Laurentian Bank of Canada

TSX:LB.TO

28.72 (CAD) • At close December 27, 2024
Overview | Financials

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

20242023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996
Operationele Activiteiten:
Nettowinst -5.499181.087226.58357.069114.085172.71224.646206.461151.91102.47140.365124.68140.508127.489122.941113.133102.53194.54570.33265.28247.77191.86744.34490.70581.6655.768.36054.2
Afschrijvingen & Amortisatie 57.69359.97752.48461.51765.64846.59442.02736.50538.56952.78255.61654.93947.03241.02237.20633.59931.09128.61227.19329.70735.75543.14240.07543.09234.83230.927.125.821.8
Uitgestelde Inkomstenbelasting -74.268-18.631-6.49-22.057-17.88114.1729.102-3.864-6.441-9.0772.6815.73111.45421.09524.3428.94329.34223.9598.0369.869-3.30415.42510.84934.43213.1488.4-10.714.75.6
Aandelen Gebaseerde Vergoedingen 002.232.389-6.97518.709-6.98818.9274.41918.13411.5849.4743.7870000000000000000
Verandering in Werkkapitaal -41.396-83.43652.973-71.30418.628-479.706-619.67804.882979.496-268.523389.28-1,393.455-520.555-715.47642.729-354.763-82.888279.053-526.194-94.8766.93154.9726.78245.719101.512-0.8-12.5-34.2-34
Vorderingen 00-70.8715.13834.648-18.12-9.049-17.272-5.5045.276-3.7424.303-2.362.136-1.216-12.793-7.01210.8131.6050000000000
Voorraden 0001,311.453636.7122,996.458-112.9-1,497.095767.523-2,724.152-442.195-1,081.258-1,322.0530000000000000000
Crediteuren 0022.306-108.94-13.46929.38945.17523.03915.747-54.394-13.424-99.98237.881-13.32933.745-31.2874.7046.74840.2240000000000
Overig Werkkapitaal -41.396-83.43701.538-1,278.955-639.263-3,487.433-542.8962,296.21201.732,504.747848.639-236.518765.977-704.28310.2-310.683-80.58261.492-568.0230000000000
Overige Niet-Contante Posten 262.25465.044-30.862-103.321401.897-68.269-85.532-21.625224.835-173.4164.90233.952-263.5255.3347.19713.72847.31815.29361.309-40.263163.8914.403-318.494-163.315167.579-2.3-37.229.628.8
Kasstroom uit Operationele Activiteiten 198.784204.047896.888134.683698.677-270.099-397.3381,050.521,446.223-196.891622.868-1,146.128-559.646-520.518325.697-148.087134.873467.343-330.68-39.983222.665133.961-224.95141.106387.921-144.3164.474.576.4
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -37.022-38.698-63.049-40.804-41.201-68.615-160.971-101.918-43.549-14.619-64.49-96.7-77.321-58.226-46.565-38.193-37.659-54.481-43.002-29.165-18.017-11.229-33.595-39.773-36.368-31-34.4-39.4-53.9
Netto Overnames 0000000.233-1,163.616-996.5000-445.03400029.6321.27-0.1400-28.42730.882-652.052-258.4850000
Aankoop van Beleggingen -3,013.319-3,577.104-4,389.115-3,473.471-3,739.307-3,681.125-5,126.274-4,893.901-2,536.444-2,243.392-3,675.756-2,540.574-3,680.937-1,925.078-3,614.58-6,164.858-3,779.365-6,888.907-12,881.4350000000000
Verkoop/verval van Beleggingen 3,102.1793,720.6364,614.5023,460.3723,406.5423,940.7995,186.9654,694.3732,084.1142,354.8283,116.4294,478.7122,917.8522,565.7363,920.825,576.0442,915.9267,224.5913,168.6690000000000
Overige Investeringsactiviteiten -113.287560.394-921.37124.589-225.908156.706548.33899.23228.426-582.321109.478452.588820.087-603.516-1,987.989-1,525.763-845.222-1,125.799-651.474158.051-29.79-65.482-466.227-861.382902.966-80.426.3-836.1229.4
Kasstroom uit Investeringsactiviteiten -61.449665.228-759.033-29.314-599.874347.765448.291-1,365.83-1,463.953-485.504-514.3392,294.026-465.353-21.084-1,728.314-2,152.77-1,716.688-843.327-407.382128.886-47.807-105.138-468.94-1,553.207608.113-111.4-8.1-875.5175.5
Financieringsactiviteiten:
Schuldaflossingen -29.124195.291-31.406483.437-18.55343.060148.306-21.4490-110.866-1,080.9131,388.0891,372.61682.928235.234157.67-379.7320-100.525-149.7230431.724311.061-1,017.115-183.9213.91,547-82
Uitgifte van Gewone Aandelen 0.0130.6641.6460.0481.5910.011139.122230.481215.6330.387122.1431.056273.6470.1290.1551.7461.0175.2871.5251.04000000000
Terugkoop van Gewone Aandelen 00-17.214-12500-100000-110-100-64000000-0.59000000000
Uitgekeerde Dividenden -85.473-83.079-92.718-81.021-106.291-102.434-88.722-75.215-55.209-73.025-60.803-54.514-59.98-51.193-46.568-44.569-42.811-39.44-39.122-39.317-42.514-42.816-41.912-37.628-32.877-31.9-31.7-30.3-27.7
Overige Financieringsactiviteiten 0.103-1,120.475-1.015-1,229.969-1,732.401-2,397.028-1,017.9420-106.584738.228702.155-40.081-469.775401.0211,375.6292,115.0461,455.104784.207788.82960.54593.25143.158450.121,106.08380.802433-422.4-437.1-845.4
Kasstroom uit Financieringsactiviteiten -114.481-1,007.599-140.707-102.081-1,855.654-2,456.391-49.6303.57232.391665.203-65.118-1,155.9221,034.259552.6651,412.1442,307.4571,570.98370.322751.232-78.847-199.206-5.712791.9221,497.072-969.19217.4-183.11,079.6-873.1
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 2.1331.7713.552-3.9473.453-1.0753.1593.009000000000000-111.8090000-0.10-100.92
Netto Kasstroomverandering 24.987-10.26410.7-0.659-20.997-25.8324.512-11.73814.661-17.19243.411-8.0249.2611.0639.5276.6-10.835-5.66213.1710.056-136.15723.11198.031-15.02926.844-38.4-26.8177.6-619.3
Kaspositie aan het Einde van de Periode 133.47769.43879.70269.00269.66190.658116.49111.978123.716109.055126.24782.83690.8681.670.53761.0154.4165.24570.90757.73775.653211.81188.69990.934105.96379.1117.5332.2154.6