CVB Financial Corp.

NASDAQ:CVBF

19.77 (USD) • At close October 17, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Operationele Activiteiten:
Nettowinst 219.889235.425212.521177.159207.827152.003104.411101.42999.145104.02195.60877.2881.73362.93565.41963.07360.58471.90670.61861.48652.83249.74540.05834.6832620.817.413.311.510.49.5988.87.8
Afschrijvingen & Amortisatie 13.05213.661-6.426-1.15722.0368.349-0.6453.802-1.9950.5592.4497.5329.64810.5469.8810.81713.23615.09721.6314.30222.02418.279-6.2269.87411.21.91.9-0.2100.21.11.31.31.2
Uitgestelde Inkomstenbelasting -35.5430-6.72719.453-18.314-0.6196.0412.2868.875-8.09-4.150.15210.9436.33831.754-13.0820.0994.813-0.585-3.5375.9371.532-0.527-0.46-3-1.30.3-1-1.40.3-0.9-0.8-0.30-1
Aandelen Gebaseerde Vergoedingen 9.4397.9015.1835.5295.5483.5082.9532.8032.7332.9881.9262.0392.2142.1971.6661.50000000000000000000
Verandering in Werkkapitaal 43.677-9.8-8.132-16.223-3.1258.74130.2463.085-2.326-10.02318.26147.465-16.5284.993-18.066-1.759-5.154-6.6030.6760.883-0.907-3.7050.575-1.77-1.40.20.310.6-0.70.31.7-0.310.3
Vorderingen 000000000.462-0.4190.3041.1570.1355.025000000000000000000000
Voorraden 000000000.9023.59112.8621.91600000000000000000000000
Crediteuren 00000000-0.8970.005-0.382-2.033-1.459-1.496-3.737-3.5710000000000000000000
Overig Werkkapitaal 43.677-9.8-8.132-16.223-3.1258.74130.2463.085-2.793-13.25.47926.425-15.2041.464-14.3291.8120000000000000000000.3
Overige Niet-Contante Posten 45.11826.544-1.1770.335-5.79-3.604-3.413-0.15-0.79-1.753-2.28320.29342.00815.856-24.62523.0862.364-12.834-3.3351.435-2.90.4956.3560.4278.77.84.94.36.5-0.55.2-1.2-1.1-1-3.1
Kasstroom uit Operationele Activiteiten 295.632273.731195.242185.096208.182168.378139.592123.255105.64287.702111.811154.761130.018102.86566.02883.63571.11570.88689.08475.6571.94461.31340.23642.76740.82924.817.418.29.510.69.56.910.15.2
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -113.521-5.359-4.677-4.672-5.522-4.194-4.893-12.615-1.869-1.893-2.421-4.271-1.676-6.712-4.162-5.053-7.401-9.364-11.881-11.376-6.923-4.39-7.657-4.201-4.1-3.6-2.2-3.3-6.8-5.3-2.3-0.5-0.4-1.2-1.2
Netto Overnames 191.284329.001516.014-781.791241.599-132.9183.059-15.721-190.72550.038-87.25148.028027.5380.342-110.0890.7439.36411.88111.3766.923-8.1257.6574.2014.13.62.23.36.85.32.30.50.41.21.2
Aankoop van Beleggingen -62.035-1,805.11-3,162.697-1,287.626-557.07-123.572-362.003-808.008-694.63-805.544-920.657-942.71-816.386-1,098.711-793.017-7.71-263.623-1,127.802-872.071-131.286-104.023-761.041-487.667-399.696-329.9-469.9-217.2-139.7-124.7-163.5-117.6-116.7-101.3-82.1-64.2
Verkoop/verval van Beleggingen 778.947663.431928.443798.692638.4481,206.618578.229829.524576.139425.389594.582643.532464.0821,363.6411,222.67848.854534.206481.513560.122120.783222.054530.086400.622242.715196.4229.4122.387.143.9116.9106.1988663.168.7
Overige Investeringsactiviteiten 70.273-358.929-7.5746.6397.868-138.278-75.54-145.91910.33763.48937.29134.333267.317264.679136.613-259.942-285.052-34.364-449.418-684.87-886.597-161.722-145.389-105.028-122.1-71-32.2-43.5-10.325.6-40.9-13.3-6.3-19.6-92.9
Kasstroom uit Investeringsactiviteiten 864.948-1,176.966-1,730.491-1,268.758325.323807.656138.852-152.739-300.748-268.521-378.456-221.088-86.663550.435562.454-333.94-21.127-680.653-761.367-695.373-768.566-405.192-232.434-262.009-255.6-311.5-127.1-96.1-91.1-21-52.4-32-21.6-38.6-88.4
Financieringsactiviteiten:
Schuldaflossingen -781.211-915.762-28.493-15.747-293.596-297.571-1.952-5-200-228.137-41.238-298.043-106.917-200.508-1,278.007-600-480-620-10600-0.3680000000000000
Uitgifte van Gewone Aandelen 0.211.9231.2770.2312.21517.251.9521.4237.7510.41324.3216.03814.05510.838126.0561305.55012.286002.4680000000000000
Terugkoop van Gewone Aandelen -21.216-116.33-8.337-92.772-2.64-7.76-1.128-1.907-0.834-5.474-0.559-0.054-12.527-5.169728.17-0.65-33.9180-12.286-1.992-7.053-2.10000000000000
Uitgekeerde Dividenden -111.686-104.439-97.733-98.475-95.352-65.966-57.047-51.625-48.862-42.298-29.939-44.552-35.805-36.103-36.499-28.317-28.479-27.876-27.963-23.821-21.638-20.8-15.585-12.39-9.8-6.5-4.5-3.1-2.6-2.3-2.1-1.9-1.7-1.6-0.4
Overige Financieringsactiviteiten -621.182-405.0831,442.9233,063.067-122.562-602.416-197.525102.129437.381457.39310.323146.02638.907-121.337-160.245755.083429.9341,273.913851.987617.928658.334385.965170.119253.587168281.3729777.562.720.224.142.330.792.2
Kasstroom uit Financieringsactiviteiten -754.084-625.8521,309.6372,856.304-511.935-956.463-255.745.02195.435191.894262.907-180.585-102.287-352.279-620.525256.116-106.913626.037718.024592.115629.643365.165154.534241.197158.2274.867.593.974.960.418.122.240.629.191.8
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -393.592000000000000000000000000282.5102.378.772.911.541.822.514.728.583.2
Netto Kasstroomverandering 77.824-1,529.087-225.6121,772.64221.5719.57122.74415.5360.32911.075-3.738-246.912-58.932301.0217.9575.811-56.92516.2745.741-27.608-66.97921.286-37.66421.955-56.6274.867.593.974.960.418.122.240.629.191.8
Kaspositie aan het Einde van de Periode 281.285203.4611,732.5481,958.16185.518163.948144.377121.633106.097105.76894.69398.431345.343404.275103.25495.29789.486146.411130.14184.497.994123.937102.651140.315118.4382.5210221.3184.7121.3102.693.886.374.2128.4