Raymond James Financial, Inc.

NYSE:RJF

145.37 (USD) • At close May 9, 2025
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 2,0681,7391,5091,4038181,034850.917636.235506.078500.53448.151362.99295.869278.353228.283152.75235.078250.43214.342151.046127.57586.31779.30396.41125.19585.192.798.96646.142.149.34126.717.912.4
Afschrijvingen & Amortisatie 17916514513411911298.73584.13272.38368.31564.16366.35951.44540.33739.52734.56327.98222.63119.17317.78116.82718.34422.81331.25923.8542016.813.311.39.77554.14.43.9
Uitgestelde Inkomstenbelasting -83-88-16-37-39-23117-11.617-58.798-23.462-35.171-31.7892.044-6.008-0.026032.422-11.515-6.097-15.301-5.094-14.731-15.9176.5-4.597-6.8-8.5-3.2-0.2-0.4-2.7-2-5.5-3.2-2.9-2.7
Aandelen Gebaseerde Vergoedingen 2542371921321201129996.16476.42671.48869.60961.86255.72940.9780.04231.74642.1270.037017.03117.6310016.42000000000000
Verandering in Werkkapitaal 4-5,848-2,1265,1542,581-824-253400.679-1,108.063312.421-116.492155.6601,266.06-1,403.50940.497-320.981104.203-281.753197.621-380.617-58.881-91.23898.692-229.749156349.2196.2318.8201.5173.5-37.6-119.325.715.465.3
Vorderingen 00-3230127617-522.372-50.917-621.161-56.394-159.56288.162144.047-82.163-0.22000000000000000000000
Voorraden 004,5360001,094.8591,634.542-2,224.392-422.0231,633.12000-1,400.547000000000000000000000
Crediteuren 00-4,21302,486-1,231345.996-1,133.2831,817.304594.464-1,800.9571,307.60701,312.192-0.462000000000000000000000
Overig Werkkapitaal 4-5,848-2,1265,154-32-210-1,171.483-49.663-79.814196.374210.907-1,240.109-285.05536.031-2.2840.497-320.981104.203-281.753197.621-380.617-58.881-91.23898.692-229.749156349.2196.2318.8201.5173.5-37.6-119.325.715.465.3
Overige Niet-Contante Posten -267281368-161455166-28.652-1,330.593-6.35-30.11577.32744.723-13.798-61.279114.29154.86119.0374.43915.45341.7440.602160.14159.263-68.789-25.766-3.9-1.3-5.2-1.41.6-81.2-45.16.248.9-4.16.5
Kasstroom uit Operationele Activiteiten 2,155-3,514726,6254,054577884-125-518.324899.177507.587659.805391.2891,558.441-1,021.393414.416135.658440.225-38.882409.918-183.076191.1954.224180.492-111.063250.4448.9300394.5258.5138.7-30.4-72.6102.230.785.4
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -205-173-91-74-124-138-133.586-189.994-121.733-74.111-60.149-72.879-77.515-37.2-22.287-35.539-51.043-46.081-27.28-30.154-22.028-28.775-26.39-27.08-20.262-20.5-45.8-25.5-10.1-9.6-14.7-15.2-7.4-6.4-4.4-2.2
Netto Overnames 001,461-266-5-5-159.20-175.283-15.823-2.007-6.45-1,073.6210000-18.078-89.73530.15422.02828.7750020.262-67.6025.510.10000000
Aankoop van Beleggingen -53743-3,069-4,218-5,710-1,035-1,124-1,733-463.202-154.901-1.591-62.102-249.379-251.817-29.977-214.089-228.113-857.089-1,707.14-136.503-66.011-98.299-251.855-169.952-141.757-216.7-190.2-178.8-167.5-101-63.3-3.6-0.9-0.7-6.9-6.4
Verkoop/verval van Beleggingen 2,0301,4131,8363,1771,410644540399.332114.071153.972197.176351.36490.482170.034126.524190.086122.634106.2951,087.87680.92198.73207.9650202.925141.582198.1117.871.993.3525.12.82.64.710.84.8
Overige Investeringsactiviteiten -2,256-1,557-7,288-3,759-556-1,363-2,599.128-1,852.338-2,271.756-2,077.096-2,230.193-861.907-1,421.182-281.162,291.961-1,006.799-2,628.097-2,118.902-1,305.521-369.148-22.028-28.775266.274-48.469-20.2620-0.1-25.5-10.10.90.80.30.20.90.1-0.1
Kasstroom uit Investeringsactiviteiten -968-274-7,151-5,140-4,985-1,897-3,475.914-3,376-2,917.903-2,167.959-2,096.764-651.974-2,731.215-400.1432,366.221-1,066.341-2,784.619-2,933.855-2,041.8-424.7310.69180.891-11.971-42.576-20.437-106.7-118.3-132.4-84.3-57.7-72.1-15.7-5.5-1.5-0.4-3.9
Financieringsactiviteiten:
Schuldaflossingen -502,651585,5565,0092,3341,594.1934,196.749447.8141,877.741545.867-49.949713.296-2,302.2761,556.93-876.0972,089.58417.73444.04381.325-30.81617.647-12.86325.408-69.0342.330.6-10.79.3-0.22.9-0.1-0.1-0.1-0.1-0.1
Uitgifte van Gewone Aandelen 000000000000362.82300000000000000000000000
Terugkoop van Gewone Aandelen -984-902-216-150-291-778-62-34-162.502-88.542-8.427-11.718-20.86-23.111-3.537-4.339-67.2430000000000000000000
Uitgekeerde Dividenden -383-355-277-218-205-191-151.336-127.202-113.435-103.143-88.102-76.593-68.782-63.09-56.009-54.14-53.151-48.488-37.57-26.3-20.664-17.639-18.508-17.429-13.878-13.3-11.6-9.9-7.9-7.4-6.7-2.8-3.4-2.1-1.4-1.1
Overige Financieringsactiviteiten 1,85546,3141411618102.70186.862,368.60287.813774.623753.692892.798709.093-2,209.562692.763,224.2952,736.3321,804.545330.825000000.10.5000.1-0.100000
Kasstroom uit Financieringsactiviteiten 4381,4385,8795,2544,5931,3731,420.1824,0652,540.4791,725.9051,223.961615.4321,879.275-1,679.384-712.178-241.8165,193.4852,743.0761,839.038408.801-38.815-17.267-28.47917.636-102.015-33.424.7-14.14.7-7.7-20.3-4.8-2.3-1.5-6.5-0.4
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 175239-590761-23024.79100-32.337-6.6670.976-0.8241.116-1.4503.07904.7965.39210.318-2.743-2.368-0.8110-330-167.6-310.2-200.8-66.646.178.1-100.7-30.3-81.5
Netto Kasstroomverandering 1,800-2,111-1,7906,8153,66330-1,205611-950.554401.943-397.553616.596-459.675-503.544637.154-901.4082,562.55248.871-239.442398.785-205.808265.13211.031153.184-234.326110.3354.7-14.14.7-7.7-20.3-4.8-2.3-1.5-6.5-0.4
Kaspositie aan het Einde van de Periode 14,34812,54814,65916,4499,6345,9715,9417,1461,650.4522,601.0062,199.0632,596.6161,980.022,439.6952,943.2392,306.0853,207.493644.943641.691881.133482.348734.631469.499458.4681,119.5171,353.81,243.5721.2425.1219.5132.9199.8282.7184.2241.8166.8