CNB Financial Corporation

NASDAQ:CCNE

23.81 (USD) • At close January 14, 2025
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995
Operationele Activiteiten:
Nettowinst 58.0263.18857.70732.74340.08133.71923.8620.5422.19723.07416.67917.13615.10411.3168.5125.2359.1349.6229.1387.8719.0578.6666.515.4334.64.74.3024.2823.817
Afschrijvingen & Amortisatie 7.7396.5736.2416.0825.9634.8115.2424.4844.0394.1272.6412.2252.0752.0341.9972.4241.0831.4251.8171.7642.1931.4292.4862.4742.111.0660.6640.505
Uitgestelde Inkomstenbelasting 1.111-1.814-1.6911.39-0.204-1.0763.3851.0230.3760.733-0.977-0.240.4412.251-1.746-1.319-0.272-0.15-0.674-0.735-0.181-1.64-0.4340.2690.61.40.7620.169-0.037
Aandelen Gebaseerde Vergoedingen 1.7431.3321.4861.411.3461.5450.9280.820.6210.5480.390.2770.2130.2050.12200000000000000
Verandering in Werkkapitaal -20.0870.5076.732-10.0884.6821.534-0.477-1.8115.518-0.3395.2632.0684.187-4.035-0.756-2.6211.6461.065-1.271-1.889-0.98-6.562.687-1.666-1.2-0.4-0.504-0.122-0.113
Vorderingen 0-19.065-1.056-6.2421.072-3.079-1.175-3.9060.0836.266-3.124-0.455-1.3420000000000000000
Voorraden 0-19.572-7.7883.846-3.61000000000000000000000000
Crediteuren -14.19319.5727.788-3.8463.614.6130.6982.0955.435-6.6058.3872.523000000000000000.264-0.0380.056
Overig Werkkapitaal -5.89419.5727.788-3.8463.614.6130.6982.0955.435-6.6058.38705.5290000000000000-0.768-0.084-0.169
Overige Niet-Contante Posten -1.503-5.733-11.555-2.7790.0393.235-2.1751.7080.8750.7779.6136.0948.365-0.6256.8057.2761.8911.4311.1530.1112.9173.458-2.0530.6192.7-2.11.077-2.3180.531
Kasstroom uit Operationele Activiteiten 47.02364.05358.9228.75851.90743.76830.76326.76433.62628.9233.60927.5630.38511.14614.93413.55412.64712.9259.7287.97912.1515.1019.1967.1298.74.26.7032.6754.703
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -10.972-12.29-6.484-5.644-9.045-3.068-5.215-10.125-6.751-6.426-5.336-2.016-1.705-1.992-1.479-5.118-4.656-3.392-1.761-2.082-1.956-0.769-0.863-1.05-17.5-2.3-0.234-2.094-3.144
Netto Overnames 00.496-243.37672.852-334.737-332.5041.079-2.866-223.39-58.97846.982-1.2480-76.04105.1184.6563.3921.7612.0821.9560.7690.8631.0517.52.30.01800
Aankoop van Beleggingen -19.622-262.684-341.547-226.527-122.358-189.374-23.689-21.513-45.12-128.591-130.412-332.155-293.879-360.837-306.191-166.057-71.327-38.289-48.852-39.573-76.676-77.237-83.513-25.35-80.6-65.6-65.404-23.388-38.753
Verkoop/verval van Beleggingen 72.979116.192204.515227.608109.67776.349108.64268.257183.773142.631175.496235.252170.918207.7196.93281.53440.84843.45448.47949.13583.95946.80168.77931.33445.835.127.4322.46940.546
Overige Investeringsactiviteiten -191.844-646.415-22.868-236.969-12.138-2.991-284.468-184.636-9.226-4.162-123.182-82.453-55.702-2.5-44.721-82.647-45.227-40.462-29.734-25.626-46.3-34.682-20.451-4.379-68.3-26.21.384-25.109-23.066
Kasstroom uit Investeringsactiviteiten -149.459-804.701-409.76-168.68-368.601-451.588-203.651-150.883-100.714-55.526-36.452-182.62-180.368-233.67-155.459-167.17-75.706-35.297-30.107-16.064-39.017-65.118-35.1851.605-103.1-56.7-36.806-28.122-24.417
Financieringsactiviteiten:
Schuldaflossingen -132.396132.39633.484-227.907-17.21-12.24220.35566.48928.52823.745-9.85623.35-32.0515.124-6.8148.19750.115-0.36518.250.687-0.68728.7329.9276.591-9.68.347.07227.0210
Uitgifte van Gewone Aandelen 094.05103.2571.423019.294000.0380.0410.5261.18833.3281.1440.9820000.894000000000
Terugkoop van Gewone Aandelen -6.724-1.671-1.163-1.307-1.291-2.454-1.877-0.044-0.868-1.67500000-0.659-6.115-3.367-2.222-1.261000000000
Uitgekeerde Dividenden -18.996-16.859-15.852-12.128-10.358-10.237-10.094-9.546-9.515-9.521-8.573-8.214-8.125-6.933-5.726-5.525-5.395-5.104-5.046-4.771-4.335-4.332-3.41-3.08-2.9-2.5-2.345-2.136-1.998
Overige Financieringsactiviteiten 376.313-93.182533.875717.727491.541442.971151.37269.14248.26612.31419.024131.576191.242206.079143.023155.43927.83512.81921.59821.46730.30138.49720.89-15.486102.751.5-4.24-0.94224.307
Kasstroom uit Financieringsactiviteiten 218.197114.735550.344479.642464.105418.038179.05126.04166.41124.9010.595147.238152.254237.598131.627158.43467.5934.90633.48417.01625.3263.15327.407-11.97589.657.240.48723.94322.309
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 000000000000000000000000-0.152.5-2.76800
Netto Kasstroomverandering 115.761-625.913199.504339.72147.41110.2186.1621.922-0.677-1.705-2.248-7.8222.27115.074-8.8984.8184.534-17.46613.1058.931-1.5463.1361.418-3.241-4.957.27.616-1.5042.595
Kaspositie aan het Einde van de Periode 222.046106.285732.198532.694192.97445.56335.34529.18327.25127.92829.63331.88139.70337.43222.35831.25630.08525.55143.01729.91220.98122.52719.39117.97321.275.618.43610.80612.31