Premier Financial Corp.

NASDAQ:PFC

28.43 (USD) • At close November 12, 2024
Overview | Financials

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199519941993
Operationele Activiteiten:
Nettowinst 111.117102.187126.05163.07749.3746.24932.26828.84326.42324.29222.23518.66415.5348.1087.1947.35713.90415.611.9710.79612.08215.07913.61610.9638.63.15.44.25.566.4
Afschrijvingen & Amortisatie 9.93814.46114.628.4177.1596.3416.325.6155.5865.4556.4498.3914.8784.8985.4587.2794.424.6025.0933.1953.1063.82726.70717.84415.87.61.610.40.60.6
Uitgestelde Inkomstenbelasting -2.934-1.3065.393-9.781-0.4190.8811.261-0.615-0.035-0.1791.5190.7792.839-2.4170-4.672-0.2570.870.2490.090.874-0.437-2.339-0.1630.1-1.80-0.20.20.2-0.2
Aandelen Gebaseerde Vergoedingen 1.8752.0162.8272.3120.2860.420.2150.2740.150.0780.0440.1040.1440.16800000000000000000
Verandering in Werkkapitaal 11.1361.059-16.568-15.092-5.228-3.794-2.064-0.2430.599-0.708-1.2084.8555.3262.324-11.925-1.979-1.409-0.8123.859-1.552-3.5090-5.263-5.2-1-1.61.73.1-0.30.10.5
Vorderingen -5.329-8.072-5.755-14.729-6.916-2.878-3.591-4.121-1.356-5.9621.3270.0172.9613.66400000000000000000
Voorraden 0000-1.6880.916-1.527-3.878-1.955-5.2542.535-4.8380000000000000000000
Crediteuren 00001.688-0.9161.5273.8781.9555.254-2.5354.8382.365-1.34-3.3840000000000000000
Overig Werkkapitaal 16.4659.131-10.813-0.3631.688-0.9161.5273.8781.9555.254-2.5354.83800-8.5410000000000000000
Overige Niet-Contante Posten -25.19861.67932.86-124.551-11.4832.958-2.043-6.89-2.0711.12710.324-0.88310.01819.11922.74515.4374.8921.326-0.8268.04817.741-93.736-94.058-47.987-188.944.32.91.70.70.61.1
Kasstroom uit Operationele Activiteiten 105.934180.096165.163-55.61839.68553.05535.95726.98430.65230.06539.36331.9138.73932.223.47222.00718.71321.73816.58116.62821.546-75.267-72.909-34.091-165.451.611.69.86.67.48.3
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -13.805-5.57-3.023-5.361-3.134-4.168-3.263-2.106-1.843-4.935-2.045-3.223-2.041-1.562-1.763-4.562-8.669-2.875-5.296-2.202-3.506-1.5-2.273-3.205-4-32.7-5.3-6.3-3.6-0.20
Netto Overnames 47.354-0.435192.06952.448-1.6-191.14219.359-138.126-0.297-69.124-62.021-60.351-3.914-1.5-25.657-23.9070.192.8755.2962.2023.5061.52.2733.205432.75.36.33.60.20
Aankoop van Beleggingen -10.093-125.456-817.136-363.426-33.463-76.647-73.007-71.276-30.483-70.149-49.23-91.513-120.499-76.439-53.855-31.811-28.946-17.551-30.271-34.262-49.577-195.533-6.175-8.066-30.4-28.1-40.5-36.9-32.5-10.9-63.1
Verkoop/verval van Beleggingen 121.066115.8307.209177.15151.89138.24567.06351.3231.73535.38639.22132.47160.9940.44832.32830.64628.20420.0852.39968.3988.2143.60512.63611.55725.663.540.452.213.126.747.5
Overige Investeringsactiviteiten -297.771-1,191.309-11.933-402.666-239.04220.688-143.031.708-153.3665.164.204-1.55624.511123.4095.576-101.313-54.306-71.006-60.563-145.864-29.184306.85137.178-36.131-18.9-87.5-33.7-41.4-34-22.2-12.6
Kasstroom uit Investeringsactiviteiten -153.249-1,206.97-332.814-541.854-225.348-213.024-132.878-158.48-154.254-103.662-69.872-24.172-40.94944.356-43.371-130.947-63.527-68.477-38.435-111.7369.449154.92343.639-32.64-23.7-52.1-33.8-26.1-53.4-6.4-28.2
Financieringsactiviteiten:
Schuldaflossingen 0428048.777-0.1261.637-21.0744.04138.358-0.9769.724-69.045-30.905-22.193-10.19610.392-7.578-13.9324.49616.22822.087-61.196-20.74-30.22144.3-83.130.834-22.92.2-4.4
Uitgifte van Gewone Aandelen 0000.0180.1230.1040.0730.0630.0640.0760.0640.01819.888000001.561000000000000
Terugkoop van Gewone Aandelen -0.011-26.87-29.583-10.183-15.147-6.330-6.293-8.436-15.519-1.821-36.358000-0.635-4.923-2.852-1.547-4.69100000000000
Uitgekeerde Dividenden -44.267-42.795-38.948-32.898-15.624-13.043-9.859-7.89-7.159-5.937-3.907-3.086-2.331-1.85-5.523-8.137-7.09-6.741-5.852-4.889-3.939-3.449-3.109-2.832-2.7-2.8-2.8-2.8-1.2-1.2-0.2
Overige Financieringsactiviteiten 78.189635.133238.482619.77248.729162.87142.467120.80967.60829.57168.93526.2821.325-4.465110.58287.91979.65469.77231.93169.09-37.34315.34968.705104.35953.2115.412.8-2.16.3-0.4-2.5
Kasstroom uit Financieringsactiviteiten 33.911993.468169.951625.484217.955145.238111.611150.7390.4357.21572.995-45.8377.977-28.50894.86389.53960.34447.50650.58977.846-21.87-58.444.43271.449184.81226.412.445.30.612
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 22.6120000000000000000000000000.522.216.346.8-119.9
Netto Kasstroomverandering -13.404-33.4062.328.01232.292-14.73114.6919.234-33.167-66.38242.486-38.0995.76748.04874.964-19.40115.530.76728.735-17.2629.12521.25615.1624.718-4.31226.412.445.30.612
Kaspositie aan het Einde van de Periode 114.756128.16161.566159.266131.25498.962113.69399.00379.769112.936179.318136.832174.931169.164121.11646.15265.55350.02349.25620.52137.78328.65836.11620.95416.22131.221.155.49.128.4