Washington Federal, Inc.

NASDAQ:WAFD

33.42 (USD) • At close November 4, 2024
Overzicht | Financiële gegevens

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 0980.649683.9652,090.8091,702.977419.158268.65313.07450.368284.049781.843203.563751.43816.002888.622498.38882.661.37845.722637.791508.3611,437.208975.15330.33128.2862522.223.419.623.230.516.615.235.914.315.8
Kortetermijnbeleggingen 01,995.0972,051.0372,138.2592,249.4921,485.7421,314.9571,266.2091,922.8942,380.5633,049.4422,360.9481,157.3461,084.71610.7090.001214.871264.345496.361971.5530.0020.0020.0030000000000000
Liquide middelen en kortetermijnbeleggingen 02,975.7460.0014,229.0683,952.4691,904.91,583.6071,579.2792,373.2622,664.6123,831.2852,564.511751.43816.002888.622498.38882.661.37845.722637.791508.3611,437.208975.15330.33128.2862522.223.419.623.230.516.615.235.914.315.8
Nettovorderingen 095.48263.87254.51359.50748.85749.09941.64353.71654.94268.55293.21869.3752.33249.0253.28854.36549.61142.30434.04829.83229.48939.50348.2840.736.535.236.434.631.426.522.923.926.426.823.2
Voorraad 0-1,085.49715,292.268-2,159.718-1,767.743-474.796-340.859-1,286.086-1,810.338000000000000000000000000000
Overige vlottende activa 2,607.7441,085.497757.4242,159.7181,767.743474.796340.859384.339550.956000000000000006,841.4096,558.7916,004.35,477.15,553.44,957.90000000
Totaal vlottende activa 2,607.7443,071.22816,113.5654,283.5814,011.9761,953.7571,632.706719.1751,167.5961,634.4411,866.561,446.4931,157.3461,084.71610.7090.001214.871264.345496.361971.5530.0020.0020.0036,920.026,627.7776,065.85,534.55,613.25,012.154.65739.539.162.341.139
Niet-vlottende activa:
Materiële vaste activa, netto 247.901237.011243.062255.152252.805274.015267.995263.694281.951276.247257.543206.172178.845166.593162.721133.477133.35774.80762.15963.28763.04960.94255.11971.0250.48750.148.947.675.472.163.264.149.856.356.963.7
Goodwill 411.36304.75303.457303.457302.707301.368301.368293.153291.503291.503291.503260.277251.653251.6530251.65300000000000000000000
Immateriële activa 37.0655.8695.5526.5627.1997.8799.9185.5295.4867.85511.4064.0414.423256.271257.718256.79700000000000000000000
Goodwill en immateriële activa 448.425310.619309.009310.019309.906309.247311.286298.682296.989299.358302.909264.318256.076256.271257.718256.797221.294107.24556.25957.25958.93960.336035.70341.57747.653.658.827.53134.337.522.123.52626.1
Langetermijnbeleggingen 95.6172,418.6832,514.3362,504.2842,955.332,929.2222,940.3772,913.0653,340.4934,023.7794,597.7074,015.6142,973.1923,302.182,561.22,304.1251,600.6041,654.0611,635.9661,290.3351,055.8981,169.1461,087.7011,327.9281,471.0971,494.71,210.11,236.81,165.61,337.51,175769.7769.7771.7838.2798.2
Belastingvorderingen 062.44965.87266.89560.96040.113071.65100000000000000-1,363.631-1,512.674-1,542.3-1,263.7-1,295.6-1,193.10000000
Overige niet-vlottende activa 24,660.643-62.449-1,977.205-66.895-60.96-3,512.484-40.113-3,475.441-71.651-4,599.384-5,158.159-4,486.104-3,408.113-3,725.044-2,981.639-2,694.399-1,955.255-1,836.113-1,754.384-1,410.881-1,177.886-1,290.424-1,142.8235.70341.57747.653.658.827.5-1,440.6-1,272.5-871.3-841.6-851.5-921.1-888
