New York Community Bancorp, Inc.

NYSE:NYCB

10.55 (USD) • At close October 25, 2024
Overview | Financials

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991
Operationele Activiteiten:
Nettowinst -84650596511.109395.043422.417466.201495.401-47.156485.397475.547501.106480.037541.017398.64677.884279.082232.585292.085355.086323.371229.23104.46724.47731.726.923.320.920.218.812.110.56.4
Afschrijvingen & Amortisatie 165232123.87127.09632.32333.01135.20236.84136.08943.87645.11549.60151.37842.79443.07441.74733.3349.197-46.71731.62723.63413.0556.7632.31.31.31.40.91.122.11.2
Uitgestelde Inkomstenbelasting -187-3-13219.342100.81323.19721.44444.746-31.28926.15125.177-135.06828.27-54.158-14.916-31.09532.90453.27869.266107.997-207.86130.8881.964-36.8640.4-0.4-2.22.5-0.5-1.60-1.3-0.3
Aandelen Gebaseerde Vergoedingen 472931293236.2636.02932.66130.20527.45422.24720.72116.73515.76413.25213.6812.25212.052000000000000000
Verandering in Werkkapitaal -976248-290-402.432-45.188-23.146475.518322.454-181.47489.555-42.64778.41828.112105.384-201.86713.502-21.06619.55450.567-286.9-157.594-183.719-0.37-5.058-28.60.93.61.54.5-29.233-166.8
Vorderingen 000000000000000000000000000000000
Voorraden 000000000000000000000000000000000
Crediteuren 000000000000000000000000000000000
Overig Werkkapitaal -976248-290-402.432-45.188-23.146475.518322.454-181.47489.555-42.64778.41828.112105.384-201.86713.502-21.06619.55450.567-286.9-157.594-183.719-0.37-5.058-28.60.93.61.5000-160
Overige Niet-Contante Posten 1,26679-55-47.095-0.06249.304294.507-174.811-227.55357.771851.7365.724227.452-725.776-26.263127.705-48.699-60.12645.65959.74-1,273.13511.897-505.643-78.1097.413.38.92.44.94.514.822.70.1
Kasstroom uit Operationele Activiteiten 2311,026290334.196509.75540.3551,326.71755.653-420.426722.4171,375.93576.016830.207-66.391211.646244.75296.22290.677454.199334.311-1,352.21988.38-425.855-103.1161341.934.928.830-6.461.91814.2
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -66-3-4-1.308-138.119-9.847-27.783-84.179-34.802-73.495-37.242-38.761-40.746-48.641-7.385-22.587-8.803-12.077-2.376-8.973-85.897-12.28-33.83-30.592-0.6-0.5-0.7-1.3-0.4-0.1-0.8-0.2-0.3
Netto Overnames 24,90133141.3089.297-1,794.308713.531-1,150.815-2,148.927-3,004.081-2,022.625-1,363.967100.027140.8954,029.729-1,906.962159.172-325.7652.3768.97385.89712.2833.8330.5920.60.50.71.30.40.10.800
Aankoop van Beleggingen -3,056-2,242-1,796-2,513.853-2,503.248-3,288.204-1,176.073-492.61-338.048-376.338-4,584.22-4,066.276-3,905.416-4,034.384-1,808.546-2,748.213-2,527.989-195.577-6.373-6,459.475-13,313.04-4,217.435-2,865.603-763.19-54.8-197.9-83.5-96-57.5-67.5-177.300
Verkoop/verval van Beleggingen 3,2709601,7282,545.6282,323.7441,096.3611,564.952,872.7321,273.2621,262.0091,563.0213,717.2534,167.3985,013.4952,680.6512,537.4113,049.4712,040.5891,678.0498,783.348,233.0352,774.18797.647615.76431.9168.596.5106.173.6103.9186.400
Overige Investeringsactiviteiten -4,344-5,369-2,694-1,057.134-1,750.581-24.468-12.88573.037-148.64446.063-92.24521.083-1,532.239224.486-1,142.87422.091,343.809-1,476.445-3,426.102-2,965.602-5,093.287-667.278-1,792.155-2,052.216-114-92.1-249.4-150.9-59.6-157.9-127.7-58.2-64.9
Kasstroom uit Investeringsactiviteiten 20,705-6,323-2,762-1,025.359-2,058.907-4,020.4661,061.741,218.165-1,397.159-2,145.842-5,173.311-1,730.668-1,210.9761,295.8513,751.575-2,118.2612,015.6630.725-1,754.426-641.737-10,173.292-2,110.533-3,860.111-2,199.642-136.9-121.5-236.4-140.8-43.5-121.5-118.6-58.4-65.2
Financieringsactiviteiten:
Schuldaflossingen -74-13,960-2,544-6,550-5,537-4,373.5-3,300-2,075.3-10,489.682-110.615-791.289-218.222-637.703-1,173.074-1,873.683-431.8870-433.75000000000000-1800
Uitgifte van Gewone Aandelen -10,7382,0100000502.840629.6821,899.9023,249.8972,239.8671,530.59828.9351,012.148339.1530400.119000000000000000
Terugkoop van Gewone Aandelen -12-24-16-59.022-75.22-163.249-18.463-8.677-7.02-7.283-5.319-3.522-3.696-4.054-24.586-2.208-0.175-2.417-1.15800000000000000
Uitgekeerde Dividenden -519-350-349-348.435-350.222-365.889-356.768-330.81-453.981-442.204-440.308-438.539-436.914-434.366-347.554-333.509-310.205-286.773-261.063-250.731-163.891-121.644-83.47-28.508-46.5-27.8-11.9-7-1.9-0.6000
Overige Financieringsactiviteiten -6617,4925,6448,854.6816,778.5147,329.5352,754.26-1,614.15512,112.113.2251.6920.5892.679-390.216-261.9052,169.435-1,896.5160.3751,605.401459.93611,878.8282,062.8274,290.3362,551.757161131.2215.1101.142.585.5110.428.241
Kasstroom uit Financieringsactiviteiten -11,4095,1682,7351,897.224816.0722,426.897-418.131-1,953.6421,791.1091,343.0252,014.6731,580.173454.964-1,972.775-1,495.581,740.984-2,206.896-322.4461,343.18209.20511,714.9371,941.1834,206.8662,523.249114.5103.4203.294.140.684.992.428.241
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -4,59600000000000000000000000079.6201.511213.5127.956.7-0.10
Netto Kasstroomverandering 9,527-1292631,206.061-733.085-1,053.2141,970.31920.176-26.476-80.4-1,782.708425.52174.195-743.3152,467.641-132.527104.984-1.04442.953-98.221189.426-80.97-79.1220.491-9.4103.4203.294.140.684.992.4-12.3-10
Kaspositie aan het Einde van de Periode 11,6092,0822,2111,947.931741.871,474.9552,528.169557.85537.674564.15644.552,427.2582,001.7371,927.5422,670.857203.216335.743230.759231.803188.85287.07197.645178.615257.71537.2126.1224.2133.152.6139.9111.6-12.3-10