Old Point Financial Corporation

NASDAQ:OPOF

17.64 (USD) • At close September 13, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992
Operationele Activiteiten:
Nettowinst 7.739.1088.445.3897.864.919-0.0293.7973.6344.1163.1634.1873.291.5471.6826.797.9697.0247.2688.587.8257.0515.715.1334.8224.6364.093.4452.3422.7732.2151.738
Afschrijvingen & Amortisatie 2.5782.4232.4382.5252.5392.4692.7422.7252.5432.2771.9521.8841.8161.9381.8541.7681.6881.5351.391.3011.371.4361.4761.3761.2490.990.9410.8830.7680.8840.9190.704
Uitgestelde Inkomstenbelasting -0.088-0.0510.275-0.6340.352-0.164-0.117-0.019-0.227-0.101-0.316-0.0072.094-2.428-0.453-0.565-0.183-0.0360.0510000000000000
Aandelen Gebaseerde Vergoedingen 0.5460.4160.2940.2610.2240.160.01700000.0820.110.1140.1110.1120000000000000000
Verandering in Werkkapitaal -2.1513.34710.902-15.6441.2311.372.856-0.81-0.3320.882-0.6452.399-1.706-7.136-14.569-2.734-2.183-0.666-0.579-1.691-2.302-6.059-0.168-0.8920.371.037-3.030.392-15.736-0.212-1.31-3.447
Vorderingen 00000000000000000000000000000000
Voorraden 00000000000000000000000000000000
Crediteuren 00000000000000000000000000000000
Overig Werkkapitaal -2.1513.34710.902-15.6441.2311.372.856-0.81-0.3320.882-0.64500000000-1.691-2.302-6.059-0.168-0.8920.371.037-3.030.392-15.736000
Overige Niet-Contante Posten 2.432.3220.827-0.5320.1643.43.969-0.795-1.885-0.851-28.821.233.7888.7986.4532.5750.9511.21.051.0510.9871.781.2050.6220.566-1.2353.4611.38717.0130.9581.0552.749
Kasstroom uit Operationele Activiteiten 11.04517.56523.176-8.63512.3712.1549.4388.6537.83310.0358.5179.7759.3922.833-4.9227.9468.1059.0539.1789.2417.884.2088.2236.2397.0075.4285.4626.1074.3874.4032.8791.744
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -1.053-1.354-1.514-0.924-1.782-0.478-0.619-0.891-1.756-3.806-10.883-4.148-2.464-1.159-5.112-1.682-2.146-6.727-4.14-5.659-2.215-0.833-0.795-2.087-3.516-3.6-1.304-2.113-1.991-0.178-1.077-1.144
Netto Overnames 0.8630.995-7.619-87.38525.529-0.86-137.615-36.882-33.396-37.008-33.03247.74457.862001.6822.1466.7274.145.6592.2150.8330.7952.0873.51600.2160.46800.6643.4311.034
Aankoop van Beleggingen -16.315-71.218-90.07-73.057-103.036-26.002-23.095-151.204-104.103-25.471-45.109-359.257-255.989-254.306-247.684-93.491-48.815-8.177-5.853-119.456-163.267-78.093-50.955-8.197-26.529-77.059-37.417-30.063-32.038-129.232-135.281-124.39
Verkoop/verval van Beleggingen 39.74848.54938.13937.25107.40833.70964.751162.595121.60955.156103.07268.66229.762222.53175.307121.357107.84717.24716.6791.919132.87464.62339.4019.5832.66106.21826.1740133.785137.801120.82
Overige Investeringsactiviteiten -55.839-190.4120.3331.8751.0125.658-1.7922.7452.2331.8841.5881.9970.86945.187-3.207-46.173-17.292-96.486-66.488-35.139-29.472-40.031-28.56-40.437-43.00922.8110.53-9.759.946-11.521-12.9072.203
Kasstroom uit Investeringsactiviteiten -32.596-213.44-60.731-122.24129.13112.027-98.37-23.637-15.413-9.24515.634-45.00430.0412.252-80.696-18.30741.74-87.416-55.671-62.676-59.865-53.501-40.114-39.054-36.877-57.848-31.757-15.284-24.083-6.482-8.033-1.477
Financieringsactiviteiten:
Schuldaflossingen -9.368-72.48-28.07-70.965-33-148-100-80-25-50-100-30-5-10.107-45-1.354-1.449-0.288-4.189000-10.7120000-58.447-44.522-87.572
Uitgifte van Gewone Aandelen 0.1310.1290.1030.0960.0850.0871.1070.04600000-3.0330.0390.03900.1590.1090.754000000.1580.2300.0880.20.070.028
Terugkoop van Gewone Aandelen 0-6.655-0.15-0.096-0.085-0.087-0.157000000-0.041-0.036-0.0970-0.927-0.21-0.46600000000053.43858.142108.765
Uitgekeerde Dividenden -2.817-2.64-2.62-2.505-2.496-2.262-2.198-1.983-1.686-1.289-1.092-0.991-0.991-1.232-2.307-3.236-3.01-2.793-2.651-2.481-2.14-1.776-1.608-1.501-1.393-1.234-1.05-0.891-0.777-0.693-0.624-0.493
Overige Financieringsactiviteiten 74.509108.849135.777234.91841.643153.886178.73885.78537.9517.479-34.05163.682-42.0170.01693.23319.52312.945104.45652.72736.13668.5250.7237.24134.9642.06451.59928.33510.12422.3768.356-9.918-19.368
Kasstroom uit Financieringsactiviteiten 81.0627.203105.04161.4486.1473.62477.493.84811.2651.19-35.14352.691-43.008-34.2985.9296.122-35.06599.54148.52633.65562.19148.94435.63333.45929.95950.52327.5159.23321.6872.8543.1481.36
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -67.7870000000000000000000000000000000
Netto Kasstroomverandering 59.509-168.67267.48530.57247.64827.805-11.442-11.1363.6851.98-10.99217.462-3.576-19.2050.311-4.23914.7821.1782.033-19.7810.206-0.3493.7420.6440.089-1.8971.220.0561.9910.775-2.0061.627
Kaspositie aan het Einde van de Periode 78.75919.25187.922120.43789.86542.21714.41225.85436.9933.30531.32542.31724.85528.43147.63647.32551.56436.78415.60613.57333.35314.43714.78611.04410.410.31112.20810.98810.9328.9418.16610.172