Synovus Financial Corp.

NYSE:SNV

52.45 (USD) • At close January 8, 2025
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199519941993199219911990
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 2,414.1031,939.4132,937.4664,139.1341,109.8711,129.743885.087940.9851,214.3661,218.6611,138.4832,136.4622,091.0193,509.3632,478.863535.132693.533909.364883.866687.188700.453746.147652.063561.86468.4349.8389.4407383.8291.9294.5229.1190.7194.4
Kortetermijnbeleggingen 9,788.6629,678.10310,918.3297,962.4386,778.673,991.6323,987.0693,718.1953,587.8183,041.4063,199.3582,981.1123,690.1253,440.26801,206.168000000000000000000
Liquide middelen en kortetermijnbeleggingen 12,202.76511,617.51613,855.79512,101.5727,888.5415,121.3754,872.1564,659.184,802.1844,260.0674,337.8415,117.5742,091.0193,509.3632,478.8631,741.3693.533909.364883.866687.188700.453746.147652.063561.86468.4349.8389.4407383.8291.9294.5229.1190.7194.4
Nettovorderingen 499.333393.989000182.846170.244100.21484.9187.51998.30691.509109.826001,206.168297.44500000000000000000
Voorraad -546.804-393.989-3,315.24-4,592.43-1,464.2700000000000000000000000000000
Overige vlottende activa 5,510.025000022,773.94821,617.32721,101.2219,815.0419,140.34718,033.90818,045.47620,867.4122,539.38726,527.99528,256.33427,190.07625,708.04822,146.64120,571.07917,328.64215,317.513000000000000
Totaal vlottende activa 17,665.319517.23514,098.09912,383.2988,123.4628,078.16926,659.72725,860.61424,702.13423,487.93322,470.05523,226.79622,935.97526,048.7529,006.85831,203.80228,181.05426,617.41223,030.50721,258.26718,029.09516,063.66652.063561.86468.4349.8389.4407383.8291.9294.5229.1190.7194.4
Niet-vlottende activa:
Materiële vaste activa, netto 838.879370.632407.241463.959493.94434.307426.813417.485445.155455.235468.871479.546486.923544.971580.375605.019547.437752.738669.425638.407791.439616.355572.618526.988437.3375.4272.3247.2220.2180.8174.6183.4162.4124.5
Goodwill 480.44452.39452.39452.39497.26757.31557.31559.67824.43124.43124.43124.43124.43124.43124.43139.521000000000000000000
Immateriële activa 45.92827.12435.59645.11255.6719.87511.25413.2234.7581.2653.4155.1498.52512.43416.64921.266000000000000000000
Goodwill en immateriële activa 526.368479.514487.986497.502552.93867.1968.56972.90124.43125.69627.84629.5832.95636.86541.0860.787547.1451,117935.098457.911282.838118.506000000000000
Langetermijnbeleggingen 10,506.2649,678.10310,918.3297,962.4386,778.673,991.6323,990.8893,727.5093,592.9153,055.2693,205.4712,992.2143,706.9913,462.5623,203.1053,892.1483,742.8163,367.6232,985.6422,695.5932,529.2572,237.7252,088.2872,077.9281,9941,817.71,655.21,639.11,487.21,146.91,120.51,013.5800.8518.4
Belastingvorderingen 0774.803325.046368.181272.029186.402165.788395.356511.948622.464744.646806.4060000-547.145-1,117-935.098-457.911-282.838-118.506000000000000
Overige niet-vlottende activa 49,019.869-11,782.566-325.046-368.181-272.029-88.508-89.949-369.863-483.93-595.366-715.285-774.5300024.513547.1451,117935.098457.911282.838118.506-2,660.905-2,604.916-2,431.3-2,193.1-1,927.5-1,886.3-1,707.4-1,327.7-1,295.1-1,196.9-963.2-642.9
Totaal niet-vlottende activa 60,891.38-479.51411,813.5568,923.8997,825.5484,591.0234,562.114,243.3884,090.5193,563.2983,731.5493,533.2164,226.874,044.3983,824.564,582.4674,837.3985,237.3614,590.1653,791.9113,603.5342,972.5862,660.9052,604.9162,431.32,193.11,927.51,886.31,707.41,327.71,295.11,196.9963.2642.9
Totaal activa 59,809.53459,731.37857,317.22654,366.08648,203.28232,669.19231,221.83730,104.00228,792.65327,051.23126,201.60426,763.46827,162.84530,093.14832,850.07135,683.1633,018.45231,854.77327,620.67225,050.17821,632.62919,036.24616,657.94714,908.09212,54710,4989,260.38,612.37,927.66,115.45,627.45,183.84,0703,057.5
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 0000000000000000000000000000000000
Kortlopende schulden 0600.01407.7171,753.566501000000000000000000000000347.6247.9146.2108.8104.7
