The First Bancshares, Inc.

NASDAQ:FBMS

36.44 (USD) • At close November 7, 2024
Overview | Financials

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996
Operationele Activiteiten:
Nettowinst 75.45762.91964.16752.50543.74521.22510.61610.1198.7996.6144.6394.0492.8712.5491.7431.8493.8233.3151.9091.2431.0070.8640.6720.565-0.1730.067-0.262-0.356
Afschrijvingen & Amortisatie 17.42712.17313.79212.3545.3144.32.9022.3022.2972.1831.9151.7241.160.870.971.0571.0550.8040.6260.6580.8080.6950.4650.3020.3050.0860.0550.029
Uitgestelde Inkomstenbelasting 7.0060.941.739-3.0150.9122.5236.446-0.010.2560.3311.707-0.1360.164-0.085-0.266-0.2060.2110.02-0.229-0.0580.1570.1030.039-0.108-0.121000
Aandelen Gebaseerde Vergoedingen 2.3262.4253.12.3521.6611.1540.8670.7720.7210.6180.3920.2630000.002000000000000
Verandering in Werkkapitaal -5.4743.0772.643-13.196-0.9291.747-1.612-4.464-3.503-4.6797.9861.9530.9274.1391.3096.779-2.033-2.084-0.816-1.5564.72-4.637-2.385-1.3980.719-0.065-0.0850.004
Vorderingen -1.228-2.9873.218-9.185-1.203-0.671-0.715-0.405-0.294-0.152-0.055-0.116-0.6620.29500000000000000
Voorraden 00000-2,322.251-1,374.918-977.288-845.911-780.926-631.981-461.315-426.119-376.10800000000000000
Crediteuren 19.3781.613-0.463-0.3740.9140.1440.030.06-0.07-0.109-0.153-0.096-0.176-0.261-0.1780.072000000-0.1350.2070.114000
Overig Werkkapitaal -23.6244.451-0.112-3.637-0.642,324.5251,373.99973.168842.772776.508640.175463.479427.884380.2131.4866.707-2.033-2.084-0.816-1.5564.72-4.637-2.25-1.6050.605000
Overige Niet-Contante Posten 11.5218.49310.2740.185-6.0030.5512.3790.8581.1681.9911.3562.371-0.004-0.2181.7142.0511.0490.7770.8420.5420.2990.3520.3230.2940.402-0.972-0.533-0.033
Kasstroom uit Operationele Activiteiten 108.23990.02795.71551.18544.731.521.5989.5779.7387.05717.99510.2237.13210.0495.4711.5314.0672.6082.2790.7626.992-2.623-0.886-0.3461.131-0.884-0.824-0.356
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -3.688-15.522-7.125-4.398-7.892-4.057-4.675-2.707-1.231-0.989-0.747-0.448-1.374-1.370-0.497-6.138-1.14-0.355-0.867-0.967-0.879-0.895-3.078-1.059-1.656-0.521-1.586
Netto Overnames 108.20923.939358.91629.24530.8642.453.91-98.561-0.8444.27343.150116.1431.37006.1381.8330.3550.8670.9670.879000000
Aankoop van Beleggingen -25.567-620.662-988.536-359.811-191.587-74.994-92.087-54.836-33.651-41.756-86.196-64.001-182.323-51.842-64.904-50.083-25.58-47.886-32.479-11.151-25.031-29.921-40.885-34.992-46.684-30.605-19.412-9.277
Verkoop/verval van Beleggingen 476.716220.197234.367207.656144.877107.5966.40949.65446.85756.39453.02659.81855.76757.90252.63833.96730.81730.8639.65314.15919.12427.13227.66410.21710.31812.1956.7830.75
Overige Investeringsactiviteiten -226.146-314.841195.023-131.82-38.94-79.797-114.96-5.85-67.639-96.614-50.1-29.9950-20.3261.06442.244-90.078-68.912-37.465-48.351-13.836-12.7340.0270.04600.385-0.5070
Kasstroom uit Investeringsactiviteiten 329.524-706.889-207.355-259.128-62.682-8.808-141.403-112.3-56.507-78.692-40.867-34.626-11.787-14.266-11.20225.631-84.84-85.241-60.291-45.343-19.743-15.523-14.089-27.808-37.426-19.681-13.657-10.113
Financieringsactiviteiten:
Schuldaflossingen -258.461-0.176-114.834-321.355-258.673-168.68-173.633-293.321-173.469-155.654-31.771-123.601-34.75-10.43-16.99-29.745-12.147-14.638-25.286-13.41-24.198-3.918-4.528-2.753000-0.442
Uitgifte van Gewone Aandelen -427.120601.57500216.01355.27159.744218.221233.93118.958156.52600000000000.03800000
Terugkoop van Gewone Aandelen -0.361-22.863-5.892-8.561-5.292-0.26-5.33-16.101-0.128-0.086-0.027-0.0160000000000000000
Uitgekeerde Dividenden -27.55-16.275-11.991-8.589-5.19-2.557-1.416-1.235-1.121-1.106-0.943-0.796-0.795-0.715-0.194-0.673-1.564-0.38-0.234-0.175-0.117-0.117000000
Overige Financieringsactiviteiten 485.561-118.222-0.059940.138296.894-0.023274.716374.496-0.092-0.08645.029-0.01629.40433.34913.8986.92386.63887.95105.27559.44530.83124.94721.89227.95441.63722.24113.55214.68
Kasstroom uit Financieringsactiviteiten -227.931-157.536468.799601.63327.73944.493149.608123.58343.4177.00131.24732.098-6.14122.204-3.286-23.49572.92772.93279.75445.8616.51620.91317.40325.20141.63722.24113.55214.238
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -200.549000000000000000000000000000
Netto Kasstroomverandering 209.832-774.398357.159393.699.75767.18529.80320.86-3.3595.3668.3757.696-10.79617.986-9.01813.667-7.846-9.70121.7421.28-6.2352.7662.428-2.9525.3431.675-0.933.769
Kaspositie aan het Einde van de Periode 355.147145.315919.713562.554168.864159.10791.92262.11941.25944.61839.25230.87723.18133.97715.99125.00911.34119.18728.8887.1465.86512.19.3346.9069.8594.5162.843.77