.252,418.1442,294.2832,122.1581,967.3511,828.5391,747.7781,602.8881,459.4321,621.0571,507.1861,427.6581,304.2441,292.887971.919943.074773.617715.993619.296287.961246.011214.787179.1156.7135.9118.494.585.380.575.768.159.8
Totaal eigen vermogen 2,736.5752,474.042,446.252,418.1442,294.2832,122.1581,967.3511,828.5391,747.7781,602.8881,459.4321,629.5041,515.6331,436.1051,312.7441,301.387980.419951.574782.117724.613623.708287.961246.011214.787179.1156.7135.9118.494.585.380.575.768.159.8
Totaal passiva en aandeelhoudersvermogen 23,101.81521,985.75320,886.72319,043.13418,096.6216,785.7615,638.86214,520.76913,254.12611,511.84610,989.74710,694.08910,644.86410,801.98611,588.23211,582.63910,402.5328,026.5086,397.5036,098.0055,541.9152,753.9982,453.1142,206.8341,995.91,780.91,622.51,504.31,087.4941.1877.5832.8750660