SLM Corporation

NASDAQ:SLM

22.08 (USD) • At close September 19, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 581.391469.0141,160.513880.69578.276487.476288.934250.327274.284193.7851,417937633530.382324.985-212.626-896.3941,156.9561,382.2841,913.271,533.56791.996383.996465.017500.8501.5507.9419.4366.3402.8430.1393.9345.1300.9257.6
Afschrijvingen & Amortisatie 84.17525.1116.04315.06614.66913.82911.6410.4988.9179.3891310.96224698.902000000000000000000000
Uitgestelde Inkomstenbelasting -20.408-88.43965.81781.8421.93529.514-58.752-88.732-77.227-40.88812901,4421,002.128000000000000000000000
Aandelen Gebaseerde Vergoedingen 36.3834.46130.64936.46430.631.52427.89922.94421.59824.97147475639.7551.06586.27174.62181.16300000000000000000
Verandering in Werkkapitaal -1,049.9-848.654-782.455-1,091.574-1,014.071-942.33-688.398-567.864-283.577-602.206436807949683.961363.485321.917-1,663.054-393.496-1,098.833-469.496341.372-267.315-166.112304.979-118.7-289.1-452.8154.2-67.4-69.7-42.817.4-53.2-50.4-147.2
Vorderingen -1,054.071-819.958-743.757-876.703-963.885-864.461-703.081-582.361-377.648-331.014-68361463-3.928893.516-279.082-1,046.124-970.5800000000000000000
Voorraden -28.0530-15.057-199.43-53.30316,718.25915,928.60113,975.0112,604.462-2,633.95714,13519,27528,247-6,216,976.9310-131,943.00533,811.5634,093.14100000000000000000
Crediteuren 33.4824.986-13.672-14.60213.81725.97914.3043.7360.3032.985-23-4175-77.18-517.401-200.501214.401277.61700000000000000000
Overig Werkkapitaal -1.256-53.682-9.969-0.839-10.7-16,822.107-15,928.222-13,964.249-12,510.6942,359.78-13,608-18,788-27,8366,217,742-12.63132,744.505-34,642.894-3,793.674-1,098.833-469.496341.372-267.315-166.112304.979-118.7-289.1-452.8154.20000000
Overige Niet-Contante Posten 223.725413.5-540.089-105.157372.95277.246251.765171.895-35.198-21.824-42845-23-9,647.617-16,653.244-5,893.9122,433.53-36.202-982.278-1,760.99-1,200.487237.96621.504-25.349-43.9-88.400-113134.1-148-40.566.599.630.4
Kasstroom uit Operationele Activiteiten -144.6374.992-49.522-182.669-15.641-102.741-166.912-200.932-91.203-436.7732,0002,6363,081-6,692.494-15,913.709-5,698.35-51.297808.421-698.827-317.216674.445762.641839.388744.647338.212455.1573.6185.9467.2239.3370.8358.4350.1140.8
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -207.633002,330.44500000000000-13,347.5810-13,815.598000-49.9110-448.754-317.70000000000
Netto Overnames -14.654-127.654016.92200000000000-37.8680-339.836-237.919-868.404-113.61449.9110448.754317.70000000000
Aankoop van Beleggingen -105.97-753.129-1,257.129-2,083.261-356.414-15.876-78.327-55.767-64.112-72.049-448-308-419-38,444.964-128,479.087-101,640.842-90,417.954-86,255.39-67,221.395-293,235.655-275,717.328-50,380.011-45,450.862-66,608.536-12,972.3-9,853.8-16,639.9-15,966.5-55,469-98,938.7-93,282.8-96,666.1-43,304.4-9,557.5-10,411.4
Verkoop/verval van Beleggingen 265.652960.015865.766654.51550.91577.89740.04438.72133.73510.65341927745839,601.218128,131.106103,172.62289,861.78886,320.18368,223.713294,142.868274,564.24450,836.71445,553.86164,830.30215,785.520,516.219,027.716,113.758,037.694,340.597,947.792,284.641,188.27,85910,992.7
