First Commonwealth Financial Corporation

NYSE:FCF

17.07 (USD) • At close September 18, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 146.993154.244395.372356.581121.85698.947107.292115.67769.45274.53877.439102.98278.47869.85889.55988.566102.5196.11985.02881.99487.87283.087102.3891.1593.999.56873.675.579.853.6112.1
Kortetermijnbeleggingen 1,020.986789.0751,054.218843.45919.053941.373761.195815.11949.5121,309.8191,318.3651,171.3031,142.776967.7151,133.8561,401.3511,574.2171,644.691,851.9862,162.3131,969.1761,482.7711,469.118000000000
Liquide middelen en kortetermijnbeleggingen -125.436916.9051,449.591,200.0311,040.9091,008.194838.65894.289956.0121,384.3571,395.8041,274.28578.47869.85889.55988.566102.5196.11985.02881.99487.87283.087102.3891.1593.999.56873.675.579.853.6112.1
Nettovorderingen 00000000000000000000000000000000
Voorraad 00000000000000000000000000000000
Overige vlottende activa 147.415154.778396.014357.796124.0845,117.1194,934.8994,336.0764,047.8573,393.4813,236.0413,290.2734,349.5184,494.0974,896.5844,642.2983,892.513,978.473,802.7363,677.9222,948.2452,707.157-4.25000000000
Totaal vlottende activa 147.415916.9051,449.591,200.0311,040.9096,125.3135,773.5495,230.3655,003.8694,777.8384,631.8454,564.5584,427.9964,563.9554,986.1434,730.8643,995.024,074.5893,887.7643,759.9163,036.1172,790.24498.1391.1593.999.56873.675.579.853.6112.1
Niet-vlottende activa:
Materiële vaste activa, netto 121.015115.106120.775125.517137.26880.47481.33967.53463.45464.98967.9468.9766.75566.98170.74272.63669.48768.90160.8656.96546.53845.7346.36644.67140.941.932.632.629.429.221.921.1
Goodwill 363.715303.328303.328303.328303.328274.202255.353186.483164.5161.429159.956159.956159.956159.956159.956159.956159.956160.366122.702123.60729.8548.1310000000000
Immateriële activa 22.829.20511.18813.49216.36613.03815.00712.0131.2311.6651.3112.3753.8435.3767.40710.23313.44116.86915.25117.5133.2560.0290000000000
Goodwill en immateriële activa 386.535312.533314.516316.82319.694287.24270.36198.496165.731163.094161.267162.331163.799165.332167.363170.189173.397177.235137.953141.1233.118.160000000000
Langetermijnbeleggingen 162.0531,250.2371,595.5291,205.2941,256.1761,335.2281,183.2911,187.6231,333.8361,354.3641,353.8091,199.5311,182.5721,016.5741,222.0451,452.1911,645.7141,723.1911,939.7432,240.4772,073.431,680.6091,762.4081,636.3371,592.31,525.3856.7704.2748.7813.7847664
Belastingvorderingen 81.05177.76239.44339.99431.25926.00826.81434.395-6,272.853-6,062.564-5,911.115231.3010000-173.397-177.235-137.953-141.12-33.11-8.160000000000
Overige niet-vlottende activa 10,579.74-77.762-39.443-39.994-31.259-26.008-26.814-34.3956,272.8536,062.5645,911.115-231.3010000173.397177.235137.953141.1233.118.16-1,762.408-1,681.008-1,633.2-1,567.2-889.3-736.8-778.1-842.9-868.9-685.1
Totaal niet-vlottende activa 11,330.3941,677.8762,030.821,647.6311,713.1381,702.9421,534.991,453.6531,563.0211,582.4471,583.0161,430.8321,413.1261,248.8871,460.151,695.0161,888.5981,969.3272,138.5562,438.5622,153.0781,734.49946.3661,681.0081,633.21,567.2889.3736.8778.1842.9868.9685.1
Totaal activa 11,477.8099,805.6669,545.0939,068.1048,308.7737,828.2557,308.5396,684.0186,566.896,360.2856,214.8615,995.395,841.1225,812.8426,446.2936,425.885,883.6186,043.9166,026.326,198.4785,189.1954,524.7434,583.534,372.3124,340.84,096.82,929.32,584.62,364.32,334.91,955.31,787.5
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 00000000000000000000000000000000
