Stifel Financial Corp.

NYSE:SF

115.3 (USD) • At close November 8, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 522.536662.155824.858503.472449.986393.968182.87181.5292.336176.067162.013138.57384.1341.90775.79855.50232.1715.43119.64423.14815.0072.782.019.2037.25.25.83.40.6-5.575.7-2.80.30.6
Afschrijvingen & Amortisatie 81.46270.2163.76260.48354.38440.45344.6357.57447.13841.64646.11934.96233.57829.36125.97832.2332.24115.06312.91216.70615.61712.17311.5538.1295.74.42.92.93.12.72.222.11.41.4
Uitgestelde Inkomstenbelasting 15.96812.69332.104-39.071-6.86314.254118.12946.062-5.7325.256-26.38945.51925.764-54.213-10.27-6.168-22.070.642-7.634-5.16000001.4-0.90.20000-0.4-0.50.1
Aandelen Gebaseerde Vergoedingen 140.263135.505119.384108.217102.19100.789140.461186.303165.64194.006137.44740.74726.411190.73147.96254.35656.3819.7518.7854.037000000000000000
Verandering in Werkkapitaal -322.42961.501-633.838986.034-0.536-166.27848.223-821.671-637.378-97.034212.16-452.872-173.276-65.839-524.711223.57-10.928-109.379-246.47558.663-61.313-14.1617.71724.36-71.518.340.9-52.2-27.79.714.2-15.81.6-0.6-11
Vorderingen 88.219228.492-214.033415.286-17.487182.61931.84177.3-1,003.25758.917-42.62772.2200000000000000000000000
Voorraden 00-286.023193.225176.6250167.746-842.249-338.242-290.83676.174-342.7100000000000000000000000
Crediteuren 7.545-201.588-92.015323.493-210.7129.173-13.808-158.408678.9262.55423.43349.623000049.585-10.88512.3890000000000000000
Overig Werkkapitaal -418.19334.597-41.76754.0351.038-358.07-137.5551.68625.195132.331155.18-232.005-173.276-65.839-524.711223.57-60.513-98.494-258.86458.663-61.313-14.1617.71724.36-71.518.340.9-52.2-27.7000000
Overige Niet-Contante Posten 182.209215.351465.82442.68127.7146.34128.035101.03711.16630.328170.869-71.19649.27740.28537.993-9.197-15.0413.8147.17-0.8760.4891.4290.9373.17-10.60.51.62.868.53.3-16.60.71.60.4
Kasstroom uit Operationele Activiteiten 620.0091,157.415872.0941,661.816626.861529.526662.349-349.175-326.829250.269702.219-264.26745.888142.232-347.25350.29372.754-54.678-205.59896.518-30.22.22232.21744.862-59.629.949.2-44.1-21.275.426.7-24.71.61.8-8.6
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -51.976-82.327-188.176-73.364-157.897-108.207-28.217-28.211-69.822-26.632-32.278-18.837-59.73-27.736-27.892-20.881-24.476-7.572-4.79700-3.183-4.513-4.163-4-4-1-0.4-1.2-2-1.6-2.6-1.9-0.6-1.1
Netto Overnames -111.958-11.903-144.47136.72-193.097-8.394-7.22-51.043-604.659-80.378-88.592-120.18-18.81713.422-251.652-10.589-33.329-9.243000002.92700000000000
Aankoop van Beleggingen -63.161-873.196-3,505.187-1,270.217-520.863-1,911.577-2,621.365-3,408.422-1,839.773-473.644-1,402.505-1,557.609-1,135.071-915.224-674.185-101.305-133.982-68.62-15.388-7.624-7.732-0.035-2.488-7.71-6.5-11.8-3.2-1.8-0.40-1-0.5-0.2-1.1-0.1
Verkoop/verval van Beleggingen 386.726465.5432,333.2711,058.8491,721.3972,096.7841,384.378695.5651,058.477855.941619.795650.661740.671415.349110.508107.37864.06574.44414.6493.6232.6830.9050.10.5434.80.10.13.81.70.11.101.90.90.5
Overige Investeringsactiviteiten 764.332-3,822.654-5,460.939-1,441.303-1,199.867-1,057.847-1,374.959-2,462.405-517.488-668.223-202.694-179.894-243.137-53.859-7.592-61.067-22.990-21.2990000-4.03600.10.2-0.10.9000000.3
Kasstroom uit Investeringsactiviteiten 923.963-4,324.537-6,965.502-1,689.315-350.327-989.241-2,647.383-5,254.516-1,973.265-392.936-1,106.274-1,225.859-716.084-568.048-850.813-86.464-150.712-10.991-26.835-4.001-5.049-2.313-6.901-8.403-5.7-15.6-3.91.51-1.9-1.5-3.1-0.2-0.8-0.4
Financieringsactiviteiten:
Schuldaflossingen -67.588-3,582.13-6,023.53-550-114.135-431.522-2,024.62-150-175-3.131-61.179-1.639-96.253-15.682-2.712-0.914-11.755-2.681-0.674-0.849-1.11-10.795-2.073-1.552-0.7-0.6-8.4-1.3-1.1-0.7-23-213.4-0.600
Uitgifte van Gewone Aandelen 0-3,582.13290.8881,984.951154.98832.27806,012.97900011.6033.9835.91140.00300000000000000000000
Terugkoop van Gewone Aandelen -538.263-105.831-322.741-58.261-248.698-170.204-12.998-113.462-117.7520-13.67-11.38-48.505-91.769000000000000000000000
Uitgekeerde Dividenden -200.265-171.028-101.923-73.758-59.267-44.013-23.063-3.9060000000000000-0.463-0.908-0.922-0.9-0.8-0.6-0.6-0.5-0.4-0.60000
Overige Financieringsactiviteiten 416.36110,632.53311,951.701-104.059-883.042,393.4341,796.551-27.4072,717.684126.328789.8733,436.781,234.4711,217.165982.867-71.153116.69476.803224.491-82.75934.718.92-20.61-36.25770.9-15.4-28.846.121.2-71.90.3243.9-0.1-0.69.3
Kasstroom uit Financieringsactiviteiten -254.5793,191.4145,794.3951,198.873-1,076.871,747.6951,760.495,718.2042,424.932123.197715.0241,725.335585.145515.7851,120.158-72.067104.93974.122223.817-83.60833.6-2.338-23.591-38.73169.3-16.8-37.844.219.6-73-23.330.5-0.7-0.69.3
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 5.45455.053-3.5366.8624.932-5.6917.895-12.6-3.601-7.3081.651.061-0.8071.7400000000000.10000000000
Netto Kasstroomverandering 1,294.84779.345-302.5491,178.236-795.4041,282.289-216.649101.913121.237-26.778312.619236.27-85.85891.709-77.905191.76226.9818.453-8.6168.909-1.649-2.4291.725-2.2724.1-2.57.51.6-0.60.51.92.70.70.40.3
Kaspositie aan het Einde van de Periode 3,523.8492,229.0022,149.6572,452.2061,273.972,069.374696.283912.932811.019689.782716.56403.941167.671253.529161.82239.72547.96320.98212.52921.14512.23613.88516.31414.58916.912.915.57.96.376.952.31.61.2