Southside Bancshares, Inc.

NASDAQ:SBSI

32.27 (USD) • At close November 1, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995
Operationele Activiteiten:
Nettowinst 86.692105.02113.40182.15374.55474.13854.31249.34943.99720.83341.1934.69540.49140.44645.86330.69616.68415.00114.59216.09913.56413.32511.7319.8257.95.45.0064.2054.532
Afschrijvingen & Amortisatie 10.57711.10511.42112.08412.11114.04510.2089.0848.6243.2683.6693.6063.3653.2042.8882.4587.2078.01610.66212.63816.02112.7219.5613.3096.26.62.8042.251.563
Uitgestelde Inkomstenbelasting -2.11-0.0894.752-4.430.1226.1543.5141.768-3.392-0.925-1.386-1.233-1.2540.883-1.642-0.378-0.532-0.2920.40.279-0.5370.28-0.17600-0.1-0.182-0.210.284
Aandelen Gebaseerde Vergoedingen 3.5523.2213.023.022.3882.3171.8151.5411.3951.0860.9110.5110.2610000.0270.02700000000000
Verandering in Werkkapitaal -41.40280.419.116-35.529-26.2871.653-4.4655.194-1.5851.317-9.201-4.6680.892-9.996-20.922-11.0130.455-9.368-1.061-4.474-4.0513.23-13.872-4.453-5.440.147-2.688-0.297
Vorderingen -1.139-10.205-0.437-10.256-1.1651.204-0.063-2.483-0.2642.512-3.0370.49-1.3930000000000000000
Voorraden 00000-3,604.975-3,691.108-2,067.18-3,554.525-3,598.455-2,572.62-2,397.258-849.4310000000000000000
Crediteuren 7.4221.378-2.257-3.2340.531.2570.572.3340.129-0.099-0.444-0.886-0.8880000000000000000.217
Overig Werkkapitaal -47.68589.22721.81-22.039-25.6523,604.1673,686.1362,072.5233,553.0753,597.3592,566.92,392.986852.604-9.996-20.922-11.0130.455-9.368-1.061-4.474-4.0513.23-13.872-4.453-5.440.147-2.688-0.514
Overige Niet-Contante Posten 24.68926.864.39433.22217.71824.09526.34619.78923.94230.45524.32336.65729.827-4.502-3.91319.339-1.243-1.7460.4430.2399.8691.997101.0270.05-0.70.60.903-1.3392.006
Kasstroom uit Operationele Activiteiten 81.998226.517156.10490.5280.606122.40291.7386.72572.98156.03459.50669.56873.58252.58624.90828.84522.59811.63824.74222.00329.81227.7104.1988.731815.28.6782.2188.088
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -6.904-9.301-8.365-11.435-15.883-13.444-9.633-6.549-3.765-5.162-5.662-3.109-3.915-6.902-6.814-1.466-4.581-1.305-5.456-1.994-3.082-4.68-4.256-5.868-4.2-3.1-5.153-3.07-2.822
Netto Overnames 0.431.36513.752-88.36-262.041-22.54891.657-139.479-251.439-127.02-99.446-186.79-15.634-58.947-26.6571.466-32.031.3055.4561.9943.0824.684.2565.8684.23.10.1150.0250.187
Aankoop van Beleggingen -2,046.01-709.939-692.675-916.873-1,253.139-306.867-625.658-1,046.398-1,083.281-803.163-1,640.168-1,864.763-1,528.116-1,693.609-1,626.149-1,270.815-386.906-327.253-530.146-544.799-672.952-481.259-633.035-390.956-400.3-474.4-210.058-129.595-118.348
Verkoop/verval van Beleggingen 2,115.641580.554494.257779.185980.478569.465827.309811.802962.409944.3531,375.0692,180.8221,188.0811,767.581,358.033834.774357.944298.4423.66408.494563.559451.387503.802355.176315.2204.7129.189102.707100.501
Overige Investeringsactiviteiten -392.364-497.458-0.97713.748-16.24535.298-110.938-3.78-8.333-76.2982.4041118.2366.5975.088-69.387-96.125-81.613-62.938-37.257-22.464-51.177-61.464-100.841-71.2-27.4-0.0231.0570.895
Kasstroom uit Investeringsactiviteiten -329.207-634.779-194.008-223.735-566.83261.904172.737-384.404-384.409-67.29-367.803137.16-341.34814.719-296.499-505.428-161.698-110.466-169.424-173.562-131.857-81.049-190.697-136.621-156.3-297.1-85.93-28.876-19.587
Financieringsactiviteiten:
Schuldaflossingen -343.592-3,511.68-15,586.713-21,937.497-245.229-270.976-289.866-264.8-22,771.367-7,091.125-52.712-16,113.337-13,211.23-9,251.466-7,991.05-15,053.612-7,921.744-7,525.355-4,004.737-1,413.745-2,826.092-10,335.382-4,928.812-1,098.521-176.2-188.3-11.365-4.59-10.289
Uitgifte van Gewone Aandelen 2.3061.2331.3531.4243.4314.1314.17578.9621.371.2131.3961.8741.4811.8232.32.08411.2064.4572.0481.6020000000.4030.4420.258
Terugkoop van Gewone Aandelen -44.803-33.708-34.148-30.989-2.575-47.441-0.222-10.30323,102.7417,149.982-1.899-7.41613,461.576-4.832-0.43-0.1328,076.4427,628.359-4.997-1.309000000-1.154-0.425-0.267
Uitgekeerde Dividenden -43.582-44.936-44.569-43.204-42.521-41.979-32.199-25.963-25.071-17.919-16.088-19.084-14.671-13.223-11.078-8.265-6.466-5.702-5.214-4.443-3.196-2.646-1.89-1.658-1.4-1.4-1.316-1.258-1.047
Overige Financieringsactiviteiten 1,038.1383,994.85215,795.32622,141.192276.069-101.88386.858157.8240.075-0.671177.37316,038.627-5.2259,227.38,257.24115,527.2780.6540.2524,159.5791,572.0632,928.94910,388.3035,031.0821,225.738325.6476.595.62437.82123.784
Kasstroom uit Financieringsactiviteiten 608.467405.761131.249130.926476.202-462.279-235.429386.358307.74841.48212.098-99.336231.931-40.398256.983467.353160.092102.011146.679154.16899.66150.275100.38125.559148286.882.19231.9912.439
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -378.099000000000000000000000000281.9000
Netto Kasstroomverandering 361.258-2.50193.345-2.289-10.022-77.97329.03888.679-3.6830.224-96.199107.392-35.83526.907-14.608-9.2320.9923.1831.9972.609-2.384-3.07413.881-2.331-0.3286.84.945.3320.94
Kaspositie aan het Einde van de Periode 560.51199.252201.753108.408110.697120.719198.692169.65480.97584.65554.431150.6343.23879.07352.16666.77476.00455.01251.82949.83247.22349.60752.68138.841.1323.436.59331.65326.321