Capitol Federal Financial, Inc.

NASDAQ:CFFN

5.78 (USD) • At close January 8, 2025
Overzicht | Financiële gegevens

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 217.307245.60549.19442.262185.148198.87128.055342.559272.964763.932801.74104.886132.505121.0765.21741.15487.138162.791183.24258.566171.52641.918452.341153.462133.03422.324.454
Kortetermijnbeleggingen 01,384.4821,563.3072,014.6081,560.951,204.863714.614415.831527.301758.171840.791,069.9671,406.84400000000000000
Liquide middelen en kortetermijnbeleggingen 217.307245.60549.19442.262185.148198.87128.055342.559272.964763.932801.74104.886132.505121.0765.21741.15487.138162.791183.24258.566171.52641.918452.341153.462133.03422.324.454
Nettovorderingen 0.3590000000000000.0010.00132.6433.70442.48943.39136.94439.64841.93743.40147.21943.39732.827.998
Voorraad 0-290.986-47.859-7,170.274-7,442.782-255.019-145.306-7,548.134-7,243.522000000000000000000
Overige vlottende activa 0000000000000020.447000000000000
Totaal vlottende activa 217.666245.60549.19442.262185.148198.87128.055342.559272.964763.932801.74104.886132.5050.0010.00173.794120.842205.28226.63395.51211.17483.855495.742200.681176.43155.152.452
Niet-vlottende activa:
Materiële vaste activa, netto 91.46391.531106.4299.127101.87596.78496.00584.81883.22175.8170.5370.11257.76648.42341.2637.70929.87426.6126.522.96324.50426.50926.56523.52524.07625.124.749
Goodwill 09.3242.5893.9619.3249.3247.98900000000000000000000
Immateriële activa 01.529.3249.3245.5397.5029.81800000000000000000000
Goodwill en immateriële activa 010.84411.91313.28514.86316.82617.807-92.806-96.147-1,979.874-2,323.3520000005.6066.9172.8690000000
Langetermijnbeleggingen 293.3131,384.4821,563.307198.91183.562181.265176.159170.302171.3992,029.2932,393.4892,787.993,294.7912,370.1172,940.522,473.1712,376.6981,938.4392,514.2662,575.7533,286.7873,966.5863,075.6942,810.2062,427.2432,091.41,228.939
Belastingvorderingen 060.099-1,444.97420.0528.18213.7867.5147.3227.96926.3910.3930000000000000000
Overige niet-vlottende activa 8,925.166-1,455.425-118.333-218.96-211.744-195.051-183.673-84.818-83.221-75.81-70.53-2,787.99-3,294.791-2,418.54-2,981.78-2,510.88-2,406.572-1,970.655-2,547.683-2,601.585-3,311.291-3,993.095-3,102.259-2,833.731-2,451.319-2,116.5-1,253.688
Totaal niet-vlottende activa 9,309.94291.531118.333112.412116.738113.61113.81284.81883.22175.8170.5370.11257.7662,418.542,981.782,510.882,406.5721,970.6552,547.6832,601.5853,311.2913,993.0953,102.2592,833.7312,451.3192,116.51,253.688
Totaal activa 9,527.60810,167.3729,624.8979,631.2469,487.2189,340.0189,449.5479,192.9169,267.2479,844.1619,865.0289,186.4499,378.3049,450.7998,487.138,403.688,055.2497,675.8868,199.0738,409.6878,541.0368,582.5448,781.1278,635.4438,265.2196,539.35,315.801
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 00000101.86883.02152.1949.54936.68546.35731.40244.27943.761000000000045.83323.8170
Kortlopende schulden 00000000000047000000002000040.16101750
Belastingschulden 0000.9180.795000.530.3100.3680.1080.9182.28906.0160000000013.4391.30.227
Uitgestelde opbrengsten 000-129.27-146.942-101.868-83.021-52.19-49.5490000000000000000-154.30
Overige kortlopende verplichtingen 000-0.918-0.795-101.868-83.021-52.72-49.859-36.685-46.725-31.51-515.197-46.050-6.0160000-20000-40.161-13.439-25.117-0.227
