Univest Financial Corporation

NASDAQ:UVSP

28.7 (USD) • At close November 5, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 249.799152.799890.15219.858125.128109.4275.40957.82560.79938.56569.169146.112107.37729.18768.59740.06647.63747.53846.78936.58750.18241.6254.83845.64838.90542.65140.35339.36347.88442.526
Kortetermijnbeleggingen 351.553350.256317.007218.64246.924328.507398.518443.637329.77314.283336.281429.73445.8040.032419.942002.61914.8084035.01968.87100000000
Liquide middelen en kortetermijnbeleggingen -72.815503.0551,207.157438.498372.052437.927473.927501.462390.569352.848405.45575.846107.37729.18768.59740.06647.63747.53846.78936.58750.18241.6254.83845.64838.90542.65140.35339.36347.88442.526
Nettovorderingen 277.566301.677208.911188.854170.494180.569171.27186.982135.628127.201115.79592.70910.0153.80456.99330.31525.56930.17630.08927.3467.61754.3753.89349.89241.75400000
Voorraad -204.7510-921.129-255.158-153.680000000000000000000000000
Overige vlottende activa 306.916-144.371921.129255.158153.683,648.4373,207.3182,820.7181,815.0611,269.7361,168.2061,040.7911,525.9451,492.4761,449.6151,482.7371,400.7931,399.9011,284.151,196.1491,052.122000000000
Totaal vlottende activa 306.916660.3611,416.068627.352542.5464,266.9333,852.5153,509.1622,341.2581,749.7851,689.4511,709.3461,643.3321,575.4671,575.2051,553.1181,473.9991,477.6151,361.0281,260.0761,169.92195.99108.73195.5480.65942.65140.35339.36347.88442.526
Niet-vlottende activa:
Materiële vaste activa, netto 83.23680.99887.28989.96191.09459.55961.79763.63842.15637.00934.12933.22234.30334.60534.20132.60227.97721.87821.63519.81819.49816.03616.02515.53815.40715.82816.60416.84316.213.949
Goodwill 175.51175.51175.51172.559172.559172.559172.559172.559112.65767.71757.51756.23853.16951.3250.3930044.27340.99840.7940000000000
Immateriële activa 10.9511.38411.8488.86610.28411.9913.90916.65112.6212.188.1786.4564.875.4775.577003.3352.3892.7670000000000
Goodwill en immateriële activa 186.46186.894187.358181.425182.843184.549186.468189.21125.27779.89765.69562.69458.03956.79755.9756.05147.08147.60843.38743.56144.49000000000
Langetermijnbeleggingen 229.837507.562496.989373.176441.599473.306454.082468.518370.76368.63402.284499.579471.165467.024420.045443.026423.448382.4343.259343.502423.259395.079347.858348.426311.875327.665258.165242.213224.519202.06
Belastingvorderingen 44.71545.57831.84837.59325.55818.1214.5359.965-2,683.862-2,088.92-2,067.38995.916000000000000000000
Overige niet-vlottende activa 6,952.386-228.266-31.848-37.593-25.558-18.12-14.535-9.9652,683.8622,088.922,067.389-95.916000000000-411.115-363.883-363.964-327.282-343.493-274.769-259.056-240.719-216.009
Totaal niet-vlottende activa 7,496.634592.766771.636644.562715.536717.414702.347721.366538.193485.536502.108595.495563.507558.426510.216531.679498.506451.886408.281406.881487.247411.115363.883363.964327.282343.493274.769259.056240.719216.009
Totaal activa 7,803.557,222.0167,122.4216,336.4965,400.5334,984.3474,560.3674,230.5282,879.4512,235.3212,191.5592,304.8412,206.8392,133.8932,085.4212,084.7971,972.5051,929.5011,769.3091,666.9571,657.1681,325.8651,260.7131,204.1951,120.9921,070.47973.157912.459881.888847.154
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 11.75968.13746.0752.19844.51444.60940.97949.97249.92947.45229.29937.95547.39400000000000000000
