Stifel Financial Corp.

NYSE:SF

108.12 (USD) • At close January 7, 2025
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 3,361.8012,199.9851,963.3262,279.2741,142.5961,936.56696.283912.932811.019689.782716.56403.941167.671253.529161.82239.72547.96320.98212.53521.15112.24113.91516.50514.58916.912.815.486.36.9752.31.61.2
Kortetermijnbeleggingen 1,551.6861,636.0412,113.8932,230.2973,254.7373,070.4473,773.5083,181.3131,629.9071,513.4781,756.2531,625.16801,012.714578.48850.39787.107000000000000000000
Liquide middelen en kortetermijnbeleggingen 3,361.8011,665.0584,077.2194,509.5714,397.3335,007.0074,469.7914,094.2452,440.9262,203.262,472.8132,029.109167.671253.529161.82239.72547.96320.98212.53521.15112.24113.91516.50514.58916.912.815.486.36.9752.31.61.2
Nettovorderingen 1,255.6511,342.4761,727.1331,485.9921,979.5761,717.05102,440.6882,201.0491,134.961911.524763.9850725.221692.831109.414179.45134.2289.96838.42334.97832.99449.848.1549.930.439.418.2173.6163.2130.7124.74.66.810.9
Voorraad 02,229.0023,876.793,938.1983,253.5463,786.42500000000000000000000000000000
Overige vlottende activa 000000000000033.9642,059.2171,064.7441,161.426907.869725.649319.43354.884365.48359.968380.436384.669282.6254.3268.139.9000000
Totaal vlottende activa 4,617.4521,665.0585,804.3525,995.5636,376.9096,724.058807.6624,094.2452,440.926900.037933.788640.375220.5161,012.7142,913.8681,413.8831,388.8391,063.071828.152379.004402.103412.389426.273443.175451.469325.8309.1294.3219.8170.1137.7129.76.98.412.1
Niet-vlottende activa:
Materiële vaste activa, netto 969.744975.992918.94961.0961,107.928372.939155.12172.828181.966124.246106.446141.403104.7471.49862.11547.76540.66114.35311.4229.1166.6067.27710.4799.8767.65.32.22.234.84.54.73.92.22.7
Goodwill 1,388.2431,326.5481,306.8921,181.9981,194.0741,034.679968.834962.282915.602795.026727.336419.393358.988301.919166.725128.27891.886000000000000000000
Immateriële activa 133.279130.589148.157140.984161.773119.655109.627116.30463.17754.56349.88928.96733.86334.59524.64815.98418.715000000000000000000
Goodwill en immateriële activa 1,521.5221,457.1371,455.0491,322.9821,355.8471,154.3341,078.4611,078.586978.779849.589777.225448.36392.851336.514191.373144.262110.60121.70313.8493.313.313.313.8075.2611.63.94.24.544.31.51.71.92.12.4
Langetermijnbeleggingen 08,457.628,737.2597,155.5717,163.868,624.7328,726.6697,278.3264,415.7663,688.1534,087.093,333.2182,118.7841,688.461,150.356273.954296.647380.484240.72562.84424.41561.49556.52957.23828.738.619.218.919.523.33841.825.717.529.9
Belastingvorderingen 0159.207111.283430.688348.31164.456160.036283.93600000197.13953.46247.33736.632010.3360000000000000000
Overige niet-vlottende activa 121.522-8,457.62-111.283-430.688-348.31-164.45610,456.0056,221.4355,318.4783,956.1263,104.3212,402.7842,115.009906.79-1,203.818-369.056-373.94-394.837-262.483-71.96-24.415-61.495-56.529-57.238-36.269-38.6-19.2-18.9-19.5-32.4-44-48.2-31.5-21.8-35
Totaal niet-vlottende activa 2,612.7882,592.33611,111.2489,439.6499,627.63510,152.00520,576.29115,035.11110,894.9898,618.1148,075.0826,325.7654,731.3843,200.401253.488144.262110.60121.70313.8493.319.91610.58714.28615.1371.6319.26.46.7732.44448.231.521.835
Totaal activa 37,727.4637,196.12434,049.71526,604.25424,610.22524,519.59821,383.95319,129.35613,335.9159,518.1519,008.876,966.144,951.94,213.1153,167.3561,558.1451,499.441,084.774842.001382.314412.019422.976440.559458.312453.1335315.5301226.8222.2196.5191.1122148.7158.2
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 2,304.1362,129.5722,363.8312,411.6142,599.5911,613.831,413.4191,765.6911,787.493637.839663.045587.883642.9910372.307235.5870000000000000000000
