First Horizon Corporation

NYSE:FHN

20.19 (USD) • At close December 27, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,0122,44516,0549,5541,116.1332,058.9021,824.6731,433.308903.6471,971.1381,079.513823.252837.523862.1231,005.012760.2151,209.642994.656957.108643.518773.7921,070.016886.923841.7771,238.9937.31,004.11,099.9777.9961.4747.6782.91,029.41,130.81,011.3
Kortetermijnbeleggingen 8,3919,9768,7078,0474,445.4034,626.475,170.2553,943.4993,929.8463,556.6133,398.4573,061.80800000000000000000000000
Liquide middelen en kortetermijnbeleggingen 9,4032,44524,76117,6015,561.5366,685.3726,994.9285,376.8074,833.4935,527.7514,477.973,885.06837.523862.1231,005.012760.2151,209.642994.656957.108643.518773.7921,070.016886.923841.7771,238.9937.31,004.11,099.9777.9961.4747.6782.91,029.41,130.81,011.3
Nettovorderingen 00000068.69357.41163.6642.48845.255303.893164.987146.091334.4041,178.932524.419732.282511.5081,673.7851,888.8591,999.1481,677.7981,499.6471,329.51,295.7777.4592.3527.6353.7335.6215.8000
Voorraad 0000-3,153.457-4,195.25500000000000000000000000000000
Overige vlottende activa 00000025,659.67417,764.32315,979.22614,866.38914,524.46516,432.13319,107.16119,164.35920,514.67524,440.49328,671.40627,744.39427,940.27122,147.58217,213.4916,711.25217,615.56215,805.93115,365.916,113.912,287.111,061.610,4658,892.100000
Totaal vlottende activa 9,4032,44524,76117,6015,601.656,724.23332,723.29523,198.54120,876.37920,436.62819,047.6920,621.08620,109.67120,172.57321,854.09126,379.6430,405.46729,471.33229,408.88724,464.88519,876.14119,780.41620,180.28318,147.35517,934.318,346.914,068.612,753.811,770.510,207.21,083.2998.71,029.41,130.81,011.3
Niet-vlottende activa:
Materiële vaste activa, netto 899612665759455.006494.041532.251289.385275.619302.996305.244303.273321.253322.319313.824333.931399.305451.708414.98379.359350.202254.132251.504286.107305.5254.3206.9185.6177.4153125.7106.994.58373.7
Goodwill 1,5101,5111,5111,5111,432.7871,426.3241,386.853191.371191.307145.932141.943134.242133.659162.18165.52800000000000000000000
Immateriële activa 186234298354130.2155.034184.38921.01726.21532.03594.781137.011170.312240.2340.86700000000000000000000
Goodwill en immateriële activa 1,6961,7441,8081,8641,562.9871,581.3581,571.242212.388217.522177.967236.724271.253303.971402.38506.395237.491,409.1351,874.0541,709.281,258.4271,009.487194.265185.004121.624133.6132.8112.4119.5129162.2131.259.366.200
Langetermijnbeleggingen 11,12611,58211,0209,2335,801.616,084.6386,596.64,854.9174,825.6164,755.2964,200.1754,324.5284,054.4893,801.683,394.3684,070.9194,801.5546,121.1655,045.9143,669.0123,270.863,594.2823,172.0493,092.8523,248.32,784.63,680.42,389.92,294.12,263.71,953.62,738.42,340.21,505.81,414.8
Belastingvorderingen 000000-1,632.743-1,331.177-25,470.665-24,900.873-22,947.77574.52600000000000000000000000
Overige niet-vlottende activa 0-13,938-13,493-11,856-7,819.603-8,160.0371,632.7431,331.17725,470.66524,900.87322,947.77-574.5260000000000-3,172.049-3,092.852-3,248.3-2,784.6-3,680.4-2,389.9-2,294.1-2,263.7-2,210.5-2,904.6-2,500.9-1,588.8-1,488.5
Totaal niet-vlottende activa 13,72113,93813,49311,8567,819.6038,160.0378,700.0935,356.695,318.7575,236.2594,742.1434,899.0544,679.7134,526.3794,214.5874,642.346,609.9948,446.9277,170.1745,306.7984,630.5494,042.679436.508407.731439.1387.1319.3305.1306.4315.22,210.52,904.62,500.91,588.81,488.5
Totaal activa 81,66178,95389,09184,20943,310.940,833.11741,423.38828,555.23126,195.13625,672.88723,792.57625,520.1424,789.38424,698.95226,068.67831,021.9837,015.46137,918.25936,579.06129,771.68324,506.6923,823.09520,616.79118,555.08618,373.418,73414,387.913,058.912,076.910,522.49,608.88,925.87,903.76,707.76,397.5
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 00000048.9960000000000000000000000000000
Kortlopende schulden 2,5492,5062,1242,1982,253.04503,022.3180137.861157.218181.146441.201172.55246.2411,054.7334,279.6893,979.1392,048.47802.017505.756227.976361.208449.151456.5351,550.21,427.3702.4402.4260200320.6256.968.850.445.3
