Laurentian Bank of Canada

TSX:LB.TO

27.17 (CAD) • At close November 12, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,432.1772,060.048849.081870.156803.887903.936459.943345.364569.457422.951356.069694.909486.933281.808360.9297.191509.03282.071317.528328.432722.924453.671184.347251.034113376.6332.2275.7
Kortetermijnbeleggingen 50.39186.622259.08274.579312.8611,997.5822,093.4791,963.8342,368.7571,874.0231,679.0673,799.7631,391.945788.0731,218.6351,414.1371,007.946210.210000000000
Liquide middelen en kortetermijnbeleggingen 1,482.5672,246.671,108.1611,144.7351,116.7482,901.5182,553.4222,309.1982,938.2142,296.9742,035.1364,494.6721,878.8781,069.8811,579.5351,711.3281,516.976492.281317.528328.432722.924453.671184.347251.034113376.6332.2275.7
Nettovorderingen 283.416204.076468.838117.856170.059269.907312.992291.857179.701182.545249.496305.067147.883133.707168.21102.467100.608114.844210.564197.816225.74255.461207.565180.618165.17972.993.2
Voorraad -5,770.249-5,970.461-4,068.246-4,064.108-3,438.85200000000000000000000000
Overige vlottende activa 5,770.2495,970.4614,068.2464,064.1083,438.8520000000000000000017,063.45714,121.44813,189.212,684.412,843.211,945.6
Totaal vlottende activa 1,765.9832,450.7461,576.9991,262.5911,286.8073,171.4252,866.4142,601.0553,117.9152,479.5192,284.6324,799.7392,026.7611,203.5881,747.7451,813.7951,617.584607.125528.092526.248948.664709.13217,455.36914,553.113,467.313,14013,248.312,314.5
Niet-vlottende activa:
Materiële vaste activa, netto 119.678134.386106.276209.23589.34896.34160.83476.07945.56268.7573.26171.87164.75258.53658.163143.489137.691111.29193.79394.49114.479160.597178.766164.914157.1146.4135.9116.5
Goodwill 84.75583.7178.429117.286116.649116.617118.155.81234.85364.07764.07764.07753.7953.7953.7953.7953.7953.790000000000
Immateriële activa 282.831294.438278.295380.259391.162367.345293.422150.49147.135207.188197.594159.973123.357112.369103.38612.89614.11415.3330000000000
Goodwill en immateriële activa 367.586378.148356.724497.545507.811483.962411.522206.302181.988271.265261.671224.05177.147166.159157.17666.68667.90469.12370.33772.92654.02954.02961.68923.30419.416.837.941.2
Langetermijnbeleggingen 6,016.4276,184.4616,499.1935,799.2166,299.9366,061.1445,586.0145,660.4324,487.3574,880.464,480.5256,142.9614,290.0444,258.8054,432.1833,515.5392,674.3793,242.282,940.4063,002.4753,070.8763,050.0572,321.2611,388.461,935.71,456.61,584.51,503.5
Belastingvorderingen 119.08571.53358.49262.21637.04525.43738.70236.49500000000000000000000
Overige niet-vlottende activa -119.085-71.533-58.492-62.216-37.045-25.437-38.702-36.495-4,714.907-5,220.475-4,815.457-6,438.882-4,531.943-4,483.5-4,647.522-3,725.714-2,879.974-3,422.694-3,104.536-3,169.891-3,239.384-3,264.683-2,321.261-1,388.46-1,935.7-1,456.6-1,584.5-1,503.5
Totaal niet-vlottende activa 6,503.6916,696.9956,962.1936,505.9966,897.0956,641.4476,058.375,942.8134,714.9075,220.4754,815.4576,438.8824,531.9434,483.54,647.5223,725.7142,879.9743,422.6943,104.5363,169.8913,239.3843,264.683240.455188.218176.5163.2173.8157.7
Totaal activa 49,893.45350,716.75845,077.02444,167.6644,353.12745,894.68346,682.65843,006.3439,659.50434,848.68133,925.6834,936.82624,490.45123,800.00322,164.7819,558.55217,786.84617,295.95916,506.98416,607.47616,737.76818,595.61617,695.82414,741.31813,643.813,303.213,422.112,472.2
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,081.662946.6491,319.2191,126.2111,008.699931.413916.718808.457641.487686.237703.804747.593618.352610.953550.08565.564542.189512.57411.503456.589467.674467.361464.324373.844283.5262.6271.7299.5
Kortlopende schulden 4,744.5744,335.194,252.7343,823.7122,558.8832,515.8232,678.6293,959.36700001,471.2541,362.3360819.236868.6750000000000121.2