Totaal kortlopende verplichtingen 04,449.7723,928.6754,129.614,221.0624,251.4643,794.1943,125.83,275.84936.68546.35731.4022,574.6012,379.4620000002000040.16145.83320.70
Langlopende verplichtingen:
Langetermijnschulden 1,530.6452,879.1252,132.1541,582.851,789.3132,239.9892,285.0332,173.8082,372.3893,270.5213,369.6772,513.5382,425.3222,894.4623,016.983,106.1793,160.712,785.7073,322.1723,479.8753,302.7773,281.1463,301.30103,2251,345500
Uitgestelde opbrengsten niet-vlottend 01,858.6311,774.0561,556.991,752.9512,111.9322,256.2662,342.0282,539.0462,744.132,767.312,813.1012,870.2800000000000000
Uitgestelde belastingverplichtingen niet-vlottend 030.49428.42625.8636.36228.06828.76731.7833.34326.39122.36720.43725.04220.44733.24430.97000000000028.995
Overige niet-vlottende verplichtingen 4,538.1356,254.2826,396.2446,806.1236,413.0465,763.7035,772.8925,650.7955,501.8945,157.4145,002.4695,040.785470-2,914.909-3,050.224-3,137.149-3,160.71-2,785.707-3,322.172-3,479.875-3,302.777-3,281.146-3,301.3010-3,225-1,345-528.995
Totaal niet-vlottende verplichtingen 6,068.781,889.1251,802.4821,582.851,789.3132,1402,285.0332,373.8082,572.3892,770.5212,789.6772,833.5382,895.322535.4477,525.187,462.3827,184.0336,808.2557,335.8547,544.6243,302.7777,606.0993,301.30103,2251,520528.995
Totaal passiva 8,495.3381,889.1251,802.4821,582.851,789.3132,1402,285.0332,373.8082,572.3892,770.5212,789.6772,833.5382,895.3227,511.277,525.187,462.3827,184.0336,808.2557,335.8547,544.6247,708.6227,606.0997,793.6977,587.1817,279.0125,492.84,653.469
Eigen vermogen:
Preferente aandelen 00145.63347.69249.54549.59132.00335.07745.562000513.4970000000008.44818.8960.915240
Gewone aandelen 1.3271.3591.3881.3881.3891.4141.4121.3821.3751.3711.411.4781.5541.6750.9150.9150.9150.9150.9150.9150.9150.9150.9150.91534.0840.90
Ingehouden winsten -111.104-114.65480.26698.944143.162174.277214.569234.64268.466296.739346.705432.203536.15569.127801.044781.604759.375750.186760.89759.643735.306896.015883.973809.127745.598684.8649.199
Overige gereserveerde algehele resultaten -4.8048.7-145.633-47.692-49.545-49.591-32.003-35.077-45.5628.3746.9867.26724.20726.70725.55733.87-16.603-11.441-17.152-21.029-23.031-25.232-8.448-18.896-34.999-2413.133
Overige totale aandeelhoudersvermogen 1,146.8511,166.6431,190.2131,189.6331,189.8531,210.2261,207.6441,167.3681,156.8551,151.0411,180.7321,235.7811,292.1221,392.691134.434133.305127.529127.971118.566125.534119.224104.747110.99257.116273.778383.9640
Totaal eigen vermogen van aandeelhouders 1,032.271,033.9651,096.4991,242.2731,284.8591,336.3261,391.6221,368.3131,392.9641,416.2261,492.8821,632.126537.7041,939.529961.95941.298871.216867.631863.219865.063832.414976.445987.431,048.262986.2071,046.5662.332
Totaal eigen vermogen 1,032.271,033.9651,096.4991,242.2731,284.8591,336.3261,391.6221,368.3131,392.9641,416.2261,492.8821,632.126537.7041,939.529961.95941.298871.216867.631863.219865.063832.414976.445987.431,048.262986.2071,046.5662.332
Totaal passiva en aandeelhoudersvermogen 9,527.60810,167.3729,624.8979,631.2469,487.2189,340.0189,449.5479,192.9169,267.2479,844.1619,865.0289,186.4499,378.3049,450.7998,487.138,403.688,055.2497,675.8868,199.0738,409.6878,541.0368,582.5448,781.1278,635.4438,265.2196,539.35,315.801