Commerce Bancshares, Inc.

NASDAQ:CBSH

64.31 (USD) • At close January 15, 2025
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 485.177500.02540.59353.885422.712438.214319.9276.854266.975262.784261.117271.439259.623221.71169.075188.655206.66219.842223.247220.341206.524199.498181.974178.574166.2150.1132.7119.5107.696.186.971.759.857.559
Afschrijvingen & Amortisatie 49.51346.85644.86643.76941.14538.67939.73240.92942.80342.30341.94443.44846.74348.92451.51450.69659.86760.75459.04867.40271.02454.22344.89140.99643.23639.651.350.156.157.420.423.418.214.3
Uitgestelde Inkomstenbelasting -7.39921.71625.613-19.5414.1955.33613.617-2.0597.432-0.549.20116.234-2.836-9.085-7.312.656-11.227-1.38-1.7572.717-11.62612.996-7.501-2.583-810.316.73.33.5-6.7-4.8-6.9-4.6-4.6-5.3
Aandelen Gebaseerde Vergoedingen 17.05216.99515.41514.91513.85412.84112.10511.52510.1478.8296.4275.0014.7316.0216.6426.3896.2634.7866.6286.4656.09200000000000000
Verandering in Werkkapitaal 40.664-38.32111.434-10.49823.36710.167-32.1061.97414.509-2.0710.002-11.5184.3746.857-110.578-26.64750.656119.50316.911-21.086-1.452-18.022-5.75611.491-1.148.4910.9-5.3-3.3-6.5-7.90.34.9
Vorderingen 0-28.43919.788-13.3993.316-4.258-4.459-3.642-4.992-2.1853.2343.149-2.010000000000000000000000
Voorraden 00080.40787.82818.28-21.12531.17530.3543.58611.647-2.60114.5190000000000000000000000
Crediteuren 46.653.054-3.179-9.4445.5862.1370.0381.1070.336-0.23-1.569-1.272-4.598-9.462-18.574-28.3510000000000000000000
Overig Werkkapitaal -5.986-12.936-5.175-68.062-73.363-5.992-6.56-26.666-11.189-3.242-13.31-10.794-3.53716.319-92.0041.70450.656119.50316.911-21.086000000000000000
Overige Niet-Contante Posten -96.23812.119-40.196241.461-2.47947.42379.978103.144-52.80349.53142.24258.50894.726396.75185.945-4.45523.48347.858-10.443-11.184-0.86414.82363.8618.49122.429.722.336.129-3.39.66.712.735-1.2
Kasstroom uit Operationele Activiteiten 488.769559.385597.722623.992512.794552.66433.226432.367289.063360.836360.933383.112407.361671.177295.288217.294335.702451.363293.634264.655269.698262.668273.747236.428211.7216.9216.4214.7195.3136.7150.761.980.1104.768.3
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -88.074-65.191-56.716-33.134-42.575-33.294-30.824-24.478-31.897-43.658-23.841-34.969-21.332-18.528-29.247-42.563-50.214-41.481-64.231-33.471-36.111-54.035-78.598-69.305-69.1-30.3-27.6-26.4-25.8-19.1-16-25.1-21.5-18.8-37
Netto Overnames -6.3652.9858.8591.8782.03313.4273.1910.1120-43.82747.643000-3.494-54.49-14.046-8.49864.23133.47136.11154.03578.59869.30569.130.327.626.425.819.11625.121.518.837
Aankoop van Beleggingen -246.286-2,147.862-5,947.891-6,991.46-1,863.18-2,090.333-1,853.817-1,988.101-3,542.537-2,498.09-2,411.153-3,182.857-4,517.463-3,217.6-4,078.962-2,413.273-1,095.686-888.132-2,012.483-1,570.659-2,846.435-2,179.276-4,025.751-1,028.675-1,206.9-1,788.5-1,258.9-1,351.7-1,354.2-821.3-947.5-1,551.8-954.9-1,315.6-676.5
