Principal Financial Group, Inc.

NASDAQ:PFG

85.62 (USD) • At close September 19, 2024
Overview | Financials

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000
Operationele Activiteiten:
Nettowinst 623.24,852.21,757.41,428.51,444.11,553.72,324.51,361.81,253.21,176.4936.1824.7751.2717.2645.7458.1840.11,033.7891.9696.8724.5339358.8620.2
Afschrijvingen & Amortisatie 272.7295.9275.3251.9226.8205.1195.7186.6193169.5153.9141.3115.8164.7138.5145487.5344.5101.6321.6694.8615.4723.5549.5
Uitgestelde Inkomstenbelasting 1,485.9014999.7312.3276.7-357.8114321.9352.5412.3-21.551.360.965.7-219.7-70.3169.6-453.437.5312.3408.454.575
Aandelen Gebaseerde Vergoedingen 99.491.396.187.282.677.482.784.484.575.368.563.843.447.637.231.51.22.10.943.40000
Verandering in Werkkapitaal 1,934.42,379.51,546.92,081.33,860.43,478.32,428.92,416.32,7641,812.91,6712,554.3511.51,092.4980.41,350.11,164.22,484.51,429.92,938.51,216.21,453.63,163.892
Vorderingen -36.7-3,630-100.916.4-247.637.8-114.298.7-211.526.9-131.970.6-220.4-9.6-126.9-39.2-40-320.2-28.3-46.7-69.725.2-25.60
Voorraden 000000000000000000000000
Crediteuren 00000000000000002,276.71,851.82,138.51,981.22,049.42,102.21,869.20
Overig Werkkapitaal 1,971.16,009.51,647.82,064.94,1083,440.52,543.12,317.62,975.51,7861,802.92,483.7731.91,1021,107.31,389.3-1,072.5952.9-680.31,004-763.5-673.81,320.292
Overige Niet-Contante Posten -623.2-4,446-605.9-210.4-433-434.7-486-305.3-239.5-483.7-1,020.6-481.71,240.1708.9375.5459.8537.3-1,755.9413.3-1,781.97662,747.6-355.81,300.6
Kasstroom uit Operationele Activiteiten 3,792.43,172.93,218.83,738.65,493.25,156.54,1883,857.84,377.13,102.92,221.23,080.92,713.32,791.72,2432,224.82,9602,278.52,384.22,255.93,713.85,5643,944.82,637.3
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -102-116.3-129.9-108.8-132.4-92.3-164.8-154.9-136.4-136-59.4-38.9-56.9-21.5-26.2-105-213.6-79.6-260.9-389.4-1,381.7-1,265-1,348.3-303
Netto Overnames 1,257.2-9.227-1.4-1,208.5-184.7-13.3-2.4-291.20-1,268.3-80.4-270.50-45.7-20.3-76.1174.1-58.1694.7-95.3446.3-190
Aankoop van Beleggingen -12,336.3-19,420.8-16,732.5-15,779.8-14,626.2-14,212.5-13,442.4-13,702.3-10,019.1-9,135.7-8,993.5-8,421.1-6,924.4-7,322.9-8,057.4-6,831-13,628.3-2,610.1-11,517-15,728.3-73,769.4-66,900.8-55,512.20
Verkoop/verval van Beleggingen 11,079.121,583.413,695.311,863.49,461.610,030.710,156.89,633.38,188.98,756.79,278.37,951.26,741.56,845.98,007.94,551.49,365.87,137.36,00515,851.172,563.863,377.152,345.80
Overige Investeringsactiviteiten -1,244.9-978.6-2,518-999.2-1,183-1,243.7-602.4-930-909.8-657.7-183.4-1,022.2308.25261,148.2-512.353-8,534.64,223-3,606.8134.3264.3835.3-970.3
Kasstroom uit Investeringsactiviteiten -1,346.91,058.5-5,658.1-5,025.8-7,688.5-5,702.5-4,052.8-5,153.9-3,167.6-1,172.7-1,226.3-1,611.4-202.127.51,026.8-2,917.2-4,499.2-3,912.9-1,608-3,178.7-2,548.3-4,078.1-3,698.4-1,273.3
Financieringsactiviteiten:
Schuldaflossingen -764-302-1.8-78.4-32.2-1.3-72-930.7-52.6-218.6-218.2-519.4-12.2-11.1-468.2-83.3-115-21-72.6-447.2-85.3-110-7,443.10
Uitgifte van Gewone Aandelen 57.8181.786.742.837.764162.537.876.177.5125.828.925.920.61,12336.473.666.2143.941.218.3222,019.30
Terugkoop van Gewone Aandelen -740.4-1,695-937.2-307-281-671.6-220.4-277.3-850.6-222.7-153.6-272.7-556.4-2.6-4.1-6.4-756.3-755.8-952.4-772.6-453-742.4-367.70
Uitgekeerde Dividenden -625.5-642.3-654.1-614.5-606-598.6-540-464.9-457.5-409.6-321.4-264.3-246.7-209.2-192.5-149.7-41.2-24.7-17.7-166.5-145.3-83.8-1,177.50
Overige Financieringsactiviteiten -513.7742.23,427.92,578.22,615.22,260.2285.93,086776-1,664.7-2,232.9901.3-765.3-2,979.9-4,095.62,1592,1312,321.21,313.31,527.9154.1-94.36,419.8-1,006.9
Kasstroom uit Financieringsactiviteiten -2,585.8-1,715.41,921.51,621.11,733.71,052.7-3841,450.9-508.6-2,438.1-2,800.3-126.2-1,554.7-3,182.2-3,637.41,9561,292.11,585.9414.5182.8-511.2-1,008.5-549.2-1,006.9
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 00000000000000000.7-2-1.900000
Netto Kasstroomverandering -140.32,516-517.8333.9-461.6506.7-248.8154.8700.9-507.9-1,805.41,343.3956.5-363-367.61,263.6-246.4-50.51,188.8-740654.3477.4-302.8357.1
Kaspositie aan het Einde van de Periode 4,707.74,8482,3322,849.82,515.92,977.52,470.82,719.62,564.81,863.92,371.84,177.22,833.91,877.42,240.42,6081,344.41,590.81,641.3452.51,692.91,038.6623.8927.1