S&T Bancorp, Inc.

NASDAQ:STBA

43.19 (USD) • At close September 18, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 144.625135.52110.34321.0498.234105.33472.96871.39267.08157.9150.53934.247.26443.487.95160.20356.14453.33658.24354.35851.77748.60447.29844.97341.43833.423.220.518.416.314.311.210.4
Afschrijvingen & Amortisatie 6.599.02711.487.6455.7634.5992.4983.6280.3564.7035.33376.3236.5877.0445.0214.5844.2134.1965.0325.974.573.1692.6862.82.82.82.41.23.33.13.51.11.2
Uitgestelde Inkomstenbelasting 0.601-2.9322.383-4.402-0.3813.50913.8320.536-0.4271.52-2.4541.0382.448-4.537-7.442-6.023-2.141.8021.1-1.612-1.844-1.574-1.5560.0481.2-0.8-0.8-0.5-0.30.4-0.4-1.10.1-1.2
Aandelen Gebaseerde Vergoedingen 3.8743.1882.4270.7242.4411.8913.0082.5441.6360.9750.6870.9130.960.5130.3211.315000000000000000000
Verandering in Werkkapitaal -3.4582.95351.414-93.81616.1814.8239.31-0.639-13.0359.1632.62936.469-4.25318.499-28.7750.6663.161-12.317-13.2061.999-7.137-2.63-0.398-5.435-25.7-1.40.12.4-3.22-4.20.6-0.6-1.1
Vorderingen -7.094-10.0333.561-2.56-3.768-1.635-2.714-2.409-2.744-0.933-0.130.9730.589000000000000000000000
Voorraden 0000000000000000000000000000000000
Crediteuren 17.7632.901-2.087-3.178-2.2232.3531.3491.715-0.193-0.127-2.005-1.376-0.443-1.678-2.5820000000000000000000
Overig Werkkapitaal -14.11990.08549.94-88.07822.17114.10510.6750.055-10.09810.2234.76436.872-4.39920.177-26.1930.666000000000000000000
Overige Niet-Contante Posten 19.56512.67838.064122.2616.186-2.13912.6219.3354.9733.83229.3424.2721.1624.44275.46814.8236.33810.046.667.80910.1268.40137.83.7293.910.45.14.23.82.32.44.72.95
Kasstroom uit Operationele Activiteiten 171.805240.434216.11153.451138.423128.017114.23696.79660.58478.10386.07683.8973.90288.98454.56776.00563.84251.23651.98562.24250.83450.30176.62342.74120.438.335.229.521.32616.22115.114
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -6.219-3.863-3.611-5.416-5.153-4.172-4.694-3.56-5.133-5.079-2.833-2.179-2.531-3.469-1.577-3.939-5.392-9.498-6.495-4.939-2.284-4.328-3.41-2.105-1.9-1.9-2-2.8-1.8-1.8-3.7-2.6-2.4-1.2
Netto Overnames 0.710.161178.522-194.19863.7594.544.404-590.076-16.347-307.764.7518.639194.18100-67.7395.3929.4986.4954.9392.284-47.1873.412.1051.91.922.81.81.83.72.62.41.2
Aankoop van Beleggingen -99.583-401.054-313.617-178.389-129.973-92.597-156.839-113.362-74.712-181.213-144.752-166.786-135.447-81.713-86.135-124.334-10.538-12.95-63.533-75.931-243.889-247.39-362.895-121.689-407.8-342.4-248.1-122.3-80.5-58.2-127.5-99.4-262.4-53.1
Verkoop/verval van Beleggingen 154.761191.32146.822206.955152.34689.833146.75799.12961.26158.5166.838154.17971.388149.539182.276272.0482.12565.76172.777162.204279.529251.381375.535152.488394.3309.1214.891.556.9103.3148.7105.59341.1
Overige Investeringsactiviteiten -493.944-185.1513.8649.947-291.535-199.568-202.043-8.784-370.806-1.506-233.686-12.1764.1493.296114.377-291.826-140.654-197.77-212.274-194.595-111.547-123.124-81.311-114.282-135.8-66.5-79.6-74.8-51.6-131.8-109.3-53.6133.7-2.4
Kasstroom uit Investeringsactiviteiten -444.275-398.58711.98-161.101-210.556-201.964-212.415-616.653-405.737-437.048-309.683-8.323131.7467.653208.941-215.798-69.067-144.959-203.03-108.322-75.907-170.648-68.671-83.483-149.3-99.8-112.9-105.6-75.2-86.7-88.1-47.5-35.7-14.4
Financieringsactiviteiten:
Schuldaflossingen -64.536-7.689-11.001-27.187-35.936-1.987-2.412-102.33-15.899-2.367-57.291-15.088-1.682-117.07-351.612-97.669-20.92-45.344-53.417-30.608-150.305-64.57-124.885-102.14-79.9-25-61-150-39.50000
Uitgifte van Gewone Aandelen -63.73834.75726.0269.947207.07600689.164-0.132-1.5061.6851.0471.9463.6921.3497.48000000000000000000
Terugkoop van Gewone Aandelen -20.606-8.445-0.63-13.153-19.137-12.913-0.689-0.115-0.182-0.163-0.088-0.049-108.7417.807116.063256.181000000000000000000
Uitgekeerde Dividenden -49.708-46.952-44.325-43.949-37.36-34.539-28.569-26.784-24.487-20.203-18.137-17.357-21.902-22.117-29.94-32.302-29.79-30.046-29.342-28.101-26.726-25.948-24.205-22.134-20.1-17.5-14.2-10-7.9-6.4-5.3-4.2-3.9-3.4
Overige Financieringsactiviteiten 494.661-525.724494.388223.782-0.176161.723107.5150.009375.672382.90268.08323.06587.0660.0460.0041.00470.834172.904242.66599.756204.207208.34150.256170.018218.8116.8148.294.662.9112.579.635.216.65.3
Kasstroom uit Financieringsactiviteiten 296.073-554.053464.458139.493114.467112.28475.845559.944334.972360.169-5.748-8.382-43.312-117.642-264.136134.69420.12497.514159.90641.04727.176117.8221.16645.744118.874.37369.65566.674.33112.71.9
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0000000000000000000000000.161.577.776.153.960.771.926.520.60.4
Netto Kasstroomverandering 23.603-712.206692.54931.84342.33438.337-22.33440.087-10.1811.224-229.35567.185162.3338.995-0.628-5.09914.8993.7918.861-5.0332.103-2.5259.1185.002-1074.37369.65566.674.33112.71.9
Kaspositie aan het Einde van de Periode 233.612210.009922.215229.666197.823155.489117.152139.48699.399109.58108.356337.711270.526108.19669.15269.7874.87959.9856.18947.32852.36150.25852.78343.66538.7110.3113.7109.593.899.5104.957.246.934.7