Belastingschulden 00000000000000000000000000000000000
Uitgestelde opbrengsten 00002,203.51105.192-8,710.514-6,523.444000000000000000000000000000
Overige kortlopende verplichtingen 17,713-2,506-2,124-2,1980-105.192-3,071.3146,523.444-137.861-157.218-181.146-441.201-172.55-246.241-1,054.733-4,279.689-3,979.139-2,048.47-802.017-505.756-227.976-361.208-449.151-456.535-1,550.2-1,427.3-702.4-402.4-260-2000-256.9000
Totaal kortlopende verplichtingen 20,2622,5062,1242,1982,253.045114.7642,626.21383.177137.861157.218181.146441.201172.55246.2411,054.7334,279.6893,979.1392,048.471,595.655505.756227.976361.20818,44516,62316,67317,12013,16511,86910,9449,680320.6256.968.850.445.3
Langlopende verplichtingen:
Langetermijnschulden 1,1501,5971,5901,670791728.923775.8921,040.6561,266.7131,834.2091,694.0312,180.7222,435.9673,228.072,891.1334,767.666,828.4175,836.363,437.6432,616.3681,116.831,029.715650.361509.676458.7514.5268.9209.686.593.890126.9127.4127.4128.2
Uitgestelde opbrengsten niet-vlottend 00000000000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 00000000000000000000000000000000000
Overige niet-vlottende verplichtingen 71,22068,80979,00874,23224,441.51135,317.955-775.89224,809.49122,286.3380012,660.57-2,435.967-3,228.07-2,891.133-4,767.66-6,828.417-5,836.36-3,437.643-2,616.368-1,116.83-1,029.715-100.361-99.676-99.7-100.5-99.9-209.6-86.5-93.8-90-126.9-58.6-77-82.9
Totaal niet-vlottende verplichtingen 72,3702,5061,5901,670791.368114.7641,171.997994.6241,269.2121,834.2091,694.0312,180.7222,481.663,228.072,891.1334,767.666,828.4175,836.363,437.6432,616.3681,116.831,029.71555041035941416923526094320.6256.968.850.445.3
Totaal passiva 72,37070,40580,59875,90338,234.89236,056.23136,842.925,850.14723,555.5523,081.91921,292.08323,010.93422,104.74722,020.94722,766.2127,742.51334,879.86535,455.86933,971.47627,730.24222,615.9222,087.52319,094.84217,132.50217,131.917,634.513,433.812,104.411,203.79,773.68,929.88,328.37,466.16,309.96,016.8
Eigen vermogen:
Preferente aandelen 5201,01452047095.62495.62495.62495.62495.62495.62495.624000798.685782.680000044.39244.18738.42800000000000
Gewone aandelen 349336333347194.668199.108204.211146.015149.117146.387147.731152.249160.918164.604138.738128.30278.97978.04178.88977.20778.02178.578.66680.46581.20000000000
Ingehouden winsten 3,9643,4302,8912,2611,798.4421,542.4081,102.8881,029.032874.303860.963694.949719.672757.364631.712891.581,387.8541,742.8922,144.2762,015.9821,795.8531,662.6991,461.9461,263.6491,172.5481,053.7909811.4823.2716.9616.2524.1444.3334296.6274.7
Overige gereserveerde algehele resultaten -1,188-1,367-288-140-239.608-385.11-265.279-247.654-214.192-188.246-150.009-146.343-130.156-127.546-114.209-67.971-48.101-72.448-50.238-5.9493.78131.41628.76515.368-24.10000000000
Overige totale aandeelhoudersvermogen 5,3514,8404,7435,0742,931.4513,029.4253,147.6131,386.6361,439.3031,380.8091,416.7671,488.4631,601.3461,714.071,292.5091,427.627361.826312.521369.736173.872145.817119.318106.682115.775130.7190.5142.7131.3156.3132.6154.9153.2103.6101.2106
Totaal eigen vermogen van aandeelhouders 8,9968,2538,1988,0114,780.5774,481.4554,285.0572,409.6532,344.1552,295.5372,205.0622,214.0412,389.4722,382.843,007.3033,279.4672,135.5962,462.392,312.3112,040.9831,890.3181,735.5721,521.9491,422.5841,241.51,099.5954.1954.5873.2748.8679597.5437.6397.8380.7
Totaal eigen vermogen 9,2918,5488,4938,3065,076.0084,776.8864,580.4882,705.0842,639.5862,590.9682,500.4932,509.2062,684.6372,678.0053,302.4683,279.4672,135.5962,462.392,607.5852,041.4411,890.771,735.5721,521.9491,422.5841,241.51,099.5954.1954.5873.2748.8679597.5437.6397.8380.7
Totaal passiva en aandeelhoudersvermogen 81,66178,95389,09184,20943,310.940,833.11741,423.38828,555.23126,195.13625,672.88723,792.57625,520.1424,789.38424,698.95226,068.67831,021.9837,015.46137,918.25936,579.06129,771.68324,506.6923,823.09520,616.79118,555.08618,373.418,73414,387.913,058.912,076.910,522.49,608.88,925.87,903.76,707.76,397.5