Kortlopende schulden 95.965197.14153.55955.59618.68189.768105.431196.171041.21572.2110024.687.755111.55.52117.9017.5291.15517.8551.12972.0981.1551.15712.0551.1551.155
Belastingschulden 097.210000000000000000000000000000
Uitgestelde opbrengsten 00-7.489-3.3980-2,827.329-3,173.143-1,828.306.237-42.9120000000000000000000
Overige kortlopende verplichtingen 4,987.474-74.092-46.07-52.198-63.1942,827.3293,173.1431,828.3-49.929-47.452-29.299-37.955-47.3940000000000000867.443803.145791.445765.845
Totaal kortlopende verplichtingen 5,095.198191.18646.0752.19863.194234.377146.41246.14349.92947.45229.29937.95547.39424.687.755111.55.52117.9017.5291.15517.8551.12972.0981.155868.6815.2792.6767
Langlopende verplichtingen:
Langetermijnschulden 373.761276.413227.327331.205282.533239.904250.159221.60949.3770020.994137.2348.37510.06599.387114.453107.40588.44990.41887.30631.07524.07526.07518.0759.0759.0757.0754.0859.438
Uitgestelde opbrengsten niet-vlottend 1,406.74-21.449206.901310.126260.59-59.144-54.3400000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 22.92221.44920.42621.07921.94314.53513.36100000000000000000000000
Overige niet-vlottende verplichtingen 65.7213,566.971-227.327-331.205-282.53344.60940.9790047.45229.299-20.994-130.35900000000000000000
Totaal niet-vlottende verplichtingen 1,869.1443,843.384227.327331.205282.533239.904250.159221.60949.37747.45229.29920.9946.8758.37510.06599.387114.453107.40588.44990.41887.30631.07524.07526.07518.0759.0759.0757.0754.0859.438
Totaal passiva 6,964.3426,445.5166,348.6275,644.0244,727.8864,360.2143,956.9933,725.3192,517.8771,950.7671,911.0532,020.5641,933.861,867.6691,817.6141,881.591,773.7791,744.1161,596.2291,506.5641,511.4161,192.4121,139.1331,088.9551,018.241967.293868.553815.192792.552766.996
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000
Gewone aandelen 157.784157.784157.784157.784157.784157.784157.784144.559110.27191.33291.33291.33291.33291.33291.33274.3774.3774.3774.3749.5849.5849.58741.03741.03739.27239.27239.27219.63619.63815.717
Ingehouden winsten 474.691428.637375.124306.899288.803248.167216.761194.516193.446181.851172.602164.823157.566151.978150.507151.816143.066128.242114.346125.772111.65795.5589.68877.49873.40962.99253.69144.2635.02856.983
Overige gereserveerde algehele resultaten -50.646-62.104-16.353-22.144-21.73-28.416-17.771-19.454-16.708-14.462-9.955-6.92-6.101-6.766-0.524-8.619-2.148-4.463-1.052.1873.4977.243.070.848-2.6720.5820.350.0180.261-0.482
Overige totale aandeelhoudersvermogen 257.379252.183257.239249.933247.79246.598246.6185.58874.56525.83326.52735.04230.18229.6826.492-14.36-16.562-12.764-14.586-17.146-18.982-18.924-12.215-4.143-7.2580.33111.29133.35334.4097.941
Totaal eigen vermogen van aandeelhouders 839.208776.5773.794692.472672.647624.133603.374505.209361.574284.554280.506284.277272.979266.224267.807203.207198.726185.385173.08160.393145.752133.453121.58115.24102.751103.177104.60497.26789.33680.158
Totaal eigen vermogen 839.208776.5773.794692.472672.647624.133603.374505.209361.574284.554280.506284.277272.979266.224267.807203.207198.726185.385173.08160.393145.752133.453121.58115.24102.751103.177104.60497.26789.33680.158
Totaal passiva en aandeelhoudersvermogen 7,803.557,222.0167,122.4216,336.4965,400.5334,984.3474,560.3674,230.5282,879.4512,235.3212,191.5592,304.8412,206.8392,133.8932,085.4212,084.7971,972.5051,929.5011,769.3091,666.9571,657.1681,325.8651,260.7131,204.1951,120.9921,070.47973.157912.459881.888847.154