OFG Bancorp

NYSE:OFG

43.82 (USD) • At close September 6, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062004200320022001200019991998199719961995199419921991199019891988
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 748.173550.4642,023.652,154.202852.757450.063488.233513.469540.058581.834703.468869.011605.477448.946277.12314.3722.85820.34144.89214.83116.319.288.2210.3228.114.52616.927.723.214.88.517.68.2
Kortetermijnbeleggingen 2,099.2641,412.776510.713446.4381,074.169841.857645.797751.484974.6091,216.5381,588.4252,194.2860.0733,700.0640.1500039.79139.79101.0321.03200000000000
Liquide middelen en kortetermijnbeleggingen -748.1731,963.0832,534.3632,600.641,926.9261,288.891,1311,261.9231,511.3181,789.9652,291.8933,062.981605.55448.946247.84114.3722.85820.34144.89214.83116.319.288.2210.3228.114.52616.927.723.214.88.517.68.2
Nettovorderingen 119.259152.663181.933144.392138.244105.983138.865113.896100.972124.233125.995120.03930.75928.71639.19143.91452.31527.9423.73519.12717.71615.69816.64613.4851814.912.410.1855.13.63.22.9
Voorraad 628.914-741.029-2,193.604-2,329.239-997.307-31.61-42.721-40.867-31.272-42.807-49.838-35.296-10.5770-5.5350000000000000000000
Overige vlottende activa 923.014712.1882,193.6042,329.239997.3073,784.0833,641.4173,642.663,747.094,006.4284,004.9213,676.4872,198.33701,293.2230000000000000000000
Totaal vlottende activa 923.0142,086.9052,716.2962,745.0322,065.175,147.3464,868.5614,977.6125,328.1085,877.8196,372.9716,824.2112,824.069477.6621,574.7258.28475.17348.28168.62733.95834.02624.97824.86623.80726.129.438.42735.728.219.912.120.811.1
Niet-vlottende activa:
Materiële vaste activa, netto 125.827132.183120.97115.169120.21768.89267.8670.40774.5980.59982.90384.99721.5223.94119.77521.18421.77920.15315.26918.55216.16217.98820.93621.70621.719.619.417.915.112.511.811.911.69.3
Goodwill 84.24184.24186.06986.06986.06986.06986.06986.06986.06986.06986.06954.8992.70102.0060000000000000000000
Immateriële activa 70.21478.51485.06693.191107.74414.08514.50816.01815.29323.73525.71333.261.185000000000000000000000
Goodwill en immateriële activa 154.455162.755171.135179.26193.81386.06986.06986.06986.06986.06986.06988.1593.8864,402.3442.0060003,183.62,825.40400000000000000
Langetermijnbeleggingen 32.9681,971.522889.852450.4221,075.1051,266.96645.991751.8341,595.0891,218.1351,590.3592,194.8543,845.2774,408.7534,961.8823,945.8824,631.0782,998.7883,174.5222,813.0432,211.3221,811.8651,484.4091,168.338933.3686430.4333.8260.9201.6175.2139.4121.8128
Belastingvorderingen 160.116238.3042.6272.637370.836150.5542.23124.2145.901108.708137.564117.20132.02330.3500006.1916.19100000000000000
Overige niet-vlottende activa 10,103.266-238.304-2.627-2.637-370.836-136.469518.342491.702-130.60877.779-111.851-116.054-33.109-4,432.694-7.55-3,967.066-4,652.857-3,018.941-3,189.791-2,831.595-2,227.484-1,829.853-1,505.345-1,190.044-955-705.6-449.8-351.7-276-214.1-187-151.3-133.4-137.3
Totaal niet-vlottende activa 10,576.6322,266.461,181.957744.8511,389.1351,436.0061,320.4921,524.2121,771.0411,571.291,785.0442,369.1573,869.5974,432.6944,976.1133,967.0664,652.8573,018.9413,189.7912,831.5952,227.4841,829.8531,505.3451,190.044955705.6449.8351.7276214.1187151.3133.4137.3
Totaal activa 11,499.6469,818.789,899.729,826.0119,297.4526,583.3526,189.0536,501.8247,099.1497,449.1098,139.6469,194.066,693.6667,312.7776,550.8336,205.5365,999.8554,373.694,250.6523,725.6953,039.4682,489.1412,038.941,850.2341,587.31,311.41,068.6877.4744.4522.4389.5314.4287.1251.7
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 0000000000000.11524.8390000001.8561.6182.2844.8310000000000
