New York Community Bancorp, Inc.

NYSE:NYCB

10.55 (USD) • At close October 25, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 11,4932,0322,2111,948741.871,474.9552,528.169557.85537.674564.15644.552,427.2582,001.7371,927.5422,670.857203.216335.743230.759231.803187.679285.90497.645178.615257.71531.246.622.8213912550
Kortetermijnbeleggingen 9,1459,0605,7805,813.3335,853.0575,613.523,531.427104.281204.255173.783280.738429.266724.662652.9561,518.6461,010.5021,381.2561,940.78700000000000000
Liquide middelen en kortetermijnbeleggingen 11,49371,0337,9917,761.2646,594.9275,859.7734,796.369662.131741.929737.933925.2882,856.5242,726.3992,580.4984,189.5031,213.7181,716.9992,171.546231.803187.679285.90497.645178.615257.71531.246.622.8213912550
Nettovorderingen 001,9841,734.8240683.112662.61802.915679.942606.481594.105566.479695.179814.088743.2761.4334.347.07900000000000000
Voorraad -14,682-2,970-733-590.249-145.73800559.229365.027208.67101.4310000.66500000000000000000
Overige vlottende activa 0000038,158.03238,586.1342,531.0139,713.50937,127.9834,251.18632,931.55231,206.53830,259.62528,730.85222,608.31920,351.14918,927.18818,207.14914,580.99911,484.4045,776.3768,340.3574,295.80900000000
Totaal vlottende activa 11,49371,0339,9759,496.0887,866.92544,700.91744,045.10943,996.05641,135.3838,472.39435,770.57936,354.55534,628.11633,654.21133,664.29623,823.4722,072.48821,105.81318,438.95214,768.67811,770.3085,874.0218,518.9724,553.52431.246.622.8213912550
Niet-vlottende activa:
Materiële vaste activa, netto 652610519554.311598.82346.179368.655373.675322.307319.002273.299264.149250.859233.694205.165217.762214.906196.084140.279148.263152.58474.53169.0139.19110.110.410.811.110.510.811.411
Goodwill 2,4262,7132,4262,426.3792,426.3792,436.1312,436.1312,436.1312,436.1312,436.1312,436.1312,436.1312,436.1312,436.1592,436.4012,436.4012,437.4042,148.1081,980.6890000000000000
Immateriële activa 1,7361,0330000.786.10.2082.5997.94316.2432.02451.66877.734105.76487.78111.123106.38186.5330000000000000
Goodwill en immateriële activa 4,1623,7462,4262,426.3792,426.3792,436.1312,436.1312,436.3392,438.732,444.0742,452.3712,468.1552,487.7992,513.8932,542.1652,524.1812,548.5272,254.4892,067.2222,038.9912,017.346676.018614.653118.0700000000
Langetermijnbeleggingen 2,5749,0745,7965,844.9095,885.8875,644.0713,531.4273,817.0576,173.6457,096.457,951.024,913.5284,540.5164,788.8915,767.3085,901.4935,743.9014,925.9845,637.2527,081.8949,501.0994,688.5222,628.842528.191205.5176.6147.3160.2170.9186.5223.50
Belastingvorderingen 93,41147210997.61492.52883.81280.092161.1960000000000-2,067.222-2,038.991-2,017.346-676.018-3,243.495-646.26100000000
Overige niet-vlottende activa -95,985-10,579-109-97.614-92.528-1,311.734-1,337.219-1,857.768247.734227.297241.018144.713117.0120-25.0650002,067.2222,038.9912,017.346676.018614.653118.07-215.6-187-158.1-171.3-181.4-197.3-234.9-11
Totaal niet-vlottende activa 4,8143,3238,7418,825.5998,911.0867,198.4595,079.0864,930.4999,182.41610,086.82310,917.7087,790.5457,396.1867,536.4788,489.5738,643.4368,507.3347,376.5577,844.7539,269.14811,671.0295,439.071683.663157.261215.6187158.1171.3181.4197.3234.90
Totaal activa 116,32290,14459,52756,306.1253,640.82151,899.37649,124.19548,926.55550,317.79648,559.21746,688.28744,145.142,024.30241,190.68942,169.17432,466.90630,579.82228,482.3726,283.70524,037.82623,441.33711,313.0929,202.6354,710.7851,906.81,746.91,603.31,358.71,240.91,170.81,089.7951
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 0018190000000000000000000000000001
Kortlopende schulden 010,353000000000000000043.43816.83178.12411.54487.64741.239636.4439.1309.781.400015
