Univest Financial Corporation

NASDAQ:UVSP

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

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994
Operationele Activiteiten:
Nettowinst 71.10478.1291.80146.91665.71950.54344.09419.50527.26822.23121.18920.87218.88215.75610.7820.5925.55725.37724.86723.59123.08221.10619.2117.34815.80414.50113.17712.03811.22710.12
Afschrijvingen & Amortisatie 5.9953.7723.1924.9985.4185.3855.4743.5683.3893.2532.552.3283.1982.6172.5952.8882.7472.5782.4832.7482.322.0572.4952.2842.332.4752.4072.2391.7251.527
Uitgestelde Inkomstenbelasting -0.71-0.5453.553-9.854-1.807-0.5997.4830.9423.8164.1620.9332.541.613-2.247-4.48-0.1240.4210.53800.2860.0640.247-0.757-0.4580.031-0.279000.3530.139
Aandelen Gebaseerde Vergoedingen 4.1944.123.6981.482.3482.5573.1662.0841.4211.1410.9781.267000000000000000000
Verandering in Werkkapitaal 8.0230.134-0.9365.773-0.92311.087-1.1544.1160.779-1.68-2.70810.2452.1010.671-8.314-3.9643.661-9.7627.7175.807-17.9970.4010.9783.469-3.9600000
Vorderingen -8.877-5.859-3.131-2.835-2.3324.547-1.3691.956-0.663-1.093-2.858.0650.69200000000000000000
Voorraden 0-5.993-2.195-8.608-1.4090000000000000000000000000
Crediteuren 17.155.9932.1958.6081.4096.540.2152.161.442-0.5870.1422.181.40900000000000000000
Overig Werkkapitaal -0.255.9932.1958.6081.4096.540.2152.161.442-0.5871.101000-8.314000000000000000
Overige Niet-Contante Posten 3.16123.8541.0291.8662.39317.0339.5973.091-1.0482.769.864-0.113-176.50318.04919.4755.2331.2911.309-0.3091.3520.790.202-0.199-1.1490.5950.7243.275-2.9842.5235.135
Kasstroom uit Operationele Activiteiten 91.767109.455102.33751.17973.14886.00668.6633.30635.62531.86732.80637.13942.69834.84620.05625.42733.15718.95134.75832.6055.6322.95921.49421.47914.79717.42118.85911.29315.82816.921
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -14.586-5.221-5.878-3.753-2.446-3.119-3.961-12.644-5.89-5.595-3.84-0.578-2.301-2.932-3.289-6.752-8.198-1.719-4.038-2.315-5.869-2.038-2.982-2.414-1.89300000
Netto Overnames 1.8776.845-3.82-932.7842.4463.119-358.101-94.835-2.967-9.26-2.17-3.225-13.558-0.927-0.157-9.72-0.198-4.336-0.20-51.621000000000
Aankoop van Beleggingen -40.006-136.475-253.139-147.527-93.139-107.6-112.633-85.547-162.722-65.215-81.712-251.126-246.977-352.989-242.202-417.394-154.014-272.591-163.835-145.679-298.35-214.536-286.06-136.017-126.631-240.718-160.289-114.663-102.306-149.723
Verkoop/verval van Beleggingen 72.47969.166126.978215.397132.83978.463125.237209.217169.79102.711164.566222.129253.477300.573274.109409.52127.93224.883148.021225.688314.048183.391306.62290.862148.26726.1424.02427.44914.99416.163
Overige Investeringsactiviteiten -476.226-831.9279.081.275-383.069-402.181-2.649-310.748-184.535-61.08-55.249-25.381-48.429-28.274-46.974-104.758-11.852-105.774-76.845-112.687-59.402-24.561-72.797-25.917-65.834109.69469.68762.47847.82775.026
Kasstroom uit Investeringsactiviteiten -456.462-897.612-126.779-867.392-343.369-431.318-352.107-294.557-186.324-38.43921.595-58.181-57.788-84.549-18.513-129.104-46.332-159.537-96.897-34.993-101.194-57.744-55.217-73.486-46.091-104.884-66.578-24.736-39.485-58.535
Financieringsactiviteiten:
Schuldaflossingen -24.165-226.086-100-50-20-20-65-15-179.61-21.37-0.375-1.5-1.5-70.008-99.037-1.5-2.5-10.575-1.5-4.5-4.750-700-96.135-34.057-4.01-5.353-0.839
Uitgifte van Gewone Aandelen 0.1152.5412.0580.3842.2332.29572.9142.4722.4342.4622.4222.51557.8312.18957.6551.6147.4984.4824.6842.744.24200000.6560.0590.10900
Terugkoop van Gewone Aandelen -0.462-12.284-0.65-4.452-2.045-5.984-3.519-8.359-13.342-4.605-32.631-2.319-1.928-0.153-0.37-1.614-7.498-4.482-4.684-2.74-4.242-9.19000-13.692-3.38-1.4300
Uitgekeerde Dividenden -25.05-24.607-23.575-17.536-23.435-23.495-21.299-17.024-15.011-12.996-10.029-16.755-13.367-13.249-11.078-10.275-10.344-9.982-8.945-8.128-6.714-6.265-5.752-5.233-4.661-4.181-3.641-3.087-2.541-2.29
Overige Financieringsactiviteiten 511.257311.242818.959882.931329.176426.507298.315315.563356.58942.43-79.54197.6432.287122.01337.022103.11726.198161.87382.9342.011115.0352.01245.06562.69145.01193.47483.15629.89427.27545.218
Kasstroom uit Financieringsactiviteiten 461.69550.806694.734910.943285.929379.323281.411277.652151.065.921-120.15479.58443.32340.792-15.80891.34213.354141.31672.489-10.617103.56636.55732.31357.45840.34980.12242.13721.47619.38142.089
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 457.46300000000000000000000000000000
Netto Kasstroomverandering 97-737.351670.29294.7315.70834.011-2.03616.4010.361-0.651-65.75358.54228.233-8.911-14.265-12.3350.1790.7310.35-13.0058.0021.772-1.415.4519.055-7.341-5.5828.033-4.2760.475
Kaspositie aan het Einde van de Periode 249.799152.799890.15219.858125.128109.4246.72148.75732.35631.99532.64698.39939.85711.62420.53534.847.13546.95646.22635.87648.88140.87939.10740.51735.06626.01133.35238.93430.90135.177