Synovus Financial Corp.

NYSE:SNV

52.45 (USD) • At close January 8, 2025
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 543.705757.902760.467373.695563.78428.476275.474246.784226.082195.249159.383830.209-60.844-790.857-1,429.341-582.438526.305616.917516.446437.033388.925365.347311.616262.557225.3187.1165.2139.6114.686.47461.240.5
Afschrijvingen & Amortisatie 93.45869.172157.987106.1078.07955.17259.12158.22856.74154.95259.3164.40147.62646.42137.3570.615208.27231.288193.131161.062112.01297.01187.280.50272.560.149.143.338.633.130.527.717.8
Uitgestelde Inkomstenbelasting 16.83710.86845-86.19286.63336.215231.056128.837121.904102.0290.415-794.678-0.3579.215175.193-107.601-28.057-44.97-53.57522.40126.7797.02111.342-4.459-0.16.20.8-15.9-4.2-0.1-0.32.21.4
Aandelen Gebaseerde Vergoedingen 32.22427.90427.79518.64124.48716.64314.17913.61512.55610.2337.4659.3336.0297.1588.36113.71600000000000000000
Verandering in Werkkapitaal -46.142-104.248-100.402-129.766-84.57-61.755-46.399-30.134-8.341-10.61138.36941.607113.042550.568-401.524331.094-258.642-177.152-86.941-17.77-3.317-6.815-287.24-30.5271.80.3-0.6-4.94.7-0.5-4-3.10
Vorderingen 000000000-0.3636.17911.85415.62900000000000000000000
Voorraden 000000000-2.17330.33432.242000000000000000000000
Crediteuren 000000000-0.325-3.133-8.253-16.68-23.877-64.465-13.78300000000000000000
Overig Werkkapitaal -46.142-104.248-100.402-129.766-84.57-61.755-46.399-30.134-8.341-7.754.9895.764114.093574.445-337.059344.87700000000000000000
Overige Niet-Contante Posten 642.541429.891-96.831-265.45322.64163.301108.19550.43738.635.102249.584321.259540.2111,100.6522,043.1451,109.366252.277163.14250.655213.354200.646274.77854.942146.252153.5-95.642.738.5-1.33614.635.932.3
Kasstroom uit Operationele Activiteiten 1,282.6231,191.489794.01617.032621.05538.052641.626467.767447.542386.945604.526472.131645.707923.157433.184834.752665.765779.696619.716800.231725.045721.954177.86454.325453158.1257.2200.6152.4154.9114.8150.192
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -32.207-30.105-25.954-30.102-61.208-53.159-51.106-34.317-28.381-43.518-31.569-30.485-15.944-21.281-34.732-112.969-218.579-213.671-106.674-111.396-184.226-145.008-146.663-170.559-124.5-118.6-66.4-63.8-48.2-13.8-47.4-31.2-40.6
Netto Overnames 8.3590-1,139.05-1,160.5201.1-1,212.345-949.0716.146-1,493.099-90.57156.32819.9342,481.95669.466117.686-3,861.024-12.552-53.664-56.995-37.172-66.20414.72217.906170.559124.5118.666.463.848.213.847.431.240.6
Aankoop van Beleggingen -2,150.43-2,287.318-6,877.712-7,441.163-4,300.021-700.194-1,729.902-2,051.283-1,634.531-378.919-1,434.322-1,803.738-3,309.605-1,447.514-805.76-1,289.912-1,015.303-1,079.12-1,019.585-1,491.355-1,948.215-1,029.685-1,017.514-578.975-739.8-938-548.6-669.7-558.2-412.8-494.3-397.7-497.2
Verkoop/verval van Beleggingen 2,239.4871,973.993,616.5586,346.2064,026.438638.1651,445.1681,862.7291,041.562589.7331,118.8522,487.7463,101.8471,193.4681,368.9341,240.533772.166806.949776.6821,419.2241,637.028921.5821,484.773269.222565.5914.2487.7590.8392.4429.5459.8294.9404.9
Overige Investeringsactiviteiten 258.757-4,512.04941.992-67.414-2,020.171-10.516-130.63-888.875.176-1,243.499263.125144.5997.683993.98202.32416.186-2,205.809-2,476.431-2,042.838-2,662.035-1,506.288-1,902.585-1,389.984-2,116.346-1,642.4-591-654.9-579.8-415.6-451.2-309.4-229.9-218.8
Kasstroom uit Investeringsactiviteiten 323.966-4,855.482-4,384.166-2,352.973-2,153.862-1,338.049-1,415.541-1,105.595-2,109.273-1,166.774-27.586818.0562,265.937788.119848.452-4,007.186-2,680.077-3,015.937-2,449.41-2,882.734-2,067.905-2,140.974-1,051.482-2,426.099-1,816.7-614.8-715.8-658.7-581.4-434.5-343.9-332.7-311.1
Financieringsactiviteiten:
Schuldaflossingen -2,783.7073,526.07636.211-901.2151,443.379599.948-578.556-338.68847.745109.219256.818368.951-621.88461.567-304.66178.511792.81-272.3336.07863.808254.005114.995476.38300.433942.8183.230.9100.2-31.988.6100.621.134.5
Uitgifte van Gewone Aandelen 0000000000175.174001,034.678571.2263.00263.8565.5143.12523.4650000000000000
Terugkoop van Gewone Aandelen 0-12.987-199.932-16.246-725.398-305.072-175.079-263.084-199.221-88.113000-0.021-0.038-0.173000-0.0040000000000000
Uitgekeerde Dividenden -252.011-229.311-227.84-223.13-185.664-120.202-64.908-69.663-65.592-53.043-72.898-79.856-79.806-73.896-73.568-199.722-264.93-244.654-224.303-209.883-194.177-169.107-142.083-119.012-98.8-73.9-62.9-51.1-42-30.6-24.9-20.8-14.6
Overige Financieringsactiviteiten 1,902.775-651.8582,738.6476,542.5311,385.854777.4591,595.1311,337.3461,760.402827.352-1,081.034-1,475.075-2,088.552-2,909.065-1,434.4413,032.561,420.7382,697.2362,206.8972,192.1221,322.5551,546.998602.9041,873.934607.5305467.2428.7539.7224.2217.4180.1198.3
Kasstroom uit Financieringsactiviteiten -1,132.9432,631.922,347.0865,401.941,576.1661,010.628776.588665.9111,543.334795.688-721.94-1,185.98-2,790.242-1,886.737-1,241.4813,014.1782,012.4682,245.7592,031.7972,069.5081,297.7981,511.933963.7472,063.2851,456.9416.9441.9480.4467.1277.5294.6181218
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 00000000000000004.97-0.429-4.25200000-0.1456.7458.6458.1429279.6229.1182.6219.1
Netto Kasstroomverandering 473.646-1,032.073-1,243.0643,065.99943.354210.6312.67328.083-118.39715.859-145104.207121.402-175.46140.155-158.2563.1269.089197.851-12.995-45.06292.91390.12591.51193.1416.9441.9480.4467.1277.5294.6181218
Kaspositie aan het Einde van de Periode 2,451.4261,977.783,009.8534,252.9171,186.9181,143.564397.848395.175367.092485.489469.63614.63510.423389.021564.482524.327682.583889.975880.886683.035696.03741.092648.179558.054466.5805846.9863.1811.7570.4522410.1405.8