UMB Financial Corporation

NASDAQ:UMBF

91.51 (USD) • At close April 17, 2025
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 441.243350.024431.682353.018286.502243.6195.513247.105158.801116.073120.655133.965122.717106.47291.00289.48498.07574.21359.76756.31842.83958.87957.17365.2365.11164.07754.261.757.552.247.841.139.439.537.237.6
Afschrijvingen & Amortisatie 0.01458.72354.02255.74762.80356.25853.11652.92654.55652.7946.35544.22140.84742.93139.37638.10737.72937.38533.72145.85659.68158.0241.17226.91337.6441.45413.439.245.823.422.356.11412.513.113.8
Uitgestelde Inkomstenbelasting 0-20.439-6.308-12.724-4.836-0.153-20.26159.7382.756-4.848-11.456-5.1233.675-0.197-13.226-5.966-5.0231.253-0.5693.2596.362-5.44-2.427-1.774-0.8365.61410.7-4-40.4-0.22.80.8-3.5-5.8
Aandelen Gebaseerde Vergoedingen 22.57918.69421.49121.20815.1214.8511.07413.31611.73510.7519.6618.3867.1626.515.9535.3134.2123.4091.66900000000000000000
Verandering in Werkkapitaal -362.262-15.83923255.002-51.437-49.802-43.914-24.7919.236-33.63319.16442.202-6.17217.3913.006-33.276-15.3679.24626.2752.4530.54917.87-1.8547.6518.036-19.301-6.67.4-4.224-7.2-652.60.5-3.1-6.6
Vorderingen 0004.587000000006.2480.6560000000000000000000000
Voorraden 000000000000000000000000000000000000
Crediteuren 000000000000000000000000000000000000
Overig Werkkapitaal -362.262-15.83923250.415-51.437-49.802-43.914-24.7919.236-33.63319.16442.202-12.4216.7353.006-33.276-15.3679.24626.2752.4530.54917.87-1.8547.6518.036-19.301-6.67.4-4.224-7.2-652.60.5-3.1-6.6
Overige Niet-Contante Posten -8.52881.44136.66761.83165.44675.18100.168-21.76859.35669.82861.2871.54755.51549.80153.66153.02814.4055.7757.974-8.614-0.5628.96213.437-13.20536.753-36.48338.1337-19.364.3-30.519-14.4-22.72.8
Kasstroom uit Operationele Activiteiten 93.046472.604769.554534.082373.598339.933295.696326.526296.44210.961245.659295.198223.744222.908179.772146.69134.031131.281128.83799.272108.871158.291107.50184.814156.70815.361100.1142102.176.3127.660.5127.838.92141.8
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa 0-26.91-51.716-33.687-60.216-72.313-57.94-36.447-50.841-53.76-44.79-38.313-44.038-35.557-32.592-23.426-20.637-27.873-41.889-45.429-41.623-20.0810-32.003-43.591-52.207-50.9-37.4-22-27.9-16.7-12.8-19.3-16.6-15.8-12.5
Netto Overnames -109.046-0.793555.35500-18.498-8.907164.561095.351-18.23126.0870-8.134-159.154-48.451-47.1-0.785-43.30845.429-1.687023.736-26.01543.591-0.49850.937.42227.916.7019.316.615.80
Aankoop van Beleggingen 0-1,835.247-2,262.643-5,854.657-4,592.852-2,531.971-1,517.388-1,822.227-3,046.71-2,375.097-2,002.801-2,373.836-3,600.684-3,043.688-3,437.448-3,439.942-4,680.619-1,933.493-8,635.53-9,666.09-10,102.699-13,038.237-16,566.528-28,550.036-7,565.512-10,031.204-10,094.5-2,228.5-2,047.4-1,687.3-1,125.1-1,183.4-3,244.1-1,704.3-1,363.1-1,185.1
