PacWest Bancorp

NASDAQ:PACW

7.54 (USD) • At close November 30, 2023
Overzicht | Financiële gegevens

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

202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 2,240.2224,057.2343,160.661637.624385.767398.437419.67396.486313.226147.422164.404295.617108.552211.048159.70599.783129.411100.75273.283102.27998.70768.70336.24732.037
Kortetermijnbeleggingen 4,843.48710,694.4585,235.5913,797.1874,009.4313,774.4313,223.833,559.4371,567.1771,494.7451,355.3850874.0160121.577106.88811.498248.471324.156349.837202.29000
Liquide middelen en kortetermijnbeleggingen 7,083.70914,751.6928,396.2524,434.8114,395.1984,172.8683,643.53,955.9231,880.4031,642.1671,519.789295.617108.552211.048159.70599.783129.411100.75273.283102.27998.70768.70336.24732.037
Nettovorderingen 395.867289.584224.177129.75900000000018.20515.97618.55521.38812.0069.0587.4326.9612.7692.2781.885
Voorraad -395.86700000000000000000000000
Overige vlottende activa -2,027.94900014,393.5970000000000000000000
Totaal vlottende activa 5,055.7615,041.2768,620.4294,564.5718,788.7954,172.8683,643.53,955.9231,880.4031,642.1671,519.789295.617108.552229.253175.681118.338150.799112.75882.341109.711105.66871.47238.52533.922
Niet-vlottende activa:
Materiële vaste activa, netto 458.56385.89373.08362.669327.338316.483268.499236.649159.05732.43519.50323.06822.57822.54624.67526.32737.10219.06314.91914.00413.3975.9146.0586.795
Goodwill 1,376.7361,405.7361,078.672,548.672,548.672,548.672,173.9492,176.2911,720.479208.74379.86639.14147.30100761.99205.3460000000
Immateriële activa 31.38144.95723.64138.39457.1279.62636.36653.2217.20417.24814.72317.41525.84333.29639.92243.7859.5140000000
Goodwill en immateriële activa 1,408.1171,450.6931,102.3112,587.0642,605.792,628.2962,210.3152,229.5111,737.683225.99194.58956.55673.14433.29639.922805.775788.51323.188256.955221.956188.059.79300
Langetermijnbeleggingen 7,112.62210,694.4585,235.5913,797.1874,009.4313,774.4313,223.833,559.4371,567.1771,494.7451,355.3851,326.358874.016423.7121.577106.88891.381212.601245.395417.656318.867126.45645.449.328
Belastingvorderingen 000017.489094.112126.389284.411000000000000000
Overige niet-vlottende activa -7,516.867-12,531.041-6,710.982-6,746.92-17.489-6,719.21-94.112-126.389-284.411-1,753.171-1,469.477-1,405.982-969.738-479.542-186.174-938.99-916.993-554.852-517.269-653.616-520.314-142.163-51.458-56.123
Totaal niet-vlottende activa 1,462.43212,531.0416,710.9826,746.926,942.5596,719.215,702.6446,025.5973,463.9171,753.1711,469.4771,405.982969.738479.542186.174938.99916.993554.852517.269653.616520.314142.16351.45856.123
Totaal activa 41,228.93640,443.34429,498.44226,770.80625,731.35424,994.87621,869.76721,288.4916,234.86,533.3635,463.6585,528.2375,529.0215,324.0794,495.5025,179.045,553.3233,226.4113,046.8542,422.3272,115.877770.217358.287304.362
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 710.954582.674491.962365.856210.305221.963173.545166.703156.26273.88444.57500064.56745.05451.04338.31828.93421.59721.7418.6513.8880
Kortlopende schulden 1,514.03051,4591,181467865618380106.600000000000000
Belastingschulden 000000000000000000000000
Uitgestelde opbrengsten 000000000000000000000000
Overige kortlopende verplichtingen -2,224.984-582.674-496.962-1,824.8560-688.963-1,038.545-784.703-536.262-180.484-44.575000-64.567-45.054-51.043-38.318-28.934-21.597-21.741-8.651-3.8880
Totaal kortlopende verplichtingen 2,224.984582.674496.9621,824.8561,391.305688.9631,038.545784.703536.262180.48444.57500064.56745.05451.04338.31828.93421.59721.7418.6513.8880
Langlopende verplichtingen:
Langetermijnschulden 2,631.117863.283470.8122,217.2171,824.96929.7791,346.5561,057.914816.985246.371120.841354.271354.572672.561579.994750.488648.219281.954211.654113.49839.22329.1021.6891.657
Uitgestelde opbrengsten niet-vlottend 000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 000000000000000000000000
Overige niet-vlottende verplichtingen -406.133-863.283-470.812-2,217.217-1,181-929.779-1,346.556-1,057.914-816.985-246.371-120.841-354.271-354.572-672.561-579.994-750.488-648.219-281.954-211.654-113.498-39.223-29.102-1.689-1.657
Totaal niet-vlottende verplichtingen 2,224.984863.283470.8122,217.217643.96929.7791,346.5561,057.914816.985246.371120.841354.271354.572672.561579.994750.488648.219281.954211.654113.49839.22329.1021.6891.657
Totaal passiva 37,278.40536,443.71425,903.49121,816.10920,905.76620,017.27817,390.71216,890.79912,728.3755,724.274,874.537354.271354.572672.5614,119.7764,040.6884,384.9952,725.6332,672.9782,084.7641,799.585714.92330.5151.657
Eigen vermogen:
Preferente aandelen 498.51600000000000000000000000
Gewone aandelen 1.231.2211.2071.2191.2511.3051.2281.2281.0420.4650.3770.3750.3690.3510.285936.6080.027410.419318.88308.336291.80343.13720.40219.394
Ingehouden winsten 1,420.6241,016.35409.3911,652.2481,182.674723.471366.07313.907-285.517-454.422-499.537-556.338-607.042-545.026-535.676201.22148.367102.32567.91144.70623.03911.8527.4327.026
Overige gereserveerde algehele resultaten -790.90365.968172.52378.658-6.07531.1715.98227.82826.38-3.34732.922.8033.969-0.1041.4520.524-0.171-11.966-12.915-15.4791.450.308-0.062-0.565
Overige totale aandeelhoudersvermogen 2,821.0642,916.0913,011.833,222.5723,647.7384,221.6514,105.7724,354.7283,764.521,266.3971,055.3811,079.3631,081.5011,051.554909.66501,020.1050000000
Totaal eigen vermogen van aandeelhouders 3,950.5313,999.633,594.9514,954.6974,825.5884,977.5984,479.0554,397.6913,506.425809.093589.121546.203478.797506.775375.7261,138.3521,168.328500.778373.876337.563316.29255.29727.77225.855
Totaal eigen vermogen 3,950.5313,999.633,594.9514,954.6974,825.5884,977.5984,479.0554,397.6913,506.425809.093589.121546.203478.797506.775375.7261,138.3521,168.328500.778373.876337.563316.29255.29727.77225.855
Totaal passiva en aandeelhoudersvermogen 41,228.93640,443.34429,498.44226,770.80625,731.35424,994.87621,869.76721,288.4916,234.86,533.3635,463.6585,528.2375,529.0215,324.0794,495.5025,179.045,553.3233,226.4113,046.8542,422.3272,115.877770.217358.287304.362