Seneca Financial Corp.

OTC:SNNF

9.85 (USD) • At close November 17, 2023
Overzicht | Financiële gegevens

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

2024 Q12023 Q42023 Q32023 Q22023 Q12022 Q42022 Q32022 Q22020 Q22020 Q12019 Q42019 Q32019 Q22019 Q12018 Q42018 Q32018 Q22018 Q12017 Q42017 Q32017 Q2
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten -10.58-3.925.3786.73620.724.4274.4274.40910.2964.6073.0942.9433.7322.2383.474.3023.434.0124.3755.612.395
Kortetermijnbeleggingen 0000000037.63528.46227.95927.9225.79227.00826.17400022.09700
Liquide middelen en kortetermijnbeleggingen -10.58-3.925.3786.73620.724.4274.4274.40947.93133.06931.05330.86329.52429.24629.6444.3023.434.01226.4725.612.395
Nettovorderingen 000000001.0720.8370.7990.7820.7630.7720.7710.7830.6540.6650.6660.6350.644
Voorraad 000000000000000000000
Overige vlottende activa 10.585.0785.3786.73620.725.5945.3824.4090000000000000
Totaal vlottende activa 10.585.0785.3786.73620.725.5945.3824.40949.00333.90631.85231.64530.28730.01830.4155.0854.0844.67727.1386.2453.039
Niet-vlottende activa:
Materiële vaste activa, netto 05.8490005.6455.64505.3065.3755.4144.8534.3524.253.4452.5022.542.5832.6262.581.996
Goodwill 000000000000000000000
Immateriële activa 000000000000000000000
Goodwill en immateriële activa 0233.048000211.788000000000000000
Langetermijnbeleggingen 02.9980002.520037.63528.46227.95927.9225.79227.00826.17426.64326.94726.00622.09721.84922.633
Belastingvorderingen 02.2550002.218000000000000000
Overige niet-vlottende activa 252.779.752243.814233.885227.5168.924218.529218.013-42.941-33.837-33.373-32.773-30.144-31.258-29.619-29.145-29.487-28.589-24.723-24.429-24.629
Totaal niet-vlottende activa 252.77253.902243.814233.885227.516231.095224.174218.01342.94133.83733.37332.77330.14431.25829.61929.14529.48728.58924.72324.42924.629
Totaal activa 263.35258.98249.192240.621248.236236.689229.556222.422237.821211.801210.238210.462206.338202.207195.307192.729185.246182.389176.174178.348172.41
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 000000000000000000000
Kortlopende schulden 080007.50000000009.581.1000
Belastingschulden 000000000000000000000
Uitgestelde opbrengsten 000000000000000000000
Overige kortlopende verplichtingen 29.33157.71629.34527.18725.897132.61926.07300000000-9.5-8-1.1000
Totaal kortlopende verplichtingen 29.33165.71629.34527.18725.897140.11926.073000000009.581.1000
Langlopende verplichtingen:
Langetermijnschulden 3327.533.527.53317.51924.6551.50436.532.940.933.8533.2528.3523.7521.7521.6524.522.521.5
Uitgestelde opbrengsten niet-vlottend 035.99700051.628000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 02.7890002.175000000000000000
Overige niet-vlottende verplichtingen 178.4034.329165.068164.29167.381.806163.3720-51.504-36.5-32.9-40.9-33.85-33.25-28.35-23.75-21.75-21.65-24.5-22.5-21.5
Totaal niet-vlottende verplichtingen 211.40370.615198.568191.79200.3873.109182.372200.77351.50436.532.940.933.8533.2528.3523.7521.7521.6524.522.521.5
Totaal passiva 240.733236.331227.913218.977226.277213.228208.445200.77351.50436.532.940.933.8533.2528.35174.049166.722164.05124.522.521.5
Eigen vermogen:
Preferente aandelen 000000000000000000000
Gewone aandelen 00.00921.27921.64421.9590.0090.00921.6490.0090.0090.0090.0090.0090.0090.0090.0090.0090.0090.00900
Ingehouden winsten 021.66500020.9120.91016.89616.78116.60416.36716.03215.71715.48715.2114.99714.80414.63714.0313.824
Overige gereserveerde algehele resultaten 0-4.954000-6.16300-1.672-2.6-2.098-2.563-2.647-2.93-3.184-3.635-3.571-3.557-3.32-2.231-2.351
Overige totale aandeelhoudersvermogen 05.9290006.275-20.91906.5786.5666.5546.5456.7316.9577.0997.0967.0897.0827.07600
Totaal eigen vermogen van aandeelhouders 22.61722.64921.27921.64421.95921.03121.11121.64921.81120.75621.06920.35820.12519.75319.41118.6818.52418.33818.40211.79911.473
Totaal eigen vermogen 22.61722.64921.27921.64421.95921.03121.11121.64921.81120.75621.06920.35820.12519.75319.41118.6818.52418.33818.40211.79911.473
Totaal passiva en aandeelhoudersvermogen 263.35258.98249.192240.621248.236234.259229.556222.422237.821211.801210.238210.462206.338202.207195.307192.729185.246182.389176.174178.348172.41