Westamerica Bancorporation

NASDAQ:WABC

51.5 (USD) • At close November 1, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 190.314294.2361,132.085621.275373.421420.284575.002462.271433.044380.836472.028491.382530.045338.793361.135138.883209.764184.442209.273126.153189.628222.577179.182286.482255.7229.7250.8355.2182.1112.4102.695.962.280.986.8
Kortetermijnbeleggingen 3,999.8014,331.7434,638.8554,063.1853,078.8462,654.672,191.7071,890.7581,570.2161,600.7811,079.381825.636638.75300288.45400662.388931.711,413.911947.84800000-205.80000000
Liquide middelen en kortetermijnbeleggingen 190.3144,625.9795,770.944,684.463,452.2673,074.9542,768.5092,353.0292,003.261,981.6171,551.4091,317.018530.045338.793361.135138.883209.764184.442209.273126.153189.628222.577179.182286.482255.7229.7250.8149.4182.1112.4102.695.962.280.986.8
Nettovorderingen 54.56853.55835.52133.02228.79725.83423.55721.48920.17419.39422.95734.12163.375225.713256.032150.212151.142152.669150.478136.738131.677136.636117.397121.212101.2102.896.193.360.651.441.727.922.125.232.3
Voorraad -244.882-4,679.537-5,806.461-4,717.482-3,481.064-3,100.788-2,792.066-2,374.5180000-63.37500000-8.350000000000000000
Overige vlottende activa 250.082352.6881,172.363658.869405.998451.126604.891491.6872.893202.548864.8911,414.7972,763.712,922.2513,051.7272,341.8022,451.4162,477.6182,616.3720000000000000000
Totaal vlottende activa 250.082352.6881,172.363658.869405.998451.126604.891491.682,096.3272,203.5592,439.2572,765.9363,293.7553,486.7573,668.8942,630.8972,812.3222,814.7292,967.7731,057.8631,603.5391,170.425296.579407.694356.9332.5346.9203.9242.7163.8144.3123.884.3106.1119.1
Niet-vlottende activa:
Materiële vaste activa, netto 45.8344.56549.13551.64551.73334.50735.30136.56638.69337.85237.31438.63936.54836.27838.09827.35128.3830.18833.22135.22335.74837.39639.82142.182444648.44126.623.326.115.916.716.518.5
Goodwill 121.673121.673121.673121.673121.673121.673121.673121.673121.673121.673121.673121.673121.673121.673121.699121.699121.7190121.9070000000000000000
Immateriële activa 0.347122.256122.508122.777123.064123.602125.523128.610.43114.28718.55723.26128.62934.60435.66715.20818.429026.170000000000000000
Goodwill en immateriële activa 122.02122.256122.508122.777123.064123.602125.523128.6132.104135.96140.23144.934150.302156.277157.366136.907140.148143.801148.0770000000000000000
Langetermijnbeleggingen 42.89446.32251.37232.5623526.19324.34626.8612,886.2912,639.4392,211.681,981.6771,561.5561,252.2121,111.1431,237.7791,578.1091,780.6172,000.1382,192.5421,949.8221,386.8331,158.1391,149.311,219.51,214.71,234.2894.3862.5759.6726.1473.2428.8354.5272.6
Belastingvorderingen 105.676125.1425.96622.80522.93143.30834.7358.846000000000000000000000000000
Overige niet-vlottende activa 5,804.2596,259.3466,065.6485,882.0784,992.6754,890.8424,689.8734,626.95915.4618.91418.57421.0070000000-2,192.542-1,949.822-1,386.833-1,197.96-1,191.492-1,263.5-1,260.7-1,282.6-935.3-889.1-782.9-752.2-489.1-445.5-371-291.1
Totaal niet-vlottende activa 6,120.6796,597.6296,314.6296,111.8675,225.4035,118.4524,909.7734,877.8323,072.5482,832.1652,407.7982,186.2571,748.4061,444.7671,306.6071,402.0371,746.6371,954.6062,181.43635.22335.74837.3961,197.961,191.4921,263.51,260.71,282.6935.3889.1782.9752.2489.1445.5371291.1
Totaal activa 6,370.7616,950.3177,486.9926,770.7365,631.4015,569.5785,514.6645,369.5125,168.8755,035.7244,847.0554,952.1935,042.1614,931.5244,975.5014,032.9344,558.9594,769.3355,149.2094,737.2684,576.3854,224.8673,927.9674,031.3813,893.23,844.33,848.42,548.52,490.92,030.22,004.41,384.11,308.21,325.31,350.2
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 00000000000000000000000000000000000
