First Merchants Corporation

NASDAQ:FRME

36.65 (USD) • At close November 4, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 548.729248.655641.3585.201295.464176.21189.932152.386134.485166.136164.503139.903126.163123.523150.826123.072159.614101.24179.16579.30385.25391.20672.61453.44660.672.142.635.369.146.426.955.248.843.862.9
Kortetermijnbeleggingen 1,627.1121,976.6612,344.5511,919.1191,790.0251,142.195999.947696.862658.4549.543536.201513.343518.491539.37413.60700000000000000000000
Liquide middelen en kortetermijnbeleggingen -112.649248.6552,985.8512,504.322,085.4891,318.4051,189.879849.248792.885715.679700.704653.246126.163116.06150.826123.072159.614101.24179.16579.30385.25391.20672.61453.44660.672.142.635.369.146.426.955.248.843.862.9
Nettovorderingen 97.66485.0757.18753.94848.90142.48139.65726.50525.00321.0920.21718.95717.72318.67420.81823.97623.40224.34519.690.17316.8417.34612.02413.13511.39.298.66.25.65.75.976.66.6
Voorraad 14.985-451.378-734.686-652.429-364.057000000000000000000000000000000
Overige vlottende activa 751.107451.378734.686652.429364.0576,328.0446,004.9854,678.0554,308.7043,610.2813,343.5422,555.9772,881.3063,002.8483,531.6473,929.5082,967.6032,783.0362,525.7082,511.1192,435.562,082.2111,642.5361,509.5591,379.11,075.8951.5907.1620.3581.100000
Totaal vlottende activa 751.107333.7253,043.0382,558.2682,134.397,688.937,234.5215,553.8085,126.5924,347.054,064.4633,228.183,025.1923,137.5823,703.2914,076.5563,150.6192,908.6222,624.5632,590.5952,537.6532,190.7631,727.1741,576.141,4511,157.11,003.1951695.6633.132.661.155.850.469.5
Niet-vlottende activa:
Materiële vaste activa, netto 152.808117.118105.655111.062113.05593.4295.85294.43297.64877.69174.45452.74951.01352.4555.80459.64144.44542.39339.41738.25439.63938.64527.68423.86820.11715.415.310.59.59.47.675.96
Goodwill 712.002712.002545.385543.918543.918445.355445.355244243.129202.724188.948141.375141.357141.357141.35700000000000000000000
Immateriële activa 27.09935.84225.47528.97534.96224.42931.14814.86616.63516.03113.8188.1549.11412.66217.38300000000000000000000
Goodwill en immateriële activa 739.101747.844570.86572.893578.88469.784476.503258.866259.764218.755202.767149.529150.471154.019158.74165.974135.856138.638138.833141.284142.723107.21732.17721.0552.93.11.61.71.822.12.22.40.90.9
Langetermijnbeleggingen 690.6764,263.7884,524.3533,146.7872,596.0631,632.5821,560.6021,304.5051,276.9991,180.6311,095.579874.363946.4826.797563.117481.984451.167465.217434.266421.535356.797342.062240.322307.963344329.4247.4275.6201.3177.1206.2196.3209.3196.6177.1
Belastingvorderingen 15,656.377111.222012.3412.16523.66823.98339.38446.97741.9656.61430.86736.42445.62364.394-165.974-135.856-138.638-138.833-141.284-142.723-107.217-272.499-329.018-346.9-332.5-249-277.3-203.1-179.100000
Overige niet-vlottende activa 415.818-111.222-5,200.868-12.34-12.165-23.668-23.983-39.384-46.977-41.96-56.615-30.867-36.424-45.623-64.394165.974135.856138.638138.833141.284142.723107.21732.17721.0552.93.11.61.71.82-217.7-206.1-218.7-203.4-184
Totaal niet-vlottende activa 17,654.785,128.755,200.8683,830.7423,287.9982,195.7862,132.9571,657.8031,634.4111,477.0771,372.7991,076.6411,147.8841,033.266777.661707.599631.468646.248612.516601.073539.159487.92459.86144.9232320.1171712.311.5217.7206.1218.7203.4184
Totaal activa 18,405.88717,938.30615,453.14914,067.2112,457.2549,884.7169,367.4787,211.6116,761.0035,824.1275,437.2624,304.8214,173.0764,170.2424,480.9524,784.1553,782.0873,554.873,237.0793,191.6683,076.8122,678.6871,787.0351,621.0631,4741,177.21,020.1968707.9644.6626.1616.9596.6541.1522.8
