Hancock Whitney Corporation

NASDAQ:HWC

59.79 (USD) • At close November 13, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 388.588524.089463.215-45.174327.38323.77215.632149.296131.461175.722163.356151.74276.75952.20674.77565.36673.892101.80254.03261.70454.95551.04339.25536.82431.7129.830.631.62721.822.119.212.486.6
Afschrijvingen & Amortisatie 46.27645.61545.77850.04451.74648.58250.55948.14452.94757.10861.69864.92341.15616.4116.96617.40316.0371.81711.64216.65222.3969.54112.79112.0297.6947.6776.863.83.93.73.42.9
Uitgestelde Inkomstenbelasting 13.986-22.16610.376-20.71647.145.21449.831-7.83916.68523.53740.9232.46526.577-11.612-6.953-5.0127.5624.599-18.401-3.5290.151.6261.463-0.284-2.039-0.4-0.4-0.8-0.8-0.50.1-0.40.4-0.5-0.6
Aandelen Gebaseerde Vergoedingen 24.65223.48922.44221.10720.90219.79317.63314.26612.94413.95813.07911.0197.1964.0773.2542.8061.155000000000000000000
Verandering in Werkkapitaal -96.11302.0880.141-283.485-68.24-19.072-10.5582.622-105.7288.0337.592-42.64862.34750.028-83.772-16.586-48.675-34.078-2.92370.8431.052-1.292-1.8921.2525.096-2-0.3-0.30.8-1.72.6-0.1-3.4-3.42.1
Vorderingen 00000000000000000000000000000000000
Voorraden 00000000000000000000000000000000000
Crediteuren 06.83820.8694.687-1.753-9.3972.3077.137-8.107-15.23529.553-53.703-99.986-0.816-3.27600000000000000000000
Overig Werkkapitaal -96.11295.24259.272-288.172-66.487-9.675-12.865-4.515-97.62123.2658.03911.055162.33350.844-80.49600000000000000000000
Overige Niet-Contante Posten 117.857-31.086-36.262633.415-26.93930.89787.988134.248124.03674.073156.887225.53159.01183.68913.87230.3914.254-19.29740.67212.9349.15123.3772.15110.2683.854-1.47.65.55.31.2-2.4159.65.13.5
Kasstroom uit Operationele Activiteiten 495.249842.021585.69355.191351.949449.184411.085340.737232.345352.428473.532443.032273.046194.79818.14294.36854.22374.92170.496153.18386.03784.29353.7560.08546.24833.444.24339.126.8263721.512.314.4
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -25.025-29.145-23.541-37.869-42.716-50.664-20.297-19.272-23.804-20.449-32.029-42.979-72.975-21.899-12.305-21.468-69.77-71.097-14.895-9.25-9.167-10.861-12.451-5.133-8.689-12.7-5.2-5-3.5-3.9-3.7-2.9-3.6-2.3-1.5
Netto Overnames 00693.443-967.17826.947219.417476.609-1,146.03523.80420.44932.02942.979-74.7360-353.64821.46869.7771.097-3.922-29.3779.16710.861-0.0525.1338.68912.75.253.53.93.72.93.62.31.5
Aankoop van Beleggingen -1,354.033-1,520.02-5,362.21-3,616.395-1,194.431-1,005.746-1,605.736-1,635.53-2,072.955-513.119-1,556.257-846.149-1,732.757-1,819.694-2,007.985-1,561.241-1,038.175-1,169.592-1,623.433-891.869-1,246.435-804.446-805.038-175.513-410.207-475.1-475.2-419.7-460.3-344.7-256.3-522.6-483.1-385.9-206.2
Verkoop/verval van Beleggingen 1,972.8694,321.1721,388.351,431.8441,261.8651,165.7631,276.8951,494.3571,627.573727.9961,095.9791,561.861,341.591,873.1022,249.2661,152.7531,375.8851,434.096707.504734.1271,458.757757.517588.313293.071562.017344.1292.9544.6402.8334.2245.2385.3389.1362.5162.7
Overige Investeringsactiviteiten -889.022-2,109.64979.37412.126-510.687-1,175.672-1,022.792-14.551-1,831.049-2,125.336455.781-733.444237.855302.866378.367-702.607-443.167-362.121-237.023-315.47-385.12-239.02413.792-171.823-119.66-100.9-14.6-113.3-34.4-12.2-101.1-39.4-16.652.4-34.9
Kasstroom uit Investeringsactiviteiten -295.211662.358-3,224.584-3,177.472-459.022-846.902-895.321-1,321.031-2,276.431-1,910.459-4.497-17.733-301.023334.375253.695-1,111.095-105.457-97.617-1,171.769-511.839-172.798-285.953-215.437-54.26632.15-231.9-196.911.6-91.9-22.7-112.2-176.7-110.629-78.4
Financieringsactiviteiten:
Schuldaflossingen 00000000000000000000000000000000000
Uitgifte van Gewone Aandelen 3.8153.8042,788.44812.11452.579586.74915.312261.4460000213.9940167.37200000000000000000000
Terugkoop van Gewone Aandelen -5.681-58.892-21.796-12.716-185-8.267-11.881-3.178-95.613-47.618-1150209.56901,292.32500000000000000000000
Uitgekeerde Dividenden -104.697-94.458-95.927-95.605-94.871-88.838-83.266-76.551-77.013-80.392-81.212-82.69-70.617-35.721-32.011-30.453-30.957-29.311-23.416-18.977-16.207-15.375-13.522-13.611-11.056-10.9-11-9.2-8.7-7-6.5-4.8-3.5-3.2-3.1
Overige Financieringsactiviteiten -98.598-1,191.095-3.4923,013.002-2.681-5.286797.5881,140.0932,322.0641,729.416-337.596-139.9780.104-538.1840.481,064.49574.69221.0251,240.003355.50393.856240.599230.208-18.03-71.433258.8158.4-49.266.224.983.9164.1122.4-20.580.4
Kasstroom uit Financieringsactiviteiten -203.295-1,341.1212,513.7892,916.483155.805394.142498.4951,045.9311,991.5051,566.046-569.086-414.755326.237-594.2-266.8981,033.88743.735-58.2941,216.58336.37177.057224.638196.114-32.178-82.953246.6146.3-59.456.616.677.4159.3100.4-24.469.4
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0000000000000000000000000198.5152.7-54.652.8-4.186.2139.789.1-41.364
Netto Kasstroomverandering -3.257163.258-125.10594.20248.732-3.57614.25968.815-52.5818.015-100.05110.544298.26-65.0274.93917.16-7.499-80.99115.307-22.285-9.70422.97834.428-26.359-4.555246.6146.3-59.456.616.677.4159.3100.4-24.469.4
Kaspositie aan het Einde van de Periode 561.202564.459401.201526.306432.104383.372386.948372.689303.874356.455348.44448.491437.947139.687204.714199.775182.615190.114271.104155.797178.082187.786164.808130.38156.738359.7265.864.9177.1110.8176.9239.3169.127.5115.9