Peoples Financial Services Corp.

NASDAQ:PFIS

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

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997
Operationele Activiteiten:
Nettowinst 27.3838.0943.51929.35425.73624.9218.45719.58317.72317.6495.72110.5897.8176.4855.0493.0394.8714.1294.4764.4535.5645.0154.8363.9053.7873.4053.011
Afschrijvingen & Amortisatie 3.4974.0343.6424.254.2113.2142.9842.8472.793.0050.5981.1221.2030.9770.9541.321.5251.3171.3311.2191.3450.9510.7370.6410.6420.7090.64
Uitgestelde Inkomstenbelasting 1.2680.6110.45-1.7790.394-0.6811.665-0.965-0.2061.146-1.1430.353-0.183-0.0751.514-1.737-0.0830.0140.274-0.3-0.111-0.079-0.047-0.07-0.032-0.0370.022
Aandelen Gebaseerde Vergoedingen 0.8880.5340.5460.570.5540.2720.1770.0710.0690.070.0250.04000000000000000
Verandering in Werkkapitaal -1.075-4.4412.402-0.534-0.758-0.401-0.467-1.627-1.263-3.7672.188-0.23-1.0681.096-4.6010.1450.355-2.70.1110.3361.297-0.03-1.65-0.23-0.1990.036-0.284
Vorderingen -1.019-3.187-0.273-1.2740.134-0.179-0.708-0.432-0.2160.2860.6210.39-0.44500000000000000
Voorraden 00000-1,811.234-1,650.156-1,537.599-1,380.029-1,272.564-1,245.988-698.211-426.34300000000000000
Crediteuren 4.8620.495-0.328-0.5410.0820.6980.035-0.098-0.014-0.149-0.466-0.294-0.027-0.135-1.20300000000000.040.063
Overig Werkkapitaal -4.918-1.7493.0031.281-0.9741,810.3141,650.3621,536.5021,378.9961,268.661,248.021697.885425.7471.231-3.3980.1450.355-2.70.1110.3361.297-0.03-1.65-0.23-0.199-0.005-0.347
Overige Niet-Contante Posten 1.5563.529-9.7885.3196.9425.3025.7778.1449.1242.4592.426-0.328-0.3782.7251.2365.6580.3413.011-0.0081.9580.086-0.031-0.1040.190.1280.2420.094
Kasstroom uit Operationele Activiteiten 33.51442.35740.77137.1837.07932.62628.59328.05328.23720.5629.81511.5468.64711.2084.1528.2097.0935.7025.8777.377.5436.3763.7564.4364.3264.3563.483
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -5.925-7.831-4.885-2.292-5.603-4.069-6.247-6.764-4.521-1.174-0.614-2.897-0.603-1.448-0.658-2.282-0.325-0.956-1.424-0.86-0.962-0.806-0.346-0.338-0.316-0.222-5.09
Netto Overnames 0.0140.1712.153-240.872-119.998-133.0722.3-195.408-132.826-34.7122.3927.268-50.439-57.118-20.512.2820.3250.9561.4240.860.9620.8060.3460.2040.1570.06-3.803
Aankoop van Beleggingen -123.736-138.71-358.601-107.196-124.501-32.709-73.471-64.067-93.452-102.304-22.135-46.297-38.119-73.261-90.505-71.624-81.163-73.973-41.545-40.786-69.399-55.934-37.43-22.813-33.408-34.235-73.64
Verkoop/verval van Beleggingen 99.04290.43960.399150.16967.85131.99157.02282.097142.82165.11434.19961.05123.95684.59370.44663.75276.70973.53244.08241.3357.63752.2437.27318.10930.36440.4975.666
Overige Investeringsactiviteiten 4.589-411.887-149.169-1.049-2.473.053-164.167-2.215-1.2321.165-48.7591.5920.2681.748-0.083-28.3-20.199-19.641-16.239-11.853-16.048-28.43-26.062-19.857-11.451-26.04-32.561
Kasstroom uit Investeringsactiviteiten -26.016-467.819-440.103-201.24-184.721-134.806-184.563-186.357-89.21-71.909-14.91720.717-64.937-45.486-41.31-36.172-24.653-20.082-13.702-11.309-27.81-32.124-26.219-24.696-14.654-19.947-39.429
Financieringsactiviteiten:
Schuldaflossingen -24.445-2.156-12.058-121.614-21.173-11.828-8.4-2.22-2.733-3.548-11.166-12.823-8.409-11.414-0.941-3.843-9.266-1.345-23.464-0.918-0.792-0.25600000
Uitgifte van Gewone Aandelen 0000000000.021000.1590.1170.0850.2340.1630.1010.26300000.1790.10900
Terugkoop van Gewone Aandelen -5.886-1.253-2.361-6.893-0.63400-0.604-5.188-0.17900-0.83500-0.234-0.163-0.101-0.2630000-0.659-0.354-0.199-0.062
Uitgekeerde Dividenden -11.659-11.325-10.792-10.518-10.131-9.693-9.319-9.17-9.319-9.36-5.511-5.504-2.523-2.48-2.381-2.417-2.383-2.392-5.542-2.311-2.057-1.85-1.529-1.341-1.129-0.995-0.735
Overige Financieringsactiviteiten 135.099198.131476.284500.124178.117118.829171.236177.32279.70444.52925.245-0.57260.61646.98140.77744.1525.43523.80137.5227.11722.83226.91523.67422.2114.36216.04639.224
Kasstroom uit Financieringsactiviteiten 141.999183.397451.073361.099146.17997.308153.517165.32862.46431.4638.568-18.89949.00833.20437.5437.8913.78620.0648.5163.88819.98324.80922.14520.38912.98814.85238.426
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -149.28700000000000000000000000000
Netto Kasstroomverandering 149.497-242.06551.741197.039-1.463-4.872-2.4537.0241.491-19.8843.46613.364-7.282-1.0740.3829.927-3.7745.6840.691-0.051-0.284-0.939-0.3180.1292.66-0.742.48
Kaspositie aan het Einde van de Periode 187.36537.868279.933228.19231.15332.61637.48839.94132.91731.42651.3147.84410.55917.84118.91518.5338.60612.386.6966.0056.0566.347.2797.5977.4694.8095.549