Citizens & Northern Corporation

NASDAQ:CZNC

19.95 (USD) • At close September 18, 2024
Overview | Financials

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994
Operationele Activiteiten:
Nettowinst 23.96226.61830.55419.22219.50422.01313.43415.76216.47117.08618.59422.70523.36819.055-39.33510.05910.42411.98612.98414.86316.25714.95912.0528.47611.48511.110.1079.2557.8667.494
Afschrijvingen & Amortisatie 2.5592.3892.131.9811.7491.7541.6391.6021.911.9752.2262.112.1912.5273.143.4373.2922.7752.4771.6721.3131.051.322-1.405-0.8660.40.7230.7640.7350.627
Uitgestelde Inkomstenbelasting 0.836-0.4-1.381-0.3610.172-0.1872.155-0.1560.0791.2541.8393.763.8186.371-18.383-2.147-0.021-0.311-0.640.096-0.025-0.284-0.349-0.0630.4230.10.01-0.215-0.10.263
Aandelen Gebaseerde Vergoedingen 1.4721.261.2141.050.7980.8550.6280.5820.6060.5650.6960.5670.4230.0670.2860.2940.2550.106000000000000
Verandering in Werkkapitaal 2.761-4.666-0.177-0.687-1.2821.150.338-1.008-0.8880.9292.156-0.8244.67210.367-16.091-0.095-0.8780.186-0.661-0.3460.323-0.2890.4531.159-0.2791.40000
Vorderingen -1.4-3.5320.186-2.6451.188-0.413-0.595-0.41-1.6971.3953.234-1.0433.5800000000000000000
Voorraden 2.70300000000000000000000000000000
Crediteuren 4.161-0.5890.212.473-2.0681.9571.312-0.2161.195-0.09-0.6790.6741.092-0.302-1.077000000000000000
Overig Werkkapitaal -2.703-0.545-0.573-0.515-0.402-0.394-0.379-0.382-0.386-0.376-0.399-0.455010.669-15.014000000000000000
Overige Niet-Contante Posten 1.4829.3982.5043.5791.520.3071.181.7281.5080.4725.061-0.6662.992-3.34183.3516.569-3.126-4.6111.8831.5081.6260.087-2.2620.6170.8040.6-0.0191.1960.5850.796
Kasstroom uit Operationele Activiteiten 33.07234.59934.84424.78422.46125.89219.37418.5119.68622.28130.57227.65237.46435.04612.96818.1179.94610.13114.11514.90714.5912.5969.2967.4078.52410.610.821119.0869.18
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -32.265-3.288-1.864-3.137-2.87-1.167-1.697-1.58-1.039-0.801-0.801-1.622-0.998-0.707-1.253-0.998-2.416-3.27-6.712-5.83-3.36-1.712-1.935-2.426-1.547-1.5-0.834-0.582-0.637-2.113
Netto Overnames -110.928076.11375.955-1.778-15.912-64.977-49.822-75.44911.9637.89321.7160.116-10.22720.470.99829.942-1.256.7125.833.361.7121.9352.4261.5471.50000.029
Aankoop van Beleggingen -23.414-113.715-243.925-105.354-57.655-90.015-51.476-91.896-40.363-158.894-152.31-127.358-152.441-267.082-131.207-93.15-203.608-86.293-1,947.332-200.8-201.078-251.766-263.524-18.061-120.107-233.4-195.231-74.508-67.124-111.804
Verkoop/verval van Beleggingen 113.40962.77363.711123.427177.35280.56487.797111.687133.844134.543122.787138.589134.721217.528109.79876.126141.084158.811246.643207.972232.389185.887180.30847.66663.835212.1199.6848.60845.54109.559
Overige Investeringsactiviteiten 0.472-180.4582.075.689-92.3814.882-0.5522.2121.4163.7061.3113.31121.5192.6111.564-10.23812.426-32.1771,696.369-61.643-77.844-73.883-53.565-35.999-21.587-8.70.4190.3120.7550.639
Kasstroom uit Investeringsactiviteiten -52.726-234.688-103.89596.5822.668-21.648-30.905-29.39918.409-9.4868.8834.6362.917-57.877-0.628-27.262-22.57235.821-4.32-54.471-46.533-139.762-136.781-6.394-77.859-304.034-26.17-21.466-3.69
Financieringsactiviteiten:
Schuldaflossingen -76.041-23.955-52.249-28.94-10.327-6.274-37.265-0.313-36.866-0.278-11.497-43.884-36.595-68.423-49.763-52.003-107.335-79.123-56.785-48.475-37.524-35.023-0.021-34.42-25.019-39.8-34.013-35-8.5-15
Uitgifte van Gewone Aandelen 00.160.2120.1310.1980.1890.1270.2630.3810.1230.1840.2290.071024.615000000000000.0110.00400
Terugkoop van Gewone Aandelen -6.784-9.349-7.586-0.163-0.18900-3.723-4.415-4.002-33.772-11.489-1.022089.1150000000000027.019000
Uitgekeerde Dividenden -15.569-15.865-15.976-14.469-14.041-11.746-11.145-11.112-11.245-11.392-10.916-9.061-6.227-5.249-8.415-7.678-8.248-7.945-7.558-7.139-6.674-6.038-5.441-4.986-4.639-4.2-3.744-3.458-3.226-3.022
Overige Financieringsactiviteiten -28.954200.948144.481-12.897-42.9319.4168.19721.34515.744-4.0950.1240.11813.90650.7390.14561.193132.71141.82962.04198.9676.412167.091135.15934.154100.92865.3-4.8555.00925.28911.817
Kasstroom uit Financieringsactiviteiten 24.734151.93968.882-56.469-46.834-8.42119.9146.197-36.401-19.767-55.877-64.087-29.867-22.93355.6971.51217.128-45.239-2.30243.34632.214126.03129.697-5.25271.2721.3-15.57716.55513.563-6.205
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0000000000000000000000000-0.10000
Netto Kasstroomverandering 5.08-48.15-0.16964.895-1.705-4.1778.383-4.6921.694-6.972-16.425-1.79910.514-45.76468.037-7.6334.5020.7137.4933.7820.271-1.1362.212-4.2391.9351.8-0.7221.3851.183-0.715
Kaspositie aan het Einde van de Periode 52.77847.69895.84896.01731.12232.82737.00428.62133.31331.61938.59155.01656.81546.30192.06524.02831.66127.15926.44618.95315.17114.916.03613.82418.06316.114.25314.97513.5912.407