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 18.9127.532.7623.2876.7545.6074.393.113.0923.2011.7711.8412.9254.2625.7118.8448.3259.3265.8744.4114.686.0195.4886.3354.63.60001.31.21.5000
Kortlopende schulden 224.036803.518373.716235.741287.75334.946455.213438.21300000226.44194.7900000081.588000026.854.23539.246.937.149.156.263
Belastingschulden 00000000000000000000000000000000000
Uitgestelde opbrengsten -18.912-795.988-370.954-232.454-280.996-329.339-450.823-435.103000000000000000000000000000
Overige kortlopende verplichtingen 10,170.34-7.53-2.762-3.287-6.754-5.607-4.39-3.11-3.092-3.201-1.771-1.841-2.925-4.262-5.711-8.844-8.325-9.326-5.874-4.411-4.680-5.488-6.335-4.6-3.60000-48.1-38.6-49.1-56.2-63
Totaal kortlopende verplichtingen 10,394.3767.532.7623.2876.7545.6074.393.113.0923.2011.7711.8412.925226.44194.798.8448.3259.3265.8744.4114.6887.6075.4886.3354.63.626.854.23540.548.138.649.156.263
Langlopende verplichtingen:
Langetermijnschulden 810.321974.972452.673507.81489.757453.449553.726427.368363.498272.074248.947206.399333.069309.124324.539496.043568.774341.864508.236440.891383.17275.339174.404163.581189.9111.420.700000000
Uitgestelde opbrengsten niet-vlottend 00000000000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 00000000000000000000000000000000000
Overige niet-vlottende verplichtingen 4,953.477-967.442-452.673-507.81-489.757000000000000000000000000000000
Totaal niet-vlottende verplichtingen 5,763.7987.53452.673507.81489.757453.449553.726427.368363.498272.074248.947206.399333.069309.124324.539496.043568.774341.864508.236440.891383.17275.339174.404163.581189.9111.420.700000000
Totaal passiva 16,158.17415,903.53613,540.57812,191.56510,670.8178,476.4568,064.0156,309.9545,910.4945,097.34,802.3393,752.5853,658.6093,716.444,017.1674,388.2523,442.1513,227.5452,923.6832,877.0652,772.8472,417.5581,607.9071,4651,347.71,045.7898.1855.3627.4573.6557.3553538.1489.8474.6
Eigen vermogen:
Preferente aandelen 25.12525.1250.1250.1250.1250.1250.1250.1250.1250.1250.12590.90890.90868.005112.4980.12500000000.2974.20000000000
Gewone aandelen 7.4287.3966.6766.746.9216.1696.1455.1145.0834.7094.493.5873.573.1972.6532.6472.252.3052.3022.3222.3142.041.5841.4511.40000000000
Ingehouden winsten 1,154.6241,012.774864.839788.578696.52583.336465.231400.981342.133292.403256.328206.397168.717160.254150.86206.496202.75187.965174.717161.459149.096138.11124.304113.244103.6103.195.48862.856.951.345.840.936.733
Overige gereserveerde algehele resultaten -175.97-239.15155.11374.83627.874-21.422-2.908-13.581-1.362-1.63-6.41-5.499-3.602-10.157-8.826-15.664-2.865-9.405-9.305-0.042.2454.4762.598-0.297-4.201.511.2-2.500000
Overige totale aandeelhoudersvermogen 1,236.5061,228.626985.8181,005.3661,054.997840.052834.87509.018504.53431.22380.39256.843254.874232.503206.6202.299137.801146.46145.682150.862150.31116.50350.64241.36821.328.425.123.716.516.617.518.117.614.615.2
Totaal eigen vermogen van aandeelhouders 2,247.7132,034.771,912.5711,875.6451,786.4371,408.261,303.463901.657850.509726.827634.923552.236514.467453.802463.785395.903339.936327.325313.396314.603303.965261.129179.128156.063126.3131.5122112.780.57168.863.958.551.348.2
Totaal eigen vermogen 2,247.7132,034.771,912.5711,875.6451,786.4371,408.261,303.463901.657850.509726.827634.923552.236514.467453.802463.785395.903339.936327.325313.396314.603303.965261.129179.128156.063126.3131.5122112.780.57168.863.958.551.348.2
Totaal passiva en aandeelhoudersvermogen 18,405.88717,938.30615,453.14914,067.2112,457.2549,884.7169,367.4787,211.6116,761.0035,824.1275,437.2624,304.8214,173.0764,170.2424,480.9524,784.1553,782.0873,554.873,237.0793,191.6683,076.8122,678.6871,787.0351,621.0631,4741,177.21,020.1968707.9644.6626.1616.9596.6541.1522.8