First Commonwealth Financial Corporation

NYSE:FCF

17 (USD) • At close December 27, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 157.063128.181138.25773.447105.333107.49855.16559.5950.14344.45341.48241.95415.27422.978-20.06443.08746.2552.95457.83638.65253.343.52650.18947.246533430.527.625.528.722.720.6
Afschrijvingen & Amortisatie 4.10410.55211.44211.65310.378.0468.9977.1167.6413.72111.097.9129.02610.7079.80610.3985.1948.58310.8849.4887.4987.367.767.487.77.95.85.25.15.14.73.5
Uitgestelde Inkomstenbelasting 6.843-2.0111.432-8.2172.2923.47320.8255.71312.6534.86212.7042.551-1.192-4.671-29.108-7.436-2.474-2.7260.107-1.858-2.235-0.594-0.8311.5330.3-1.41.5-0.70.90.8-1.2-0.4
Aandelen Gebaseerde Vergoedingen 03.73.12.92.72.63.83.21.410.51.13300000000000000000000
Verandering in Werkkapitaal -8.446-10.23516.137-12.5011.651-4.1040.43-1.438-0.4981.9988.3397.8930.41817.282-32.657-18.2843.893.3545.253-0.8031.791-2.174-12.3376.9431.4-3.4-12.610.9-0.3-0.5-0.2
Vorderingen -8.838-6.8465.885-10.7350.423-2.561-1.314-0.577-0.0410.5420.9212.68900000000000000000000
Voorraden 00000000000000000000000000000000
Crediteuren 5.0011.172-0.412-0.879-0.2560.3830.426-0.272-0.103-0.404-1.172-1.28-1.423-0.966-2.568-7.2640000000000000000
Overig Werkkapitaal -4.609-4.56110.664-0.8871.484-1.9261.318-0.589-0.3541.868.596.4841.84118.248-30.089-11.023.893.3545.253-0.8031.791-2.17406.9431.4-3.4010000
Overige Niet-Contante Posten 3.20121.22616.655-2.777-19.76817.2764.2110.545-14.1990.842-8.082-5.34960.59364.574129.25724.55518.8783.577-4.067-2.0596.4389.925.7122.931-9.715.810.30.44.6-6.520.6
Kasstroom uit Operationele Activiteiten 162.765151.413165.046105.699107.632135.26388.30589.27372.75182.13785.73478.72484.119110.8757.23452.3269.74664.75776.739.22357.27557.5446.32466.13352.752.935.533.53727.825.124.1
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -22.034-11.207-10.639-7.615-17.38-9.599-10.378-7.061-4.887-10.98-9.635-10.182-8.32-4.886-6.655-12.094-9.81-13.289-14.371-12.041-5.227-6.382-7.886-7.736-7.6-7.7-4-6.8-4.1-5.6-3.4-3.7
Netto Overnames 18.8190-85.253-581.363332.4680.7053.188479.469-3.533-3.042-122.678-162.3461.947335.165-317.97-739.1669.8160.34414.371-70.8725.2276.3827.8867.7367.67.746.84.15.63.43.7
Aankoop van Beleggingen -338.59-0.2-1,038.595-496.857-138.87-352.619-253.312-174.104-405.027-339.649-539.894-605.435-723.805-387.135-211.467-297.13-344.122-217.23-478.497-760.906-1,414.519-563.065-814.382-190.972-492.1-1,076.4-344.5-107.1-82.8-164.4-603.6-263
Verkoop/verval van Beleggingen 173.889225.202555.138591.187244.774204.26343.46278.038470.64375.763357.338574.846557.164590.71436.044446.014433.46436.796754.777877.8691,111.047671.888717.043198.762361.2568.3199.1154.4173.8237.1440.9187.1
Overige Investeringsactiviteiten -418.363-802.58314.04411.51-298.05-190.495-135.755-82.568-199.626-186.1477.58931.72933.0578.7789.078.18667.18641.005-143.913-163.36216.043-61.493-114.933-21.899-155.349.5-209.8-258.1-110.1-163.6-45.927.5
Kasstroom uit Investeringsactiviteiten -586.279-588.788-565.305-483.138122.942-347.748-52.797493.774-142.433-164.055-307.28-171.382-79.957542.632-90.978-594.19156.524307.626132.367-129.312-287.42947.33-212.272-14.109-286.2-458.6-355.2-210.8-19.1-90.9-208.6-48.4
Financieringsactiviteiten:
Schuldaflossingen 51.136233.171-30.207-85.56948.96477.412-0.848-0.565329.804431.372223.716159.2767.456-746.013-191.541422.989-184.44-384.87-328.06493.034193.491-41.895164.089-133.249294369.3187.679.6-82.625118.67.2
Uitgifte van Gewone Aandelen 0.2450.2450.2220.2220.2110.2080.2280.2160.1920.1920.1761.0280.21688.1610.484113.191.81705.059.67904.6562.5000000000
Terugkoop van Gewone Aandelen -14.965-15.598-31.301-20.905-6.259-26.189-1.458-0.864-25.383-30.956-33.439-36.242-0.009-0.009-0.0180-9.971000000000000000
Uitgekeerde Dividenden -50.814-44.578-43.611-42.982-39.394-34.849-30.513-24.907-25.089-26.174-22.344-18.759-12.558-5.306-29.677-49.375-49.554-48.507-46.193-41.736-36.63-35.208-33.809-32.553-27.8-25.7-17.7-16-14.3-12.2-8.9-7.3
Overige Financieringsactiviteiten 430.66123.007543.947761.398-211.187187.558-11.302-510.702-214.928-295.41727.89411.865-50.647-10.036255.45142.55221.53566.526166.67926.19360.907-49.43929.45114.820.847.3153.3125.681.45930.965.6
Kasstroom uit Financieringsactiviteiten 416.263196.247439.05612.164-207.665204.14-43.893-536.82264.59679.017196.003117.1624.458-673.20334.699529.356-220.613-363.379-202.52887.17223.691-121.886162.23-51.549237.2391313.3179.5-16.871.8140.665.5
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0000000000000000000000000.1405.7319.7177.3-17.963.1183.524.3
Netto Kasstroomverandering -7.251-241.12838.791234.72522.909-8.345-8.38546.225-5.086-2.901-25.54324.5048.62-19.7010.955-12.5145.6579.0046.539-2.919-6.463-17.016-3.7180.4753.8391313.3179.5-16.871.8140.665.5
Kaspositie aan het Einde van de Periode 146.993154.244395.372356.581121.85698.947107.292115.67769.45274.53877.439102.98278.47869.85889.23288.277100.79195.13486.1379.59182.5181.11498.13101.848101.4503.4382.7246.749.3129.2234.5118.1