Kortlopende schulden 64.22963.635153.076108.1636.97651.24758.47159.07853.02889.78462.66853.687125.689107.385227.178457.275798.599731.977775.173735.423590.646519.736311.911386.942462.3203.7264.8167.4000015.918.217.9
Belastingschulden 00000000000000000000000000000000000
Uitgestelde opbrengsten 00000000000000000000000000000000000
Overige kortlopende verplichtingen 2,605.8443,046.0483,070.0612,725.1772,240.1122,243.2512,197.5262,089.44300015-100000000003,273.8893,275.6583,088.83,224.53,1243,261.22,2472,227.300-15.9-18.2-17.9
Totaal kortlopende verplichtingen 2,670.0733,109.6833,223.1372,833.3372,277.0882,294.4982,255.9972,148.52153.02889.78462.66868.687115.689107.385227.178457.275798.599731.977775.173735.423590.646519.7363,585.83,662.63,551.13,428.23,388.83,428.62,2472,227.30015.918.217.9
Langlopende verplichtingen:
Langetermijnschulden 18.81415.74617.9818.83217.136000020.01520.57740.79926.02361.69885.47036.77336.9240.28121.429129.64324.60727.82131.03641.547.552.542.52025.536.414.1000.9
Uitgestelde opbrengsten niet-vlottend 2,862.35603,337.0652,957.1872,566.461000000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 6.169028.46748.58311.8461.0521.6183.429000000000000000000000000000
Overige niet-vlottende verplichtingen 40.4553,222.77853.24167.98827.4532,658.4372,666.812,656.195000-150003,596.451000000-0.021-0.03600016.40000000
Totaal niet-vlottende verplichtingen 2,927.7943,238.5243,436.7533,092.592,622.8962,659.4892,668.4282,659.624020.01520.57725.79926.02361.69885.473,596.45136.77336.9240.28121.429129.64324.60727.83141.547.552.558.92025.536.414.1000.9
Totaal passiva 5,597.8676,348.2076,659.895,925.9274,899.9844,953.9874,924.4254,808.1454,636.674,509.1214,304.1214,392.0914,483.524,386.2374,470.0533,623.0824,164.3564,345.14,722.4954,378.6594,236.0143,883.3683,613.6083,693.6343,592.63,475.73,441.22,309.62,2671,8641,8521,275.41,2191,246.11,279.6
Eigen vermogen:
Preferente aandelen 00000000000000000000000000000000000
Gewone aandelen 473.136475.086471.008466.006465.46448.351431.734404.606381.436380.843381.657375.113377.775000334.2110313.959229.975220.285217.198209.074206.952186.4195.2000000000
Ingehouden winsten 490.005383.094306.395264.356239.135205.841173.804165.302150.094140.468156.964170.364166.437163.519133.00254.13861.92278.122108.45118.996106.895105.14993.385123.626118.7153.3190.7137.6127.5104.286.673.960.251.242.6
Overige gereserveerde algehele resultaten -190.247475.086471.008466.006465.46448.351431.734404.6060.6755.2924.31314.62511.3690.1593.7141.04-1.534.5844.3059.63813.19119.15211.97.169-4.520.217.97.81.7-1.82.50000
Overige totale aandeelhoudersvermogen 0-731.156-421.309-351.559-438.638-486.952-447.033-413.14700003.06381.609368.732354.6740341.5290000000-0.1198.693.594.763.863.334.8292828
Totaal eigen vermogen van aandeelhouders 772.894602.11827.102844.809731.417615.591590.239561.367532.205526.603542.934560.102558.641545.287505.448409.852394.603424.235426.714358.609340.371341.499314.359337.747300.6368.6407.2238.9223.9166.2152.4108.789.279.270.6
Totaal eigen vermogen 772.894602.11827.102844.809731.417615.591590.239561.367532.205526.603542.934560.102558.641545.287505.448409.852394.603424.235426.714358.609340.371341.499314.359337.747300.6368.6407.2238.9223.9166.2152.4108.789.279.270.6
Totaal passiva en aandeelhoudersvermogen 6,370.7616,950.3177,486.9926,770.7365,631.4015,569.5785,514.6645,369.5125,168.8755,035.7244,847.0554,952.1935,042.1614,931.5244,975.5014,032.9344,558.9594,769.3355,149.2094,737.2684,576.3854,224.8673,927.9674,031.3813,893.23,844.33,848.42,548.52,490.92,030.22,004.41,384.11,308.21,325.31,350.2