Simmons First National Corporation

NASDAQ:SFNC

20.34 (USD) • At close July 3, 2025
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 152.693175.057256.412271.156254.904238.167215.71392.9496.81474.36435.68823.23127.68425.37437.11725.2126.9127.3627.48126.96224.44623.7922.07816.52818.86917.216.51511.1109.99.47.55.3
Afschrijvingen & Amortisatie 46.11647.87748.96247.2249.03836.25728.41221.06216.97813.6547.9336.1275.5166.0675.7245.8415.7295.6265.6895.2316.0715.264.946.9297.2136.26.66.74.14.31.42.33.41.8
Uitgestelde Inkomstenbelasting -3.233-2.4614.93310.937-0.12234.9118.41223.2519.83213.599-9.029-4.6180.485-3.5718.4281.6130.7390.8652.221-1.342-2.9460.122-1.3421.382-1.359-0.3-1.6-0.50.1-0.10.10.8-0.5-0.6
Aandelen Gebaseerde Vergoedingen 11.2912.18915.31715.86813.19712.9219.72510.6813.4184.0181.4231.4171.3881.2040.9740.6270.54800000000000000000
Verandering in Werkkapitaal 145.439249.519-10.459-71.116.43719.339-16.717-18.733-18.06613.59-3.1814.0934.835-5.213-3.362-12.396-3.357-0.7393.93-0.5893.38415.276-3.969-17.6770.584-5.54.110.210-17.3-2.50.3-5.4
Vorderingen -0.813-19.538-22.1074.423-10.8463.231-6.227-2.432-1.1970.7130.359-1.0970.5962.2370.5183.0490.41500000000000000000
Voorraden 0000000000000000000000000000000000
Crediteuren 53.195-3.90810.417-50.6250.508-35.88633.978-14.194-14.9591.3936.511-3.0323.054-2.8472.282-5.387000000000000000000
Overig Werkkapitaal 93.057272.9651.231-24.903-23.22551.994-44.468-2.107-1.9111.484-10.0518.2221.185-4.603-6.162-10.058-3.772-0.7393.93-0.5893.38415.276-3.969-17.6770.584-5.54.110.210-17.3-2.50.3-5.4
Overige Niet-Contante Posten 73.61958.797-2.9673.699-130.911-85.517-18.565-14.638-17.842-34.866-21.187-4.161-3.8265.696-9.7748.8544.322.6882.2396.7418.1168.92810.27510.1197.7446.75.55.52.2-1341.1-23.5-4.24.3
Kasstroom uit Operationele Activiteiten 425.924540.979322.198277.78202.543256.078226.98114.56391.13484.35911.64836.08936.08229.55739.10729.74934.88935.841.5637.00339.07153.37631.98217.28133.05124.331.136.927.50.259.8-13.56.55.4
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -45.509-33.086-35.268-47.861-13.272-67.831-29.74-34.216-18.892-14.832-11.293-4.772-2.268-14.47-4.001-4.257-8.353-12.24-9.238-10.15-10.212-3.74-4.989-3.565-4.89-6.4-6.9-18.5-6.1-8.3-3.6-2.2-2-2
Netto Overnames 00276.39625.4250178.260-38.796106.419128.75611.34335.48500000000-2.94302.4770-14.398000000000
Aankoop van Beleggingen -7.071-75.886-592.648-5,974.728-4,449.817-1,708.948-785.285-855.568-867.734-504.767-678.855-363.91-1,020.744-620.088-794.56-943.001-473.762-177.499-165.301-106.141-184.022-541.939-548.251-516.619-133.649-189.1-286.6-304.4-181.9-133.7-150-84.9-78.5-51.6
Verkoop/verval van Beleggingen 633.471635.9421,224.1521,359.9584,078.2642,051.817338.9851,264.824854.297748.565640.354322.6271,063.143536.072928.358939.984362.767177.502161.937122.528198.56451.356592.426470.072148.097191281.9301.7168103.2177.188.94529.4
Overige Investeringsactiviteiten -211.384-710.563-1,818.8652,099.471,574.694151.179-919.082-674.715-325.039-223.00950.66518.965146.872200.042293.03740.727-91.094-72.324-72.429-176.598-89.876-58.186-0.96525.155-114.704-84.3-64.1-88.2-47.9-20-24-27.1-41.7-3.2
Kasstroom uit Investeringsactiviteiten 369.507-183.593-946.233-2,537.7361,189.869604.477-1,395.122-338.471-250.949134.71312.2148.395187.003101.556422.83433.453-210.442-84.561-85.031-170.361-88.493-152.50940.698-24.957-119.544-88.8-75.7-109.4-67.9-58.8-0.5-25.3-77.2-27.4
Financieringsactiviteiten:
Schuldaflossingen -226.994113.07-572.915-81.81738.541-215.306177.791518.865106.229-143.914-13.385-8.988-19.232-44.257-95.9983.6875.72118.407-7.8130.453-27.61763.35212.0219.5851.242-18.224.151.94.5-10.7-5.82.1-0.8-14.4
Uitgifte van Gewone Aandelen 0.375001.1701.3121.0260.618000000.4741.37472.1120.900000000000000000
Terugkoop van Gewone Aandelen 0-40.322-111.133-133.226-113.327-52.12800-30.85200-10.848-17.567-3.2832.3470-1.28-7.659-5.045-9.105-1.3950000000000000
Uitgekeerde Dividenden -105.439-100.962-94.096-78.892-74.645-64.26-55.646-35.116-28.767-27.283-15.359-13.707-13.495-13.156-13.091-11.245-10.601-10.234-9.666-8.757-8.263-7.407-6.789-6.241-5.822-5.4-4.9-4.4-2.7-2.2-1.7-1.4-1.2-1
Overige Financieringsactiviteiten -389.713-397.202433.648730.8581,236.635-407.6961,281.41352.542115.75-131.522-198.589-9.358-205.247.729-254.37786.3140.1197.326115.57398.60938.81354.734-80.40880.818123.94429.717.687.332.970.9-26.9728.136
Kasstroom uit Financieringsactiviteiten -722.146-425.416-344.496438.4571,083.117-697.391,403.558536.291193.212-302.719-227.333-42.901-255.494-12.967-363.466150.847204.8597.8493.04981.21.538109.203-75.97691.382116.4236.437.11353458-34.423.826.121.5
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0000000000000000000000000000-69.2-73.4-74-49.1-64.1-108.7
Netto Kasstroomverandering 73.285-68.03-968.531-1,821.4992,475.529163.165235.416312.38333.397-83.647-203.4711.583-32.409118.14698.475214.04929.306-40.92149.578-52.158-47.88410.07-3.29683.70629.93-58.1-7.562.6-79.6-74-49.1-64.1-108.7-109.2
Kaspositie aan het Einde van de Periode 687.377614.092682.1221,650.6533,472.152996.623833.458598.042285.659252.262335.909539.38537.797570.206452.06353.585139.536110.23151.151101.573153.731201.615191.545194.841111.13581.2139.3146.8000000