Belastingschulden 00000000000000000000000000000000
Uitgestelde opbrengsten 000-3,291.0340000000000000000000000000000
Overige kortlopende verplichtingen 0-10,353-183,272.03400000000000000-43.438-16.831-78.124-11.544-87.647-41.239-636.4-439.1-309.7-81.40000
Totaal kortlopende verplichtingen 20,33810,3253,7681925,938.41223,197.48820,763.43422,937.38812.438.138.828.894.284608.465656.5460020.15843.43816.83178.12411.54487.64741.239636.4439.1309.781.400016
Langlopende verplichtingen:
Langetermijnschulden 13,91721,33213,03515,55113,757.59314,207.86612,913.67913,673.37915,748.40514,226.48715,105.0029,200.89113,960.41313,536.11614,164.68613,496.718,504.4528,050.3596,220.72410,142.5419,931.0134,592.0692,506.8281,037.505000046.183.310.80
Uitgestelde opbrengsten niet-vlottend -1,064-57916,31815,832.88614,549.625-162.922-164.889-193.807000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 1,064579493517.504293.959162.922164.889193.807000000000000000000000000
Overige niet-vlottende verplichtingen 91,77359,98839,44833,91333,171.53431,036.27529,415.1429,129.18528,634.69528,550.91525,847.623-9,200.891-13,960.413-13,536.116-14,164.686-13,496.71-8,504.452-8,050.359-6,220.724-10,142.541-9,931.013-4,592.069-2,506.828-1,037.5050000-46.1-83.3-10.80
Totaal niet-vlottende verplichtingen 85,16410,32516,81116,350.3914,843.58413,707.86612,463.67912,023.37913,822.40510,541.48711,230.7029,205.1919,835.4139,411.11610,039.6868,861.718,504.4528,050.35910,528.65810,142.5419,931.0134,592.0692,506.8281,037.505000046.183.310.810
Totaal passiva 105,50281,32052,48316,350.3914,843.58445,244.14142,328.81942,802.56444,383.142,777.40240,952.62538,488.83636,458.59835,664.46936,786.96728,247.6626,397.50924,792.53322,958.82820,851.41220,572.689,989.588,219.5014,403.3751,769.71,597.51,432.81,147.31,023.3965.5896.9859
Eigen vermogen:
Preferente aandelen 503503503502.84502.84502.84502.840000000000000005.99511.47616.20000000
Gewone aandelen 7754.9044.9044.9044.8914.8714.854.4274.4094.3914.3744.3564.3323.453.2382.9542.7342.7341.9491.0821.0820.310.30000000
Ingehouden winsten 2,8961,041741494.229342.023297.202237.868128.435-36.568464.569422.761387.534324.967281.844190.498123.511390.757421.313475.501452.134434.577275.097167.511146.514150.5165.4166.2154.9141122.6104.592
Overige gereserveerde algehele resultaten -599-620-85-25.478-32.843-87.653-15.167-56.713-57.021-55.686-36.493-61.705-71.91-45.695-49.903-87.319-21.315-68.053-65.844-58.465-53.744-23.323-5.995-11.476-16.20000000
Overige totale aandeelhoudersvermogen 8,0137,8935,8805,865.1495,894.775,937.9426,064.9446,047.3986,023.4355,368.5055,344.9855,326.0445,308.2735,285.7155,237.284,179.6043,809.6333,333.6232,912.4862,790.0112,485.8751,035.804820.536172.062-29.9-164.356.576.682.788.30
Totaal eigen vermogen van aandeelhouders 10,8208,8247,0446,841.6446,711.6946,655.2356,795.3766,123.9915,934.6965,781.8155,735.6625,656.2645,565.7045,526.225,382.2074,219.2464,182.3133,689.8373,324.8773,186.4142,868.6571,323.512983.134307.41137.1149.4170.5211.4217.6205.3192.892
Totaal eigen vermogen 10,8208,8247,0446,841.6446,711.6946,655.2356,795.3766,123.9915,934.6965,781.8155,735.6625,656.2645,565.7045,526.225,382.2074,219.2464,182.3133,689.8373,324.8773,186.4142,868.6571,323.512983.134307.41137.1149.4170.5211.4217.6205.3192.892
Totaal passiva en aandeelhoudersvermogen 116,32290,14459,52756,306.1253,640.82151,899.37649,124.19548,926.55550,317.79648,559.21746,688.28744,145.142,024.30241,190.68942,169.17432,466.90630,579.82228,482.3726,283.70524,037.82623,441.33711,313.0929,202.6354,710.7851,906.81,746.91,603.31,358.71,240.91,170.81,089.7951