Kortlopende schulden 8.29835.93937.70738.793182.778248.295172.613390.34200092.222181.837184.387105.8340002250130208.21057068.474.889.84666.653.85127.828.68
Belastingschulden 0000000000000000000000000000000000
Uitgestelde opbrengsten 0000000000000000000000000000000000
Overige kortlopende verplichtingen 6,079.8445,206.2075,240.4744,648.2593,612.8772,212.7512,069.321,967.04300000049.1790000002,062.8821,758.2161,571.0691,288.41,015774.4-46-66.6-53.8-5-127.8-28.6-8
Totaal kortlopende verplichtingen 6,088.1425,242.1465,278.1814,687.0523,795.6552,461.0462,241.9332,357.38591.484135.036128.6192.222181.952209.226155.0130002250131.8562,272.71,865.51,645.91,356.81,089.8864.24666.653.85127.828.68
Langlopende verplichtingen:
Langetermijnschulden 200.7754.40495.069134.917155.127114.917135.879141.598436.843439.918439.816776.861281.753281.753317.83636.08336.083232.983162.166387.16650506086.5106.5114.611599.570.947.148.510.6825
Uitgestelde opbrengsten niet-vlottend 3,710.1948,593.555-94.62-59.785-38.969-145.769-158.174-167.58600000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 200.081182.819189.689194.702194.09636.79139.87942.47500000000000000000000000000
Overige niet-vlottende verplichtingen 129.423-54.404-95.069-134.917-155.127108.978118.295125.11100.0016,814.917-76.6460000000000000000000000
Totaal niet-vlottende verplichtingen 4,240.4688,776.37495.069134.917155.127114.917135.879141.598436.843439.9197,254.733700.215281.753281.753317.83636.08336.083232.983162.166387.16650506086.5106.5114.611599.570.947.148.510.6825
Totaal passiva 10,328.618,776.37495.069134.917155.1275,583.4755,243.9465,581.4136,202.0726,506.9127,254.7338,330.4545,998.1116,580.4466,220.6675,944.2195,640.3944,037.2643,909.4853,431.0282,837.7882,322.7121,925.451,732.3651,463.31,204.4979.2797.5674.7491.3365.1292.1265.8232.4
Eigen vermogen:
Preferente aandelen 000929292176176176176176176686868686868686833.533.533.533.533.5000000000
Gewone aandelen 59.88559.88559.88559.88559.88559.88552.62652.62652.62652.62652.70752.67147.80947.80825.73925.73925.55725.43125.10422.25319.68415.313.88513.8050000000000
Ingehouden winsten 639.324516.371399.949300.096279.994253.04200.878177.808149.266181.152133.62970.7368.14951.50277.58451.23345.29663.01768.62101.723106.35875.80676.81879.80979.963.849.73928.710.58.66.75.75.7
Overige gereserveerde algehele resultaten 83.95440.492122.837114.29194.77179.20478.50577.88984.05290.17865.148108.02737.13136.987-82.739-79.17127.558-16.099-4.49-17.93720.7922.827-6.066-5.915-11.76.20.90000000
Overige totale aandeelhoudersvermogen 410.317425.658486.489519.703519.176515.748437.098436.088435.133442.241457.429456.178474.466528.034173.582195.516193.05196.077183.933120.62821.34818.996-4.647-3.3322.33738.840.94120.615.815.615.613.6
Totaal eigen vermogen van aandeelhouders 1,193.481,042.4061,069.161,085.9751,045.826999.877945.107920.411897.077942.197884.913863.606695.555732.331262.166261.317359.461336.426341.167294.667201.68166.429113.49117.86912410789.479.969.731.124.422.321.319.3
Totaal eigen vermogen 1,193.481,042.4061,069.161,085.9751,045.826999.877945.107920.411897.077942.197884.913863.606695.555732.331330.166261.317359.461336.426341.167294.667201.68166.429113.49117.86912410789.479.969.731.124.422.321.319.3
Totaal passiva en aandeelhoudersvermogen 11,522.099,818.789,899.729,826.0119,297.4526,583.3526,189.0536,501.8247,099.1497,449.1098,139.6469,194.066,693.6667,312.7776,550.8336,205.5365,999.8554,373.694,250.6523,725.6953,039.4682,489.1412,038.941,850.2341,587.31,311.41,068.6877.4744.4522.4389.5314.4287.1251.7