Kortlopende schulden 604.449372.694138.315117.373201.853721.823707.466867.9431,510.8251,105.876626.615356.227312.777187.861958.9321,152.7354.201500.014665.665946.474634.127469.065427.736272.171424.8140.5193.9150.3120.8201.7171.552.7
Belastingschulden 00000000000000000000000000000000
Uitgestelde opbrengsten 00000000000000000000000000000000
Overige kortlopende verplichtingen 4,068.985-87.694-138.315-117.373-201.853-156.823-139.966-119.943-110.825-160.876-148.515-178.12700000000003,121.5643,109.1292,9912,9702,270.52,132.11,985.91,900.5-171.5-52.7
Totaal kortlopende verplichtingen 4,673.434285138.315117.373201.853565567.57481,400945478.1178.1312.777187.861958.9321,152.7354.201500.014665.665946.474634.127469.0653,549.33,381.33,415.83,110.52,464.42,282.42,106.72,102.2171.552.7
Langlopende verplichtingen:
Langetermijnschulden 181.094181.224182.269233.255234.182185.05687.91880.91681.481161.626216.552280.221207.414204.498274.447276.28547.946593.42799.744839.574793.972579.934664.22656.855638.4630.9193.140.95.37.67.48.1
Uitgestelde opbrengsten niet-vlottend 5,171.7-14.019170.287215.242219.785-50.437-45.628-38.902000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 18.32114.01911.98218.01314.3972.4421.3051.08000000000000000000000000
Overige niet-vlottende verplichtingen 118.986103.776-182.269-233.255-234.18247.99544.32337.82200000000000000-0.020.04500000000
Totaal niet-vlottende verplichtingen 5,490.101285182.269233.255234.182185.05687.91880.91681.481161.626216.552280.221207.414204.498274.447276.28547.946593.42799.744839.574793.972579.934664.2656.9638.4630.9193.140.95.37.67.48.1
Totaal passiva 10,163.5358,753.5928,435.7217,999.4877,253.1086,852.8666,420.4125,934.0895,847.3445,644.145,503.1645,249.3835,082.5795,063.0655,807.4825,773.1015,314.835,472.5555,505.2755,666.54,758.2494,123.3534,213.4644,038.1564,054.13,741.42,657.52,323.22,1122,109.81,768.81,617.1
Eigen vermogen:
Preferente aandelen 0000000000000000000000013.09546.50000000
Gewone aandelen 123.603113.915113.915113.915113.915113.915113.915105.563105.563105.563105.563105.563105.563105.51586.686.675.175.171.97871.97863.70462.52562.52562.52562.50000000
Ingehouden winsten 881.112774.863691.26596.614577.348511.409437.416412.764378.081353.027334.748315.608294.056291.492278.887309.947319.246322.415318.569307.363312.261296.165288.219272.169257.8235.6181.1168.7157.6146.8107.493.3
Overige gereserveerde algehele resultaten -111.756-137.692-8.76817.2335.579-11.341-6.173-7.027-2.386-4.499-20.5881.2592.001-2.458-6.045-21.269-9.747-19.514-23.2553.82713.17922.7964.577-13.095-46.52.21.61.30.5-16.800
Overige totale aandeelhoudersvermogen 421.315300.988312.965340.855358.823361.406342.969238.629238.288262.054291.974323.577356.923355.228279.369277.501184.189193.36153.753148.8141.80219.90414.745-0.538-33.6117.689.191.494.295.179.177.1
Totaal eigen vermogen van aandeelhouders 1,314.2741,052.0741,109.3721,068.6171,055.665975.389888.127749.929719.546716.145711.697746.007758.543749.777638.811652.779568.788571.361521.045531.978430.946401.39370.066334.156286.7355.4271.8261.4252.3225.1186.5170.4
Totaal eigen vermogen 1,314.2741,052.0741,109.3721,068.6171,055.665975.389888.127749.929719.546716.145711.697746.007758.543749.777638.811652.779568.788571.361521.045531.978430.946401.39370.066334.156286.7355.4271.8261.4252.3225.1186.5170.4
Totaal passiva en aandeelhoudersvermogen 11,477.8099,805.6669,545.0939,068.1048,308.7737,828.2557,308.5396,684.0186,566.896,360.2856,214.8615,995.395,841.1225,812.8426,446.2936,425.885,883.6186,043.9166,026.326,198.4785,189.1954,524.7434,583.534,372.3124,340.84,096.82,929.32,584.62,364.32,334.91,955.31,787.5