Belastingschulden 0000000000000000000000000000000000
Uitgestelde opbrengsten 0000000000000000000000000000000000
Overige kortlopende verplichtingen 0-600.0140-7.717-1,753.56-650-1000000000000000000000000-347.6-247.9-146.2-108.8-104.7
Totaal kortlopende verplichtingen 0603.3840.1977.7171,753.5665020,540.73419,264.90900000499.2260000000014,68813,21411,2439,3498,2767,7487,153347.6247.9146.2108.8104.7
Langlopende verplichtingen:
Langetermijnschulden 1,232.5344,109.5971,204.2291,202.4942,153.8971,657.1571,706.1382,160.8812,186.8932,139.3252,035.6211,726.4551,025.761,808.1611,751.5922,107.1731,890.2351,350.1391,933.6381,879.5831,575.7771,336.21,052.943840.859318.6127126.297.3106.8119.8130.5131.7109.829.5
Uitgestelde opbrengsten niet-vlottend 0-179.4861,048.234965.1611,946.97-315.687-265.269-234.91800000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 0179.486155.995237.333206.92745.26820.22627.4800000000000000000000000000
Overige niet-vlottende verplichtingen 53,432.85250,542.59650,816.19748,022.61441,107.69500023,605.56421,869.64221,216.9980-1,025.76-1,808.161-1,751.592-2,107.173-1,890.235-1,350.139-1,933.638-1,879.583-1,575.777-1,336.2-1,052.943-840.859-318.6-127-126.2-97.3-106.8-119.8-130.5-131.7-109.8-29.5
Totaal niet-vlottende verplichtingen 54,665.386644.491,204.2291,202.4942,153.8971,657.1571,706.1382,160.8812,186.8932,140.3192,033.1411,726.4551,364.7271,808.1611,751.59231,853.871,890.2351,350.1391,933.6381,879.5831,575.7771,336.22752777778818181119.8130.5131.7109.829.5
Totaal passiva 54,665.38655,255.57752,020.42649,204.75243,261.59229,535.5928,260.27127,176.07825,792.45724,009.96123,252.61923,190.58124,335.39327,068.60129,959.91731,853.8729,576.86227,909.41424,474.3722,241.60519,245.75216,878.29414,864.36313,410.03111,2569,375.28,3147,794.37,206.25,584.85,131.44,751.23,760.22,811.8
Eigen vermogen:
Preferente aandelen 537.145537.145537.145537.145537.145195.14125.98125.98125.98125.98125.862957.327947.017937.323928.207919.6350000000031.4000000000
Gewone aandelen 171.36170.141169.384168.133166.801143.3142.678142.026140.592139.95978.045792.273790.989790.956495.514336.011335.529331.214318.301315.636307.748300.573294.849284.818282.2000000000
Ingehouden winsten 2,517.2262,234.771,711.6251,178.0191,068.327843.767544.207351.767174.97314.894-137.512-256.512-1,058.642-1,024.851-129.7751,348.7432,087.3572,460.4542,091.1871,802.4041,579.0571,389.881,200.8691,020.431898751.8677.8575.5487.2386.4324.5278.21970
Overige gereserveerde algehele resultaten -1,117.073-1,442.117-82.321158.63565.641-94.42-54.754-55.659-29.819-12.605-41.2584.10121.09357.15884.806140.78431.439-2.129-32.6628.79729.24345.98729.2565.555-31.406.7-0.15.8-20.211.6000
Overige totale aandeelhoudersvermogen 3,011.3352,975.8622,962.6123,119.4023,103.7762,045.8152,203.4552,363.812,588.472,773.0512,023.8482,075.6982,126.9952,237.3321,490.9421,051.758987.265919.111572.503514.452328.991304.433169.972106.36777.90554.5219.2208.2200.6141.9140.2137.8100234.9
Totaal eigen vermogen van aandeelhouders 5,119.9934,475.8015,296.85,161.3344,941.693,133.6022,961.5662,927.9243,000.1963,041.272,948.9853,572.8872,827.4522,997.9182,869.6943,796.9413,441.593,708.652,949.3292,641.2892,245.0392,040.8531,694.9461,417.1711,226.71,070.7903.7783.6693.6508.1476.3416297234.9
Totaal eigen vermogen 5,144.1484,475.8015,296.85,161.3344,941.693,133.6022,961.5662,927.9243,000.1963,041.272,948.9853,572.8872,827.4523,024.5472,890.1543,829.293,441.593,945.3593,146.3022,808.5732,386.8772,157.9521,793.5841,498.0611,2911,122.8946.3818721.4530.6496432.6309.8245.7
Totaal passiva en aandeelhoudersvermogen 59,809.53459,731.37857,317.22654,366.08648,203.28232,669.19231,221.83730,104.00228,792.65327,051.23126,201.60426,763.46827,162.84530,093.14832,850.07135,683.1633,018.45231,854.77327,620.67225,050.17821,632.62919,036.24616,657.94714,908.09212,54710,4989,260.38,612.37,927.66,115.45,627.45,183.84,0703,057.5