First Horizon Corporation

NYSE:FHN

19.28 (USD) • At close May 9, 2025
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 7948979121,010857452.373556.507176.98238.51185.879231.0541.067-16.295142.6361.603-256.991-177.971-170.111462.914438454.408473.309376.451318.209232.581247.5226.4197.5179.9164.9146.3120.789.263.847.928.8
Afschrijvingen & Amortisatie 99102851176268.73373.08770.92464.67360.74356.89471.613117.97289.32182.581.73197.448131.634144.806386.194249.635425.231353.672306.966222.688167.7162.385.875.568.953.751.440.511.721.224.2
Uitgestelde Inkomstenbelasting -1744910-1814.357104121.00179.60424.1963.729-8.578-70.26636.035233.513-173.9-411.429-215.294102.73835.58641.472113.71642.248-157.8740.08281.683.545.539.333.5-2.5-1.74.4-0.3-8.7-3
Aandelen Gebaseerde Vergoedingen 593675433222.7323.17120.62717.53613.79611.35116.14416.20114.17311.9878.96900000000000000000000
Verandering in Werkkapitaal 1,0098492,6442,236-2231,28942-213.067-63.531136.2597.438-30.954-101.548-508.057-116.958-85.843,414.883-294.2681,127.899-575.027-1,328.7061,231.184-1,484.342-1,721.817117.086-678.4-606.5-849.1-241-381.3-73.7-43.420.3-21.475.4-22.9
Vorderingen 000004.54614.46-34.3527.8764.804076.0886.00749.8370000000000000000000000
Voorraden 000000000000000000000000000000000000
Crediteuren 000000.33915.1655.934-4.535-9.1240-4.301-2.386-7.945-6.741-31.14400000000000000000000
Overig Werkkapitaal 1,0098492,6442,236-2231,284.11512.375-184.649-66.872140.5797.438-102.741-105.169-549.949-110.217-54.6963,414.883-294.2681,127.899-575.027-1,328.7061,231.184-1,484.342-1,721.817117.086-678.4-606.5-849.1-241-381.3-73.7-43.420.3-21.475.4-22.9
Overige Niet-Contante Posten -676-629-1,496-2,665-538-1,017.193-564.46-205.263-156.80246.29394.246342.081425.488269.871503.6251,210.3031,352.172661.241-212.273213.974265.106138.967-66.449130.241-124.3422,179.1-3,011.260.345.123.9745.8-131.7-33.762.349.859.6
Kasstroom uit Operationele Activiteiten 1,2681,2992,311741172830234.305-28.798179.991367.163704.708431.373371.55243.973776.27784.2724,275.103113.2021,626.084498.727-318.0852,382.407-778.42-1,124.271488.0951,997.5-3,145.5-46098.8-90.1869.6-4.7120.7116.1185.686.7
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa 0-37-28-53-58-49.159-48-53.046-62.554-39.947-31.404-27.349-21.862-35.408-42.631-21.18-23.666-33.539-100.213-95.661-78.763-149.6-56.794-27.694-44.883-113.4-97.3-56.1-37.5-38.5-38.5-31.2-16.3-20-21.4-18
Netto Overnames 012002,0710-73.622-336.6340-5.087413.35253.29312.6327.89400.803-40.60823.318293.359-841.2060-1.9300000000000000
Aankoop van Beleggingen -1,538-261-3,479-4,456-4,740-630-473.205-1,554.25-1,257.962-1,066.194-751.365-1,348.526-1,157.906-1,276.125-1,954.858-287.464-777.32-573.426-4,590.153-830.539-1,920.053-2,745.032-1,768.354-945.823-1,242.842-880.3-675.4-809-1,018-414.6-882.8-1,244.3-1,768.4-1,322.8-610.3-659.6
Verkoop/verval van Beleggingen 2,0439091,4062,8394,7289926971,519.9721,181.178723.985635.316963.3781,133.061,313.8221,604.455823.3897511,500.833,644.549548.8171,714.7212,681.6541,597.4491,111.4011,534.497970.81,158.3884.3878.7721.81,042.42,051.41,123.6802.9521.6420
Overige Investeringsactiviteiten -1,563-3,22810,414-2,947-6,968-2,702.683377.827-912.084-2,329.214-131.161-1,752.5781,122.157-381.089156.8061,015.2611,927.969250.615-776.187-1,647.112-3,865.103-4,169.679-2,784.579-1,193.544-196.945-766.179-1,265.3-1,026.1-634.3-422.4-596.6-909.4-846.8135.595.6-78.8-330.3
Kasstroom uit Investeringsactiviteiten -1,058-2,6058,313-4,617-4,967-2,389.842480-1,336.042-2,468.552-518.404-1,486.679762.953-415.165166.989622.2272,443.517160.021140.996-2,399.57-5,083.692-4,453.774-2,999.487-1,421.243-59.061-519.407-1,288.2-640.5-615.1-599.2-327.9-788.3-70.9-525.6-444.3-188.9-587.9
Financieringsactiviteiten:
Schuldaflossingen 894-4064-183-1,8561,988-2,597.262,061.77-257.15-1,347.477465.047-1,163.68664.145-1,006.358-1,211.686-4,197.128-4,431.9243,001.0044,073.8411,976.7531,341.6458.364492.11144.594-918.14212.41,778.2463.6472.389.7-106-130.5260.172.3-98.384.5
Uitgifte van Gewone Aandelen 00000000000000263.2890659.65634.5557.082067.935000000000000000
Terugkoop van Gewone Aandelen -626-10-12-416-11-134.813-105-5.554-97.396-32.648-43.579-91.533-133.757-124.811-867.885-0.392-0.4150-165.572-0.488-184.224000000000000000
Uitgekeerde Dividenden -361-367-356-366-239-177-145-86.104-69.704-60.147-53.566-42.517-10.066-7.944-47.78-56.188-135.034-225.011-223.386-214.024-198.495-150.863-125.736-112.093-113.958-98.7-84.5-78.3-71.3-62.7-41-50.7-27.9-33.5-25.5-16.7
Overige Financieringsactiviteiten -3112,277-10,0114,9817,426-255.8842,086.26-202.462,740.8941,550.94657.539-174.943401.298987.632-542.321619.734-2,315.046-2,950.005-3,220.9433,892.5563,910.748267.0682,107.5541,565.3820.1-316.82,063.8738.6444.1306.7285.6214.1126216.1393.7292.6
Kasstroom uit Financieringsactiviteiten -4041,494-10,8694,0165,1761,421.116-7611,767.6522,294.165110.6681,025.441-1,472.679321.62-151.481-1,540.029-3,633.974-5,355.6-140.575521.0225,696.0864,937.564443.1572,413.7571,337.283-243.903-409.93,720.5978.7822.5215.9116.934.9362.3256.5263.3361.4
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 00000000000000000000000000.10000000000
Netto Kasstroomverandering -194188-245140381-138-46.721414.2526.731-40.342243.496-278.353278.00759.481-149.821-406.185-934.935113.623-252.4641,111.121165.705-173.923214.094154.224-275.215299.5-65.5-96.4322.1-202.1198.2-40.7-42.6-71.7260-139.8
Kaspositie aan het Einde van de Periode 1,5371,7311,5431,7881,6481,266.8931,4051,452.0461,037.7941,031.0631,071.405827.9091,106.262828.255768.774918.5951,324.782,259.7152,179.1562,431.621,320.4991,154.7941,328.7171,114.623960.3991,235.6936.11,001.61,097.9775.9958.9740.1780.9787.7859.4599.4