City Holding Company

NASDAQ:CHCO

122.42 (USD) • At close June 30, 2025
Overview | Financials

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Operationele Activiteiten:
Nettowinst 117.101114.365102.07188.0889.59589.35270.00254.3152.12854.09752.96248.21538.94540.67838.9642.64528.10951.02653.18750.28846.34443.69432.459-26-38.3736.2135.226.321.38.775.5532.82.6
Afschrijvingen & Amortisatie 13.19910.72115.77614.61310.6725.7026.3686.8897.0731.4991.433-5.5375.3336.4025.6794.9173.3282.1631.6235.8365.5046.4647.379.79153.12817.496138.46.63.5120.90.90.91.2
Uitgestelde Inkomstenbelasting 0.381-2.7641.4692.1852.644.939-1.24414.9093.8176.6274.5854.6862.53-2.29-1.2358.647-14.449-1.1762.5163.4353.998.59111.214-8.463-22.802-9.198-3-0.9-1.4-0.41-0.2-0.40-0.10
Aandelen Gebaseerde Vergoedingen 3.5223.2133.2763.1213.2532.5162.1512.0972.0181.7931.5351.2811.0831.0660.83000000000000000000000
Verandering in Werkkapitaal -3.23410.083-3.2353.16-6.046.4838.2120.0363.049-9.829-6.85919.535.5911.12612.718-35.467-9.566-5.706-2.041-6.74-1.038-12.5758.169-2.32830.239-66.368-55-24.55.1-2.3-1.40.8-0.5-0.5-0.1-0.2
Vorderingen -0.36-1.136-2.660.166-4.2240.855-1.5-0.815-0.976-0.3750.041.220.8520.1710.7051.0552.230000000000000000000
Voorraden 000000000000000000000000000000000000
Crediteuren 000000000000000000000000000000000000
Overig Werkkapitaal -2.87411.219-0.5752.994-1.8165.6289.7120.8514.025-9.454-6.89918.314.73810.95512.013-36.522-11.796-5.706-2.041-6.74-1.038-12.5758.169-2.32830.239-66.368-55-24.55.1-2.3-1.40.8-0.5-0.5-0.1-0.2
Overige Niet-Contante Posten 0.9271.962-3.54-8.886-10.325-3.944-7.917-2.115-2.755-6.292-0.3027.7180.3342.45411.3814.28947.1384.0413.862-0.446-0.91-3.962-7.14969.399125.437157.445-91.4-44.734.6-90.8-2812.30.80.50.2
Kasstroom uit Operationele Activiteiten 131.896137.58115.817102.27389.795105.04877.57276.12665.3347.89553.35475.89353.81559.43668.33325.03154.5650.34859.14752.37353.8942.21252.06342.399147.629105.588-131.2-35.466.2-81.3-20.49.17.34.243.8
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -2.706-2.962-2.141-3.323-5.544-4.729-10.192-6.574-5.517-3.014-2.323-7.476-7.509-4.615-5.045-8.888-10.491-14.418-6.381-4.501-3.201-1.947-0.373-3.511-0.097-7.944-26.4-11.8-15.7-5.1-4.1-5.1-2.3-0.6-0.5-0.7
Netto Overnames 014.016000-24.66112.2260035.280-21.85320.272000000-7.121000007.4090000000000
Aankoop van Beleggingen -295.202-101.71-519.564-560.843-463.725-220.688-171.151-187.031-196.15-185.663-41.521-80.778-171.2-732.552-979.74-952.761-1,131.621-1,010.313-1,151.061-1,309.079-968.299-1,257.491-649.492-431.113-80.64-105.785-202.4-102.5-265-55.9-81.5-170.1-117.7-32-66.4-55.2
Verkoop/verval van Beleggingen 204.193326.033211.361296.375189.744171.61796.551102.632123.04969.30662.198120.529182.97791.0291,037.716909.9151,033.5211,113.8681,236.7311,413.205987.9111,063.085518.06433.78784.023107.516183.4171.6300.7106.6122.2145.8111.650.461.752.7
Overige Investeringsactiviteiten -158.545-220.697-100.10876.624-5.761-30.37-95.899-80.715-182.675-99.989-43.065-83.108-102.802-115.353-85.07410.868-27.317-93.916-61.555-27.653-29.977-69.301147.121354.927-64.191-240.048-116.6-132.7-57.9-103.4-82.9-34.5-41.4-29.6-26.9-8.3
Kasstroom uit Investeringsactiviteiten -252.2614.68-410.452-191.167-285.286-108.831-168.465-171.688-261.293-184.08-24.711-72.686-78.269-61.491-32.143-40.866-135.908-4.77917.73464.851-13.566-265.65415.316354.09-60.905-238.852-162-75.4-37.9-57.8-46.3-63.9-49.8-11.8-32.1-11.5
Financieringsactiviteiten:
Schuldaflossingen 40.799137.392-21.49416.50280.645-50.656-8.8283.91493.43614.78-2.86723.153-74.40476.34-6.083-78.21963.501-17.687-53.981-65.506-65.4299.80229.733-98.562-238.953201.44832.794.2-29.787.836.8145.1-7.8-2.70
Uitgifte van Gewone Aandelen 000000028.4086.86400000001.6690000000000000000000
Terugkoop van Gewone Aandelen -17.896-60.134-26.449-58.678-36.481-19.431-20.2710-10.018-7.055-27.9570-7.915-23.79-12.902-3.886-28.543-48.232-37.336-11.912-5.858000000000000000
Uitgekeerde Dividenden -43.482-39.993-36.702-36.138-36.673-35.547-29.583-27.12-25.718-25.304-24.487-22.878-20.71-20.63-21.35-21.675-21.483-20.601-19.35-16.839-14.309-12.48-5.0370-7.426-13.471-12.2-11.4-8.8-3-2.3-1.8-1.6-1-0.9-0.8
Overige Financieringsactiviteiten 210.056-233.249-55.351273.18576.515126.57190.05884.729149.42575.64989.02-2.666.07850.1557.889122.62135.4154.86757.1633.56335.96172.182-126.715-218.228128.171-52.501266.376.528.450.632.131.958.917.533.66.6
Kasstroom uit Financieringsactiviteiten 189.477-195.984-139.996194.866584.00620.936131.37689.931213.98958.0733.709-2.325-36.95182.075-32.44618.84166.459-81.499-52.706-87.035-47.578157.462-108.388-316.79-118.208135.599280.5156.6-10133.366.942.462.58.6305.8
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0000000000000000000000000000-28.30000000
Netto Kasstroomverandering 69.113-43.724-434.631105.972388.51517.15340.483-5.63118.026-78.11562.3520.882-61.40580.023.7443.006-14.889-35.9324.17530.189-7.254-65.98-41.00979.699-31.4842.335-12.745.832-68.4-34.3-27.4-37.5-17.5-11.1-9.3-11.1
Kaspositie aan het Einde van de Periode 225.389156.276200634.631528.659140.144122.99182.50888.13970.113148.22885.87684.994146.39966.37962.63559.62974.518110.44886.27356.08463.338129.318170.32790.628122.112119.8132.53219.5167.694.379.98019.739.316.9