Kortlopende schulden 000000000055.758.992199.4109.690.80127.85195.6170.69721.9635.6543.466.888.2512362.989.2132.486.565.739.762.131.356.153.8
Belastingschulden 00000000000000000000000000000000000
Uitgestelde opbrengsten 012.817.512.111.39.5-489.70415.200-55.7000000000000000000000000
Overige kortlopende verplichtingen 117.688-1,452.196-2,363.831-2,411.614-2,599.591-1,613.8315,281.51813,261.866-1,787.4935,850.7745,823.2554,358.1252,724.609-109.6-463.107-235.587-127.85599.4-170.697-21.963271.35264.6285.2285.75236196.1165.8120.694.5000000
Totaal kortlopende verplichtingen 2,421.8241,264.2822,363.8312,411.6142,599.4411,613.8316,694.93715,027.5579,862.9996,488.6136,5425,0053,5672,8762,21188298079561721627730835237435925925525318165.739.762.131.356.153.8
Langlopende verplichtingen:
Langetermijnschulden 1,175.6291,174.5541,173.4781,172.4091,327.011,796.6282,083.441,740.3911,069.584707.5407.5466.492281.9082.50953569.534.5410.1920.50611.28511.77136.121.410.110.611.612.610.911.511.11010
Uitgestelde opbrengsten niet-vlottend 012.817.512.111.39.5-54.88415.2003.1315.31800000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 0268.018256.124294.211243.9352.44854.88458.48300196.714-70.64300000000000000000000000
Overige niet-vlottende verplichtingen -1,175.62930,015.723-1,173.478-1,172.409-1,327.01-1,796.62815,944.96414,355.203-1,069.5846,129.563-407.5-466.492-281.90-82.50-95-35-69.5-34.541-0.192-0.506-11.285-1.771-1.1-0.4-0.1-0.6-0.6-12.6-10.9-11.5-11.1-10-10
Totaal niet-vlottende verplichtingen 31,847.41730,603.3711,173.4781,172.4091,327.161,613.831,827.441,363.391970.636707.5408466838383839570703535351010352110101165.739.762.131.356.153.8
Totaal passiva 32,433.02931,867.65329,014.75622,365.48820,940.43521,322.00518,522.37716,390.94810,843.4997,196.1136,950.0215,471.4793,649.7952,959.2322,293.91964.961,074.803864.509686.908251.002311.974342.986361.937384.134394280265.4263.2192188157.5159.597.3121.2130.1
Eigen vermogen:
Preferente aandelen 685685685535310150150150000000000000000000000000000
Gewone aandelen 16.74916.74916.74916.74911.16611.16610.74610.42610.4269.959.5628.2458.0585.3724.5583.9452.3321.8041.1611.1521.1521.1521.1521.1291.10000000000
Ingehouden winsten 3,398.613,169.0952,757.2082,078.1351,715.7041,366.5031,033.526876.958805.685716.305540.238383.97277.195232.415244.615168.993125.30394.65180.27973.52551.16836.16133.92932.82724.518.317.416.715.81722.518.113.115.915.5
Overige gereserveerde algehele resultaten -74.326-117.964.71827.639-11.705-72.523-26.736-39.042-39.533-38.331-35.034.918-7.9380.3811.302-7.233-1.806-1.355-1.563-1.772-1.979-2.193-2.426-2.76-3.20000000000
Overige totale aandeelhoudersvermogen 1,268.3981,575.5871,571.2841,581.2431,589.6261,712.4471,694.041,740.0661,715.8381,634.1141,544.0791,097.5281,024.8161,015.715622.971427.48298.808125.16575.21658.40749.70444.8745.96742.98236.739.732.721.11917.216.513.511.611.612.6
Totaal eigen vermogen van aandeelhouders 5,294.4315,328.4715,034.9594,238.7663,614.7913,167.5932,861.5762,738.4082,492.4162,322.0382,058.8491,494.6611,302.1051,253.883873.446593.185424.637220.265155.093131.312100.04579.9978.62274.17859.15550.137.834.834.23931.624.727.528.1
Totaal eigen vermogen 5,294.4315,305.7165,243.4073,989.733,669.793,197.5934,391.6353,761.1782,492.4162,322.0382,058.8491,494.6611,302.1051,253.883873.446593.185424.637220.265155.093131.312100.04579.9978.62274.17859.15550.137.834.834.23931.624.727.528.1
Totaal passiva en aandeelhoudersvermogen 37,727.4637,196.12434,049.71526,604.25424,610.22524,519.59821,383.95319,129.35613,335.9159,518.1519,008.876,966.144,951.94,213.1153,167.3561,558.1451,499.441,084.774842.001382.314412.019422.976440.559458.312453.1335315.5301226.8222.2196.5191.1122148.7158.2