Verkoop/verval van Beleggingen 3,077.5012,798.2313,539.9173,275.9871,971.4472,219.8492,692.022,056.7773,204.1441,978.5472,558.4223,097.5392,582.3842,386.9631,540.1991,443.4481,374.8011,313.1843,014.4211,743.4051,927.0822,065.9922,211.3951,592.9841,668.51,4811,683.31,355.61,452.81,338996.31,222.1739.3697.9747.3
Overige Investeringsactiviteiten -552.944-345.892373.073-1,643.775-797.89-187.246-586.659-849.411-825.112-455.654-884.731-1,040.55-228.424194.711999.237-412.098-793.214-764.519-693.147-243.743-288.947-348.631363.876-462.46-615.4-613.9-634.7-246.2-273.1-276.2-178.636.6-41.5-26-427.1
Kasstroom uit Investeringsactiviteiten 2,183.832242.271-2,082.758-5,390.504-730.165-91.024220.72-805.213-1,195.402-1,062.682-713.66-1,160.837-2,184.835-654.454-1,572.267-1,478.976-578.359-389.446308.791-70.997-1,208.3-461.915-1,450.48101.849-153.8-921.4-210.3-242.3-174.5240.5-129.8-293.1-257.1-643.7-356.3
Financieringsactiviteiten:
Schuldaflossingen -8.268-2.88811.758-1.616-6.3946.944-100.291-241.4160.794-353.2520.422-180.638272.798-623.789-935.0651,164.142508.905165.121-707.436-206.302663.297318.529688.595-299.395423.4114.3-21.2163.4-8.8-0.4-0.477.5-1.2-1.4-5
Uitgifte van Gewone Aandelen 0-0.008-0.015-0.011-0.008-0.01-0.00801.914010.24215.58815.34911.31103.64115.97813.6617.27418.39315.281000000000000000
Terugkoop van Gewone Aandelen -76.37-186.622-129.361-204.163-284.904-75.231-17.771-39.381-123.176-270.974-69.353-104.909-101.154-40.984-0.528-9.49-128.578-134.956-234.501-173.829-125.724-83.879-58.685000000000000
Uitgekeerde Dividenden -134.734-127.466-122.693-127.568-122.466-109.238-100.619-96.07-93.961-88.291-82.104-211.608-79.14-78.231-74.72-72.055-68.915-65.758-63.421-61.135-51.266-42.185-40.254-37.613-36.1-33.7-30.4-27.5-26-21.1-18.4-15.4-14-13.3-11.8
Overige Financieringsactiviteiten -663.747-3,883.8333,813.9586,100.379329.703400.777-705.8551,029.429524.6841,390.35993.4511,537.1541,741.846711.8121,348.129134.21791.514446.583399.667248.714300.33-115.947788.01425.62-420.7465.7281.924.5259-280.2-1213420.3776.3404
Kasstroom uit Financieringsactiviteiten -883.119-4,200.8093,573.6626,067.032-84.061223.252-924.536652.562308.341533.049842.4161,039.9991,834.35-19.882441.4571,232.792416.587418.264-583.01-174.966795.31985.4351,384.227-406.71-111.5464.9138.886188.3-346.2-36.8195.47.4748.6357.5
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0000000000000000000000000.10.1-6.127.6-20.8-377.2-20.9231.2177539288
Netto Kasstroomverandering 1,789.482-3,399.1532,088.6261,300.52-301.432684.888-270.59279.716-597.998-168.797489.689262.27456.876-3.159-835.522-28.89173.93480.18119.41518.692-143.283-113.812207.494-68.433-53.5-239.5138.886188.3-346.2-36.8195.47.4748.6357.5
Kaspositie aan het Einde van de Periode 2,687.283897.8014,296.9542,208.328907.8081,209.24511.845782.435502.7191,100.7171,269.514779.825517.551460.675463.8341,299.3561,328.2461,154.316674.135585.815567.123710.406824.218616.724685.2738.7972.1860.9754.1188.6513.9781.8763.41,295.1834.5