Overige Investeringsactiviteiten 50.145998.162,996.03628.709-2,001.215-3,316.884-3,174.233-3,313.995-1,817.132-1,326.9759,23911,8769,4356,257.856659.0321,186.382-30,700.206-375.283-16,433.222-8,814.08-5,888.473-561.854-3,259.9762,630.051-6,984.5-7,891.45,456.41,495.20.10-5,498.8-1,032.8-3,039.8-4,148.7-3,452.4
Kasstroom uit Investeringsactiviteiten -12.461,077.3922,604.673947.33-2,306.714-3,254.863-3,212.516-3,331.041-1,847.509-1,388.3719,21011,8459,4747,414.11311.051-10,667.287-31,256.372-14,465.924-15,668.823-8,775.271-7,155.171-105.151-3,156.977851.817-4,171.32,7717,844.21,642.42,568.7-4,598.2-833.9-5,414.3-5,156-5,847.2-2,871.1
Financieringsactiviteiten:
Schuldaflossingen -19.233-1,278.183-1,346.522-1,292.557-1,051.462-1,188.64-834.905-1,064.186-751.9810-27,220-32,077-23,116-22,154.734-18,452.867-18,979.456-18,199.009-26,947.786-7,181.022-17,794.337-18,658.436-19,430.003-9,095.001-17,924.421-9,809.6-12,490.1-15,994-15,744.4-178,960.7-129,250.4-66,708.1-68,358.7-5,152.1-5,588.7-3,030.9
Uitgifte van Gewone Aandelen 00339.838109.9296,676.92804,025.13100019,07919,5878,7870.1950.6645.9792,125.111192.52270.315289.965339,296440,6580000000000000
Terugkoop van Gewone Aandelen -350.264-713.197-1,530.683-626.222-167.2010-165000-600-900-30018,632.30136,931.31931,652.701-2,222.394-482.855-732.342-777.293-917,353-652,0520000000000000
Uitgekeerde Dividenden -118.938-121.99-65.198-56.085-67.951-15.64-15.714-21.204-19.595-12.933-284-257-172-71.849-115.775-110.556-139.155-433.334-376.904-332.814-278.383-142.26-126.408-116.149-99.1-95.3-93.6-101.7-110.9-123.6-118.9-105.9-90.3-67.6-48.4
Overige Financieringsactiviteiten 172.2031,258.478-16.951-10.777-29.0945,607.604-14.5384,119.9372,766.7272,014.992-8952726971,144.785-760.672284.9454,703.92541,451.52523,490.77129,254.868604,640.323230,352.07411,519.53116,588.82414,215.69,752.37,971.412,648.1175,308.4134,653.966,560.469,442.49,049.110,866.59,663.1
Kasstroom uit Financieringsactiviteiten -316.232-854.892-2,619.516-1,875.7125,361.224,403.3242,994.9743,034.5471,995.1512,002.059-9,920-13,375-14,104-2,449.30217,602.66912,853.60836,268.47813,780.0715,470.81810,640.3897,646.504-614.1892,298.122-1,451.7464,306.9-2,833.1-8,116.2-3,198-3,763.25,279.9-266.6977.83,806.75,210.26,583.8
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0000000000000000000000000.1-2,895-7,899.3-2,216-2,754.64,131594.65,043.54,797.65,497.12,730.3
Netto Kasstroomverandering -473.329227.492-64.365-1,111.0513,038.8651,045.72-384.454-497.42656.439176.9151,2901,106-1,549-1,727.6862,000.011-3,512.0294,960.809122.567-896.8321,547.9021,165.77843.301-19.467144.718473.9-2,833.1-8,116.2-3,198-3,763.25,279.9-266.6977.83,806.75,210.26,583.8
Kaspositie aan het Einde van de Periode 4,299.5074,772.8364,545.3444,609.7095,720.762,681.8951,534.3391,918.7932,416.2192,359.785,1903,9002,7944,342.3276,070.0134,070.0027,582.0312,621.2222,498.6553,395.4871,652.47758.302715.001734.468589.8-2,779.1-7,845.3-1,945.1-1,501.76,392.51,707.27,017.310,83712,527.410,047.6