First Merchants Corporation

NASDAQ:FRME

38.73 (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 223.786222.089205.531148.6164.46159.13996.0781.05165.38460.16244.5345.12225.2526.909-40.76320.63831.63930.19830.23929.41127.57127.83622.20919.9419.115.414.413.19.99.28.57.86.865.7
Afschrijvingen & Amortisatie 11.71111.81510.70111.0099.3838.8427.9677.1616.2626.0074.674.4725.1585.7025.9624.6134.3315.3825.075.0644.7697.294.6744.1663.12.21.91.91.92.41.80.80.60.60.5
Uitgestelde Inkomstenbelasting 6.5999.0656.983-9.7354.9653.52415.5238.6114.44423.05113.93915.898.256-1.81-10.858000000-0.5030.616-0.767-1.1000.40.3-0.1-0.5-0.6-0.4-0.5-0.1
Aandelen Gebaseerde Vergoedingen 5.1584.6524.7624.64.1153.5922.8272.62.272.1771.7731.4921.3151.752.29400000000000000000000
Verandering in Werkkapitaal 19.336-22.202-8.637-13.554-8.087-6.554-10.713-1.761-2.9950.787109.1330.433-0.3860.695-61.8123.31.62-1.706-0.909-0.747-0.327-0.5550.7870.6540-0.2-0.10.410.1-0.10.7000.1
Vorderingen -12.594-20.695-3.239-5.047-4.659-3.751-6.838-1.779-2.833-0.545-0.5351.88400000000000000000000000
Voorraden 23.7850000000000000000000000000000000000
Crediteuren 11.3823.703-0.525-3.4671.091.2170.0310.018-0.1621.332-0.364-1.451-1.337-1.449-3.13300000000000000000000
Overig Werkkapitaal -3.237-5.21-4.873-5.04-4.518-4.02-3.906-3.612-3.0891.332110.03200.9512.144-58.67900000000000000000000
Overige Niet-Contante Posten -6.39642.626-11.95863.8913.57111.69214.8289.198-18.705-16.3449.0862.8645.88967.805122.78710.46212.0242.40312.0946.22333.656-15.6272.7265.8974.6-1.20.31.1-1.40.921.22.51.71.4
Kasstroom uit Operationele Activiteiten 260.194268.045207.382204.811178.407180.235126.502106.8656.6675.84183.13170.26985.48481.05117.6139.01349.61436.27746.49439.95165.66917.69531.21229.78525.716.216.516.811.812.511.310.79.57.87.6
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa 00-64.2710-312.4360-432.0640-325.37-146.03453.892-108.628000000000-4.854-2.438-4.409-3.7-4.4-2.2-2.1-2.1-1.2-2.6-1.4-1.1-0.5-0.7
Netto Overnames 0137.78-2.933010.207054.53607.219-10.08410.99229.1130006.934-0.37-0.059-0.213-0.201-7.793-12.5325.2614.4093.74.42.22.12.11.22.61.41.10.50.7
Aankoop van Beleggingen -38.505-743.696-2,087.989-1,312.212-1,100.176-400.749-509.265-392.267-287.436-253.924-409.636-143.817-283.388-491.776-170.101-130.307-79.561-100.846-98.203-214.393-260.467-183.226-35.092-12.149-152.3-185-71.5-136.4-103.6-55-120.3-97.2-103.5-126.1-97.4
Verkoop/verval van Beleggingen 551.049963.408687.955827.237401.695298.529237.231360.194245.352264.334197.029232.609181.984224.31796.454217.20295.70671.87973.954148.63232.248189.943113.07470.246147.3104.8100.3145.384.877111109.4105.8108.2101.3
Overige Investeringsactiviteiten -858.33-803.933-2.208-1,067.05-5.689-473.35614.232-419.77219.84419.7179.5612.60973.241377.312332.136-244.792-213.351-268.974-40.728-97.862-67.753-89.846-53.335-90.008-114.1-47.4-75.1-82.4-20.5-26.1-29.5-29.3-6.7-19.9-11.8
Kasstroom uit Investeringsactiviteiten -345.786-446.441-1,469.446-1,552.025-1,006.399-575.576-635.33-451.845-340.391-125.991-138.16211.886-28.163109.853258.489-150.963-197.576-298-65.19-163.826-103.765-100.51527.47-31.911-119.1-127.6-46.3-73.5-39.3-4.1-38.8-17.1-4.4-37.8-7.9
Financieringsactiviteiten:
Schuldaflossingen -285.169-1,332.889-96.204-621.548-643.169-1,677.86-1,024.166-982.449-370.813-789.563-163.838-271.005-252.509-65.247-294.715-1,048.161-331.016-249.927-123.657-124.763-11.452-32.047-50.613-181.51-288.10000000000
Uitgifte van Gewone Aandelen 4.0442.0561.881.7261.5311.2110.9910.8350.6610.5230.3250.2020.7580.6731.35200000000000000000000
Terugkoop van Gewone Aandelen 00-25.444-56.892-20.721-1.902-1.283-1.98-1.64-1.067-91.274-0.235-0.126-0.076-0.19300000000000000000000
Uitgekeerde Dividenden -81.936-74.154-61.23-56.542-51.276-41.66-31.82-22.203-15.654-10.694-7.992-7.442-4.729-5.92-14.254-16.775-16.854-16.951-16.981-17.048-16.557-13.995-11.127-10.331-9.8-7.8-6.9-5.4-3.9-3.6-3.2-2.9-2.6-2.2-2
Overige Financieringsactiviteiten 438.7081,538.8311,417.3122,096.1651,579.5812,099.8941,592.0841,376.539654.731860.134225.784224.473214.29-241.17460.3721,192.689540.558548.141159.791226.11956.594144.87238.623177.137394.9148.243.919.353.9153.515.83.514.528.2
Kasstroom uit Financieringsactiviteiten 75.647133.8441,236.3141,362.909865.946379.683535.806370.742267.28559.333-36.995-54.007-42.316-311.744-247.438127.753192.688281.26319.15384.30828.58598.83-23.117-14.70497140.43713.95011.40.312.90.912.326.2
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 27.43100000000000000000000000-0.1111.429.856.727.5-8.427.56.4-5.1300.3
Netto Kasstroomverandering -9.945-44.552-25.7515.69537.954-15.65826.97825.757-16.4469.1827.97428.14815.005-120.8428.66115.80344.72619.540.457-39.567-9.51116.0135.565-16.833.5140.43713.95011.40.312.90.912.326.2
Kaspositie aan het Einde van de Periode 112.649122.594167.146192.896177.201139.247154.905127.927102.17118.616109.434101.4673.31258.307179.147150.486134.68389.95770.41769.96109.527119.038103.02867.46384.3182.67291.896.4385460.242.271.259.2