F.N.B. Corporation

NYSE:FNB

14.59 (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 485439405286387373199.204170.891159.649144.05117.804110.4187.04774.65241.11135.59569.67867.64955.25861.79558.78963.33544.57242.839.331.924.318.418.113.510.56.8109.1
Afschrijvingen & Amortisatie 787310-34510988.79760.50343.94940.11970.75931.82722.49627.93425.85820.9713.43314.46715.31514.6231.97420.23213.91812.611.38.66.94.14.76.27.76.23.93.3
Uitgestelde Inkomstenbelasting -61115-183333128.16113.4370.52241.39913.96528.8657.063-0.05-9.463-10.9983.080.9555.881-2.751-2.559-10.863-6.931-1-9.1-4.6-1.3-0.5-0.5-1.3-1.60.10-0.3
Aandelen Gebaseerde Vergoedingen 000000874.4613.5845.0633.7580.0610.1990.158-0.857-0.635-0.6230000000000000000
Verandering in Werkkapitaal -3-27145-14-9-27.365-10.737-10.325228.108118.354306.871107.888-3.086-4.604258.548-7.1541.137-7.761-5.5490.176-2.80.3280.31.21-0.81.70.30.70.7-4.53.3-1.5
Vorderingen -34-421419-8-6-18.143-5.214-4.688-2.211-1.675-1.5690000000000000000000000
Voorraden 00000000000-13.4770000000000000000000000
Crediteuren 3821-3-8171.978-0.150.76-0.875-2.173-3.925-1.602-2.085-3.7820000000000000000000
Overig Werkkapitaal -7-63-6-7-10-11.2-5.373-6.397231.194122.202325.842109.49-1.001-0.8220000000000000000000
Overige Niet-Contante Posten -265700138-233-21166-147.82560.42729.713-4.14366.52866.44365.04463.84962.74673.67921.42334.167-4.67539.88522.313-13.417-6.1213.229.4-58.819.411.44.7-16.410.47.82.11
Kasstroom uit Operationele Activiteiten 4231,218530113259611278.906292.708223.48446.819386.084544.03289.599163.498115.806376.93799.825117.75274.328105.62499.85148.10438.37455.470.4-23.347.33426.81.425.312.819.311.3
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -88-95-58-41-46-35-56.874-59.327-9.723-20.238-14.882-12.78-17.115-9.81-7.997-14.194-2.761-4.222-5.677-1.106-15.543-29.687-19.311-13.4-18.1-24.6-18.5-7.4-2.3-2.2-2.4-4.6-1.7-2.5
Netto Overnames -18118800-1,165134196.964245.762144.62959.98141.637203.53823.374-312.5640.04757.4122.761-17.12312.5712.65-150.12629.68719.31113.418.124.618.57.42.32.22.44.61.72.5
Aankoop van Beleggingen -1,198-2,080-3,131-2,661-1,149-1,587-2,327.479-2,129.634-887.498-1,305.379-748.358-1,450.999-673.326-868.202-709.678-648.679-352.878-69.679-770.547-461.342-1,176.149-572.573-181.616-134.5-168.9-231.4-261.6-89.3-122.9-105.2-126.9-365.1-117.8-150.3
Verkoop/verval van Beleggingen 1,4671,7632,4782,9471,2389621,808.5841,516.233595.949698.047670.768880.469795.499679.642538.16373.538357.421232.794879.669307.7391,025.287672.118275.043106.3278.4300.1243.3171.9127.2154.7193.7221.1112.1109.4
Overige Investeringsactiviteiten -2,261-2,831558-2,067-9-1,394-1,150.605-832.68-986.023-1,170.666-693.575-413.731-412.4620.325-108.625-267.478-109.89-226.158-19.879-11.666-348.457-451.024-141.875-180.4-411-217.3-232.4-104-31-25.5-7293-47.6-19.4
Kasstroom uit Investeringsactiviteiten -2,261-3,055-153-1,822-1,131-1,920-1,529.41-1,259.646-1,142.666-1,738.256-644.41-793.503-284.03-510.609-288.093-499.401-105.347-84.38896.137-163.725-664.988-351.479-48.448-208.6-301.5-148.6-250.7-21.4-26.724-5.2-51-53.3-60.3
Financieringsactiviteiten:
Schuldaflossingen -352-231-438-574-239-77-199.318-173.477-34.968-96.906-247.988-197.568-166.213-259.378-205.376-121.252-268.952-81.484-103.788-243.969-294.229-33.123-21.315-50.9-23.2-19.6-29.9-14.5-7.5-11.1-32.8-60.1-29.5-30.8
Uitgifte van Gewone Aandelen 2,30202,3623,253121411.18118.47212.73112.85762.0928.89571.0536.723228.3038.0457.1541.52920.18927.05200000000000000
Terugkoop van Gewone Aandelen -36-43-43-380001,112.1291,235.6731,535.756489.079535.497227.72476.241-100352.086-9.175-9.649-10.926-21.10100000000000000
Uitgekeerde Dividenden -182-179-164-165-165-165-150.659-109.711-92.552-89.572-71.246-67.646-60.686-55.255-52.375-78.283-57.45-55.362-52.336-43.476-42.872-37.516-19.251-16-16.5-12.7-9.6-6.5-4-3.1-3-2.5-1.9-1.5
Overige Financieringsactiviteiten 847116171,3751,5461,697.3361.8130.0282.7141.3260.386-0.061-0.199437.6740.857341.818102.367.161335.274860.26374.03559.056190.7307.2225.3223.318.910.7-10.818.4121.664.576.6
Kasstroom uit Financieringsactiviteiten 1,740181,7332,4939831,3181,358.54849.2261,120.9121,364.849233.263279.56471.813168.132308.226161.45313.395-42.606-139.753.78523.159303.39618.49123.8267.5193183.8-2.1-0.8-25-17.45933.144.3
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 5210000000000000000000000000203.400-25.4-20.138.23449
Netto Kasstroomverandering -98-1,8192,1107841119108.036-117.712201.72673.412-25.06330.09177.382-178.979135.93938.9897.873-9.24230.765-4.321-41.9780.0218.416-29.436.421.1183.810.5-0.7-25-17.45933.144.3
Kaspositie aan het Einde van de Periode 1,5761,6743,4931,383599488479.443371.407489.119287.393213.981239.044208.953131.571305.163169.224130.235122.362131.604100.839204.824246.802155.946141.8171.2128.9291.370.359.8354095.670.585.7