Cathay General Bancorp

NASDAQ:CATY

47.97 (USD) • At close July 3, 2025
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 285.979354.124360.642298.304228.86279.135271.885176.042175.099161.109137.83123.735118.043100.75512.175-66.77951.124125.469117.57104.09186.81355.57248.742.6238.58730.324.620.113.310.69.57.810.1109.7
Afschrijvingen & Amortisatie 16.82918.10419.80316.11616.51215.1227.3147.2657.497.5747.86811.34711.73712.04410.65314.39811.17213.11813.61715.16716.89910.612.5672.9111.3892.62.52.121.61.31.31.11.20.9
Uitgestelde Inkomstenbelasting -20.756-4.782-2.0889.168-9.4869.8252.34334.55415.9492.00431.304-15.1144.78413.808-38.504-37.115-50.851-11.434-2.491-2.01-1.111-5.687-1.087-2.3610.637-2.30-0.5000000-0.8
Aandelen Gebaseerde Vergoedingen 6.8047.8367.8326.816.4067.357.9745.7344.9634.954.193.2132.851.7583.3375.7257.708000000000000000000
Verandering in Werkkapitaal -52.775-76.51922.427-34.583-42.58420.067-0.13623.10610.694-18.935-14.03218.31840.8855.62318.031-86.26625.7836.106-13.025-9.5772.044-58.11138.7736.1285.811-5.95.9-0.415-3.1-5.2-3.10.93.1-8.8
Vorderingen -10.05-54.369-80.411-34.196-21.2476.163-13.98425.74713.478-3.429-2.77623.29143.3042.6220.67.6219.429000000000000000000
Voorraden 00000000000000000000000000000000000
Crediteuren 00000000000000000000000000000000000
Overig Werkkapitaal -42.725-22.15102.838-0.387-21.33713.90413.848-2.641-2.784-15.506-11.256-4.973-2.4193.00117.431-93.88716.3546.106-13.025-9.5772.044-58.11138.7736.1285.811-5.95.9-0.415-3.1-5.2-3.10.93.1-8.8
Overige Niet-Contante Posten 93.07485.97958.77438.502120.247103.4847.1582.17320.20719.995-17.089-26.426-13.72340.062162.813316.445122.81515.71910.9726.34815.2087.9794.1010.6013.4672.62.53.75.389.95.3-27.41.51.4
Kasstroom uit Operationele Activiteiten 329.155384.742467.39334.317319.955434.979336.538248.874234.402176.697150.071115.073164.576174.05168.505146.408167.751148.978126.643114.019119.87710.36393.05449.89949.89127.335.52535.617.115.511.3-15.315.82.4
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -3.636-3.401-3.39-3.728-5.778-7.133-6.67-3.188-3.523-3.518-4.777-6.182-3.108-2.888-4.979-12.222-24.195-2.786-17.877-1.452-3.732-2.333-1.981-1.152-5.924-0.8-1.9-0.8-0.5-1.1-2-1.8-4.1-8.6-3.1
Netto Overnames 00-73.8820000-1.39206.572000-0.968-3.015-14.116-15.143-3.655-31.25-0.087-7.318-61.5980000000000000
Aankoop van Beleggingen -1,391.377-668.95-718.702-589.369-513.284-822.903-497.787-607.574-941.327-342.763-885.782-455.085-634.54-659.727-3,516.944-4,926.945-4,347.351-2,682.78-635.127-11.618-778.52-614.449-409.422-1,074.623-738.652-1,175.1-1,216.3-431.8-189-262.6-128.6-153.8-64.9-50.4-20.1
Verkoop/verval van Beleggingen 1,441.605522.815214.489445.488854.846593.399547.672674.299460.294550.234778.487806.419990.0311,123.8133,098.0244,242.1083,669.3411,293.903369.445555.524647.05742.734345.511,019.917763.3571,243.11,125.3461102.4118.662.67695.526.612.7
Overige Investeringsactiviteiten 137.438-1,327.544-1,267.915-712.315-577.988-1,145.037-1,177.542-966.132-368.936-1,388.096-347.289-656.958-398.919-333.181,023.509431.592-578.174-915.256-783.115-835.18-538.311-258.96-234.024-197.9-197.742-298.3-115.3-97.5-64.711.40.522.5-60.5-69-74.8
Kasstroom uit Investeringsactiviteiten 184.03-1,477.08-1,849.4-859.924-242.204-1,381.674-1,134.327-903.987-853.492-1,177.571-459.361-311.806-46.536127.05596.595-279.583-1,295.522-2,310.574-1,097.924-292.813-680.831-194.606-299.917-253.758-178.961-231.1-208.2-69.1-151.8-133.7-67.5-57.1-34-101.4-85.3
Financieringsactiviteiten:
Schuldaflossingen -48055465-130-553.34684.61876.9612575-150-97.645325-79.68-332.584-378.109-512.78865.8811,705.826656.06-8226865.87626.386-26.0591.18330.62313.48.5-2.54.40000
Uitgifte van Gewone Aandelen 2.9333.4913.723.5639.7773.3662.8222.5282.2774.1752.8480.6050.2910.287125.238120.6082.55100-0.12423.2254.4120000000000000
Terugkoop van Gewone Aandelen -84.703-16.667-141.316-167.104-23.593-36.301-42.6480-54.441-59.4120000000000000000000000000
Uitgekeerde Dividenden -97.967-98.638-100.955-99.322-98.688-99.131-83.428-69.888-59.274-45.283-23.104-12.606-16.049-16.046-16.04-22.46-20.977-20.525-18.426-18.154-14.926-10.088-9.802-9.057-7.965-7.2-6.3-5.6-4.7-4.7-4.6-4.6-4.2-3.7-3.5
Overige Financieringsactiviteiten 357.271823.532-131.7081,953.2911,401.404987.631915.944-52.811,125.9821,254.694450.274-107.4284.41977.784-508.966563.1211,046.697549.686351.246321.246181.297230.146192.295245.901154.711161.2111.484.4129.613854.141.176.781.889.4
Kasstroom uit Financieringsactiviteiten -302.466758.73794.7411,554.233749.549940.183863.2784.831,087.1641,004.174332.373205.571-91.019-270.559-777.877148.4811,094.1522,147.235994.804201.936453.388288.165210.126205.686149.676186.2129.793.7135.1132.154.93874.280.189.1
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 00000000000000000000000000000000000
Netto Kasstroomverandering 210.719-333.601-1,287.3021,028.626827.3-6.51265.489-650.283468.0743.323.0838.83827.02130.541-12.77715.306-33.619-14.36123.52323.142-107.566103.9223.2631.82720.606-17.6-4349.5-56.3-55.8-53-60.8-35.9-41.4-35.3
Kaspositie aan het Einde van de Periode 1,039.52828.8011,162.4022,449.7041,421.078593.778600.29534.8011,185.084180.13176.83153.747144.909117.88887.347100.12484.818118.437132.798109.27586.133193.69989.77786.51484.68764.181.7124.7191.4187.9107.998.8110.1121.5124.4