Belastingschulden 00000000000043.48241.5245.1710000000000000
Uitgestelde opbrengsten -3,662.912-3,388.541-2,933.515-2,697.501-1,550.184-1,584.41-1,761.911-3,150.9100000000000000000000
Overige kortlopende verplichtingen -2,163.324-1,893.298-2,638.438-2,252.422-2,017.398-1,862.826-1,833.436-1,616.914-1,282.974-1,372.474-1,407.608-1,495.186-2,751.44-2,625.762-1,145.331-1,950.364-1,953.053-1,025.14-823.006-913.178-935.348-934.722-928.648-747.688-567-525.2-543.4-720.2
Totaal kortlopende verplichtingen 1,081.662946.6491,319.2191,126.2111,008.699931.413916.718808.457641.487686.237703.804747.5932,089.6061,973.289550.081,384.81,410.864512.57411.503456.589467.674467.361464.324373.844283.5262.6271.7420.7
Langlopende verplichtingen:
Langetermijnschulden 15,230.4315,044.55614,032.43113,179.08312,362.43411,736.51512,379.3487,444.2785,943.2435,311.3715,420.1876,480.691242.512150150150150150150250.525400400400346.833284.6184.6234.6234.6
Uitgestelde opbrengsten niet-vlottend 00000-9,892.77-10,568.024-5,860.119-4,668.563-3,938.907-4,022.424-5,001.63303,769.03505.18510.36915.5540000000000
Uitgestelde belastingverplichtingen niet-vlottend 72.34454.25548.24455.33353.10219.08122.11232.7558.2940.019.84516.128027.54302,614.4152,661.359859.5860000000000
Overige niet-vlottende verplichtingen -15,302.774-14,152.162-14,080.675-13,234.416-12,415.536-931.413-916.718-808.457-641.487-686.237-703.804-747.5931,847.094-1,973.289400.08-1,384.8-1,410.864-512.57261.503206.06467.67467.361000000
Totaal niet-vlottende verplichtingen 15,302.774946.64914,080.67513,234.41612,415.536931.413916.718808.457641.487686.237703.804747.5932,089.6061,973.289550.081,384.81,410.864512.57411.503456.589467.674467.361400346.833284.6184.6234.6234.6
Totaal passiva 47,034.63347,935.65542,436.15441,556.41941,785.46643,398.48144,352.24841,031.51338,072.47733,304.07132,438.68733,395.69723,155.75922,560.58820,993.55418,475.11716,782.16516,349.53915,593.74415,720.72415,822.62817,726.1416,873.40814,079.14613,030.412,713.812,861.111,940.9
Eigen vermogen:
Preferente aandelen 122.071122.071122.071244.038244.038244.038341.6341.6219.633219.633205.204303.249210210210210210210210210200200.4160.4160.4160.4160.4160.4160.4
Gewone aandelen 1,177.8271,167.5491,172.7221,159.4881,139.1931,115.416953.536696.493466.336465.854446.496428.526259.492259.363259.208257.462256.445251.1580000000000
Ingehouden winsten 1,406.5151,322.3811,195.2641,152.9731,161.6681,152.471,035.77924.861886.656848.905829.678774.899818.207741.911665.538597.147537.359485.334454.124248.593426.5375.74385.093334.73285.9262.2293.4263.7
Overige gereserveerde algehele resultaten 22.86842.04523.53452.21520.947-15.99-0.49611.87314.36610.1275.52434.22846.76627.89836.27118.8260.87700000000000
Overige totale aandeelhoudersvermogen 129.539127.057127.2792.5271.8150.268000.0360.0910.0910.2270.2270.2430.20900-0.072249.116428.159246.813246.23234.24167.042167.1166.8107.2107.2
Totaal eigen vermogen van aandeelhouders 2,858.822,781.1032,640.872,611.2412,567.6612,496.2022,330.411,974.8271,587.0271,544.611,486.9931,541.1291,334.6921,239.4151,171.2261,083.4351,004.681946.42913.24886.752873.313822.37779.733662.172613.4589.4561531.3
Totaal eigen vermogen 2,858.822,781.1032,640.872,611.2412,567.6612,496.2022,330.411,974.8271,587.0271,544.611,486.9931,541.1291,334.6921,239.4151,171.2261,083.4351,004.681946.42913.24886.752915.14869.476822.416662.172613.4589.4561531.3
Totaal passiva en aandeelhoudersvermogen 49,893.45350,716.75845,077.02444,167.6644,353.12745,894.68346,682.65843,006.3439,659.50434,848.68133,925.6834,936.82624,490.45123,800.00322,164.7819,558.55217,786.84617,295.95916,506.98416,607.47616,737.76818,595.61617,695.82414,741.31813,643.813,303.213,422.112,472.2