Verkoop/verval van Beleggingen 01,991.3921,621.7182,396.7773,031.4861,875.0151,227.3051,864.9462,792.162,146.2231,760.362,226.0332,717.1782,582.8422,653.4673,348.8043,283.3541,979.2768,409.5579,861.1589,993.96713,251.62616,968.91227,229.0618,314.2389,818.4549,259.42,034.82,035.82,249.41,128.51,126.72,896.71,454.41,169.1988.8
Overige Investeringsactiviteiten 111.332-1,401.714-3,708.099-743.923-2,869.505-2,237.394-1,389.615-649.411-1,197.052-1,142.954-1,125.517-860.819-613.987-217.835-3.49-200.637-5.02-171.53-203.338-675.513-143.239-85.64980.846210.107-226.92-254.228142.3-220.8-202.4-163.7-132.1-89.6-153196.6-168.20.5
Kasstroom uit Investeringsactiviteiten 2.286-1,273.272-3,845.385-4,235.49-4,491.087-2,985.161-1,746.545-478.578-1,502.443-1,330.237-1,430.979-1,020.848-1,541.531-722.372-979.217-363.652-1,470.022-154.405-514.508-480.445-295.281107.659506.966-1,168.886521.806-519.683-692.8-414.5-214398.4-128.7-159.1-500.4-53.3-362.2-208.3
Financieringsactiviteiten:
Schuldaflossingen 01,8001100200001.479-15.203-120.4493.648-0.717-12.65-159.09145.8673.24-18.05313.884232.161-131.973305.666-69.982-158.279481.95-446.287493.364200.294.6-6.3-6-5.816.5-57.76.7-17.8108.6
Uitgifte van Gewone Aandelen 00000000000231.430000001.11100000000000000000
Terugkoop van Gewone Aandelen -7.738-8.367-31.997-5.506-63.766-4.496-76.507-15.276-16.367-8.457-5.741-3.501-20.419-9.142-8.879-26.894-23.406-43.309-29.59800-12.07400000000000000
Uitgekeerde Dividenden -108.5-74.245-72.03-66.75-60.281-59.436-58.279-51.876-49.038-45.967-41.364-36.168-33.787-31.801-30.328-28.792-26.814-29.278-21.833-19.015-18.203-17.618-17.658-17-17.134-16.035-16.4-15.6-15.2-15.1-14.7-13.1-11-10.1-10-11.2
Overige Financieringsactiviteiten 34.6453,053.664-4,586.8329,490.6625,869.9322,704.2091,543.494870.021,531.466326.031433.5791,750.641,291.4061,135.376496.535611.4941,485.223357.239135.438640.213-252.421-211.26-528.564440.30711.269-18.878349.8356.5270-517.2138.9153.1293.4340.2187.9170.7
Kasstroom uit Financieringsactiviteiten -81.5934,771.052-4,580.8599,418.4065,945.8852,640.2771,408.708804.3471,450.858151.158390.1221,941.6841,224.55935.343603.195559.0481,416.95298.536317.279477.32631.673-310.503-713.436899.42-469.298419.898522422.8186.6-549.1105.5152.1223.4336.9160.1239.9
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0000000000000000000000000000110.3-474.7098.6372.60341.2166.5
Netto Kasstroomverandering 13.7393,970.384-7,656.695,716.9981,828.396-4.951-42.141652.295244.855-968.118-795.1981,216.034-93.237426.014-196.028342.08680.959275.412-68.392102.153-150.203-44.553-98.969-184.652209.216-84.424-70.8150.2186.6-549.1105.5152.1223.4336.9160.1239.9
Kaspositie aan het Einde van de Periode 123.0915,528.2581,557.8749,214.5643,497.5661,669.171,674.1211,716.2621,063.967819.1121,787.232,582.4281,366.3941,459.6311,033.6171,229.645887.559806.6531.188599.58497.382647.15691.703790.672975.324766.108850.5921.3883221.7771.9764.9985.5776.6780.9787.3