First BanCorp.

NYSE:FBP

21.01 (USD) • At close September 19, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 302.864305.072281.025102.273167.377201.60866.95693.22921.297392.287-164.48729.782-82.232-524.308-275.187109.93768.13684.634114.604178.878152.338107.95686.00167.27662.07551.847.537.649.1312215.311.5-17.7
Afschrijvingen & Amortisatie 28.23631.10536.37225.9820.67818.61920.82722.54526.20325.92630.05827.52324.54320.94220.77422.77529.86337.58149.69816.56315.37314.4211.2868.8696.9648.77.36.24.63.93.53.84.14.1
Uitgestelde Inkomstenbelasting 6.10554.216118.323-4.37155.009-25.043-13.15223.8790.08-306.01-2.7830.5751.42699.20616.054-38.85313.658-31.715-60.223-7.337-6.787-8.611-5.841-3.918-6.703-11.5-1.8-7.6-4.47.20000
Aandelen Gebaseerde Vergoedingen 7.7995.4075.465.1173.9495.8257.2966.8766.0374.2212.930.8260.050.0930.0920.0092.8485,379.510000000000000000
Verandering in Werkkapitaal -44.9168.36616.7637.52726.62914.543-3.902-23.69434.4612.50165.90531.105-1.4650.425-4.962-65.421-132.03311.936154.7765.28321.24669.70420.4257.97724.4546.4-4.612.1-4.23.36.505.1-5.1
Vorderingen -5.437-11.347.7016.419-1.9716.649-12.7552.9341.7033.216-2.3410.6367.074000000000000000000000
Voorraden 0000000491.392285.78500347.986178.701000000000000000000000
Crediteuren 18.431.706-2.776-2.991.0810.2361.39-29.26.2416.8123.6310.696-11.51-8.174-24.1940000000000000000000
Overig Werkkapitaal -57.9091811.8384.09827.5197.6587.463-488.82-259.2692.47364.615-318.213-175.72558.59919.232-65.421-132.03311.936154.7765.28321.24669.70420.4257.97724.4546.4-4.612.1-4.23.36.505.1-5.1
Overige Niet-Contante Posten 60.44736.319-58.222161.21220.64272.771157.93976.597173.814135.428410.062139.041214.596590.812486.478147.46777.821-5,260.235132.4611.46918.4239.12656.445.71929.73866.948.525.1187.8-159.427.7-46.8932.2
Kasstroom uit Operationele Activiteiten 360.535440.485399.721297.738294.284288.323235.964199.432261.891264.353341.685228.852156.923237.17243.249175.91460.293221.712366.969185.399131.934191.394157.382118.072115.15195.585.568.5212.6-11459.7-27.729.713.5
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -22.599-20.459-13.349-16.07-22.478-20.514-9.417-10.37-12.456-22.262-11.789-11.937-13.376-31.991-40.271-32.83-24.642-55.524-28.921-24.484-11.435-14.412-13.913-19.154-18.056-10.9-6.7-16.2-12.6-8.6-7.8-4.9-2-4.4
Netto Overnames 4.4751.196-3.381406.626-256.874-192.789-95.48451.708217.659139.885-149.21650.693706.0091,054.97-1,565.8245.15424.64255.524-78.40524.48411.43573.35813.91319.15418.05610.96.716.212.68.67.84.924.4
Aankoop van Beleggingen -5.458-825.748-3,447.921-3,820.148-759.14-510.877-265.415-619.636-250.585-170.419-690.377-1,012.527-1,010.104-2,771.404-2,795.639-3,476.633-1,110.796-672.856-5,985.7-6,757.253-13,315.268-27,380.628-12,721.496-5,132.844-6,354.986-6,899.8-8,079.3-4,999.4-2,993.4-6,229.7-5,362.6-7,284.7-7,242.1-3,184.5
Verkoop/verval van Beleggingen 695.145658.9551,463.8722,483.324634.813441.45261.948616.906296.95237.907330.3361,204.9792,642.544,665.3541,950.4662,609.5221,796.8041,027.3165,311.1046,220.45212,401.58328,391.83811,299.9535,397.4616,277.1796,398.67,664.84,953.52,823.36,294.55,435.47,668.27,112.93,173.5
Overige Investeringsactiviteiten -747.585-495.404737.804-292.59760.71159.47235.11244.586187.41169.62289.59873.8740.679101.6332,069.475-1,396.359-822.6311,298.681-2,598.176-2,541.836-1,414.819-1,637.698-889.521-1,479.799-687.137-226.6-119.9-384.2-313.6-171.3-117-328.845.7-16.7
Kasstroom uit Investeringsactiviteiten -76.022-681.46-1,262.975-1,238.865-342.968-223.258-73.25683.194438.979254.733-431.448305.0822,325.7483,018.562-381.793-2,291.146-136.6231,653.14-3,380.098-3,078.638-2,328.504-567.542-2,311.064-1,215.182-764.944-727.8-534.4-430.1-483.7-106.5-44.254.7-83.5-27.7
Financieringsactiviteiten:
Schuldaflossingen -269.928-500-240-130.282-220.086-21.434-5.93-7.025-70-25-208.44-21.957-286.248-325-82-42.56-593.078-1,146.158-1,132-140.1850-1.55-62-3.046-68.502-43.2-68.2-17-12.1-64.7-33.4-81.6-1,058.7-4,373
Uitgifte van Gewone Aandelen 000000000001.037493.274-8.115400091.92400000000000000000
Terugkoop van Gewone Aandelen -203.241-277.769-252.626-0.206-1.959-2.827-2.497-1.132-1.173-0.946-0.455000161.9530-91.92400000000000000000
Uitgekeerde Dividenden -99.666-87.824-67.474-46.092-33.032-9.193-2.676-0.2230000-26.3880-43.066-66.181-64.881-63.566-62.915-59.593-47.959-42.373-30.343-19.212-14.658-8.9-7.2-6.1-2.50000-1.2
Overige Financieringsactiviteiten 470.981-955.9852,472.5791,967.441361.657-161.803265.105-727.019-743.347-377.7037.478-12.729-2,587.026-3,256.4180.0082,250.761544.423-1,476.9574,661.7092,951.5522,922.807707.5732,275.0951,091.275786.495686.2526.8383285.7285.425.557.21,114.24,376.8
Kasstroom uit Financieringsactiviteiten -101.854-1,821.5781,912.4791,790.861106.58-195.257254.002-735.399-744.52-378.649-201.417-33.649-2,406.388-3,589.533436.8952,142.02-113.536-2,686.6823,466.7942,751.7742,874.849663.652,182.7521,069.017703.336634.1451.4359.9271.1220.7-7.9-24.455.52.6
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 7,795.499000000000000000000000000632.3448.9361.60220.5-15.5-2753.814.2
Netto Kasstroomverandering 182.659-2,062.5531,049.225849.73457.896-130.192416.71-452.773-43.65140.437-291.18500.28576.283-333.801298.35126.788-189.866-811.829453.665-141.465678.279287.50229.07-28.09253.543634.1451.4359.90220.7-7.9-24.455.52.6
Kaspositie aan het Einde van de Periode 663.164480.5052,543.0581,493.833644.099586.203716.395299.685752.458796.108655.671946.851446.566370.283704.084405.733378.945568.8111,380.64918.7791,060.244381.96594.46365.39393.485671.8486.6396.836.9257.321.1280.138.8