TrustCo Bank Corp NY

NASDAQ:TRST

35.91 (USD) • At close November 7, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Operationele Activiteiten:
Nettowinst 58.64675.23461.51952.45257.8461.44543.14542.60142.23844.19339.81237.53433.08729.32128.1234.07739.46745.32558.98956.5453.03149.24445.5141.70238.23532.228.725.522.923.617.512.910.69.4
Afschrijvingen & Amortisatie 10.78610.55310.60210.1789.9434.1093.8164.0384.5544.7765.0175.0324.8364.7314.5023.7753.1162.6712.691.8982.4922.1682.7162.7392.22.53.333.62.72.42.21.20.90.9
Uitgestelde Inkomstenbelasting 2.1564.114-0.238-1.0671.1392.556-0.1833.2613.0112.964-1.4261.44-2.3360.5812.154-1.661.7821.1052.8743.106-2.64510.5-4.133-1.297-1.91.4-3.7-3.6-9.8-30-4.4-0.9-1.5-1.2
Aandelen Gebaseerde Vergoedingen 0.1032.930.0150.0050.1730.150.2240.2040.3250.3780.4050.2870.1760.2140.1930000000000000000000
Verandering in Werkkapitaal -10.435-12.831-14.928-7.522-7.306-5.3458.246-2.9620.296-4.91512.1592.9594.194-7.225-19.32-0.21764.2822.179-6.296-2.511-5.385-3.288-0.7362.356-5.28.316-138.21.3-1211.2-8.12.62.5
Vorderingen -2.192-2.3930.9320.8840.4260.1-0.371-0.8080.5380.3980.5542.2-0.7740000000000000000000000
Voorraden 000-1.104-2.074000000000000000000000000000000
Crediteuren 3.010.439-0.311-0.9850.4350.4870.0110.025-0.0470.080.019-0.313-0.311-0.516-1.288-0.7480000000000000000000
Overig Werkkapitaal -11.253-10.877-15.549-6.317-6.093-5.9328.606-2.179-0.195-5.39311.5861.0725.279-6.709-18.0320.53164.2822.179-6.296-2.511-5.385-3.2880000000000000
Overige Niet-Contante Posten 2.873-1.344-0.2168.1012.1774.7026.5167.7329.7052.1947.01911.25921.2520.895126.404352.3662.586-3.622-6.260.451.21.4244.945.8375.14.75.56.89.411.3-50.76.76.72.91.8
Kasstroom uit Operationele Activiteiten 64.12978.62655.36562.15763.79867.6461.6954.89460.00849.53762.95958.62961.31848.479142.074388.534109.9648.38544.64344.93338.10152.54943.76356.21642.650.35326.436.644.1-36.730.311.417.414.2
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -5.666-3.785-2.84-3.83-3.894-3.646-3.613-2.055-3.744-8.497-6.381-4.265-5.213-109.727-148.879-9.754-8.259-5.118-3.855-4.287-2.953-3.164-3.451-2.74-2.3-1.8-2.4-1-2.3-1.7-2.2-4.4-3.2-1.5-1.5
Netto Overnames -269.9520.47-194.671-183.32-193.268-241.148-211.965-145.955-148.42-261.746-243.921-190.84-188.76900.175-233.888.2595.1183.8554.2872.9533.1643.4512.742.31.82.412.31.72.24.43.21.51.5
Aankoop van Beleggingen -19.678-203.516-139.962-145.339-262.754-61.807-83.031-275.303-189.823-120.655-416.617-1,210.289-1,321.196-1,301.963-1,652.522-721.542-223.034-95.314-477.21-889.618-1,592.974-468.268-402.763-248.302-360.9-372-350.1-503.9-507.7-953.6-159.5-500.1-139.8-329.4-179.9
Verkoop/verval van Beleggingen 59.7186.153161.551291.477205.765128.884147.563258.853273.461347.549487.4751,289.8771,279.5611,400.9061,406.335376.937176.777123.628277.6361,156.6881,068.153418.934427.439319.974396.4262.2392.2508.8354.21,148.1237.3407.2104214.9187.4
Overige Investeringsactiviteiten 1.993-295.9480.6665.6665.3923.8976.1626.6697.25914.24410.0999.1329.01311.4744.4991.399-184.159-295.521-229.013-80.975252.942125.51-87.09-112.496-28.9-29.1-72.5-24.3-73.6-101.2-40.1-20.829-30.4-43.5
Kasstroom uit Investeringsactiviteiten -233.593-416.626-175.256-35.346-248.759-173.82-144.884-157.791-61.267-29.105-169.345-106.385-226.6040.69-390.392-586.84-230.416-267.207-428.587186.095-271.87976.176-62.414-40.8246.6-138.9-30.4-19.4-227.193.337.7-113.7-6.8-144.9-36
Financieringsactiviteiten:
Schuldaflossingen -33.71-128.815-23.279-66.089-19.32-21.082-33.585-18.18000000-1.864-0.029-0.03-0.028-0.027-0.125-0.188-0.197-0.287-0.3170000-3.60-5-18.1000
Uitgifte van Gewone Aandelen 00.4290.2601.7912.3912.482.4472.672.852.9082.91367.5780000000000000000000000
Terugkoop van Gewone Aandelen 0-7.004-2.586-3.493-0.035-0.718-4.608-0.701-0.147-0.28200000-8.1640000000000000000000
Uitgekeerde Dividenden -27.388-26.991-26.279-26.331-26.385-25.569-25.197-25.064-24.95-24.851-24.724-24.587-21.333-19.46-26.326-37.041-48.066-47.89-44.905-44.504-45.008-43.188-37.009-32.089-29.6-25.7-22.4-19.4-16.9-13.6-10.9-8.4-4.9-3.8-3.1
Overige Financieringsactiviteiten 157.967-68.49284.146653.266182.04742.12715.985115.33370.39490.255167.2380.503207.734268.647172.798148.224222.134245.21545.30998.34984.574122.169109.07431.948-114101.581.878.4185.4-8.323.82043.310739.9
Kasstroom uit Financieringsactiviteiten 96.869-230.871232.262623.442138.098-2.851-11.3492.01547.96767.972145.41458.829253.979249.187144.608102.99174.038197.2970.37753.7239.37878.78471.778-0.458-143.675.859.459164.9-21.97.9177.5-1.6103.236.8
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 244.4400000000000000000000000088.6-22.6-7190.5-137.4-183.4-4.6127.521.8
Netto Kasstroomverandering -72.595-568.871112.371650.253-46.863-109.031-94.534-10.88246.70888.40439.02811.07388.693298.356-103.71-95.31653.582-21.525-383.567284.748-194.4207.50953.12714.934-94.475.859.459164.9-21.97.9177.5-1.6103.236.8
Kaspositie aan het Einde van de Periode 578.004650.5991,219.471,107.099456.846503.709612.74707.274718.156671.448583.044544.016532.943444.25145.894249.604344.92291.338312.863696.43411.682606.082398.573345.446330.5513.5415.2348.9480.4178.1198.9274.592.4221.5140.3