Totaal niet-vlottende activa 25,452.5862,966.3131,155.0743,069.4553,518.0413,512.4843,519.6583,475.4413,919.4334,599.3845,158.1594,486.1043,408.1133,725.0442,981.6392,694.3991,955.2551,836.1131,754.3841,410.8811,177.8861,290.4241,142.82106.72392.06497.7102.5106.4102.91,440.61,272.5871.3841.6851.5921.1888
Totaal activa 28,060.3322,474.67520,772.13119,650.57418,794.05516,474.9115,865.72415,253.5814,888.06314,568.32414,756.04113,082.85912,472.94413,440.74913,486.37912,582.47511,796.42510,285.4179,069.028,234.457,169.2057,535.9757,392.4417,026.7436,719.8416,163.55,6375,719.65,1154,577.43,830.13,159.32,791.72,785.12,650.62,437.6
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 000000000000000000000000000000000000
Kortlopende schulden 03,651.8412,031.2151,326.1971,836.6179501,6801,395200000080000020000025001,637.51,154.5091,108.3778.3000000000
Belastingschulden 003.306005.10400000001.535018.0750000000053.01252.56452.33832.52620.6013.112.311.8
Uitgestelde opbrengsten 000000000000000000000000000000000000
Overige kortlopende verplichtingen 11,817.18515,398.626-1,731.17814,883.73312,933.84910,578.7449,383.3228,914.8698,900.4920000-800000-200000-25004,515.54,806.4914,304.74,091.75,0024,5370000000
Totaal kortlopende verplichtingen 11,817.18519,050.467300.03716,209.9314,770.46611,528.74411,063.32210,309.8699,100.49273.318103.94782.503080000020000025006,1535,9615,4134,8705,0024,5370000000
Langlopende verplichtingen:
Langetermijnschulden 3,318.3073,6502,1251,7202,7002,2502,3302,2252,0801,8301,9301,9301,8801,962.0662,665.5482,879.533,175.9081,560.9792,3701,2851,2001,4001,65000345.7578.21,6011,959.51,424.1956.9426.8412.2254.6196.7521
Uitgestelde opbrengsten niet-vlottend 03,582.3342,052.9031,646.9132,638.747013,816.891012,835.605000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 067.66672.09773.08761.253051.925076.727000000000000000000000000000
Overige niet-vlottende verplichtingen 9,924.538-3,650-2,125-1,720-2,700-2,250-2,330-2,225-2,080-1,830-1,930-1,930-1,880-1,962.066-2,665.548-2,879.53-3,175.908-1,560.979-2,370-1,285-1,200-1,40000000000000000
Totaal niet-vlottende verplichtingen 13,242.8453,6502,1251,7202,7002,25013,868.81613,247.89212,912.33212,612.64512,779.15811,145.22410,573.1921,962.06611,645.23210,836.9910,463.7511,560.9797,806.37,047.1426,049.0171,4001,65000345.7578.21,6011,959.51,424.1956.9426.8412.2254.6196.7521
Totaal passiva 25,060.033,650300.0371,7202,7002,25013,868.81613,247.89212,912.33212,612.64512,779.15811,145.22410,573.19211,534.21611,645.23210,836.9910,463.7518,967.297,806.37,047.1426,049.0176,480.3796,431.7236,1535,9615,413.54,869.85,001.94,537.34,001.53,283.32,673.12,367.62,416.72,330.42,160.3
Eigen vermogen:
Preferente aandelen 30030030030000000000000000000000000000000000
Gewone aandelen 154.007136.467136.271135.993135.727135.54135.343134.958134.308133.696133.323132.573129.95129.854129.556129.32105.093104.921104.467104.14194.38385.55476.21269.00662.29662.20000000000
Ingehouden winsten 1,978.8981,867.7491,688.741,528.6111,420.9061,335.9091,188.9711,042.89943.877829.754709.749594.45480.78376.712292.367196.164174.327185.683123.13349.43553.73757.10557.92749.58298.1424453.3131.6183.6229.5186.6447.4389.2334.2267234.3
Overige gereserveerde algehele resultaten 55.85146.92152.48169.78516.95315.2928.2945.015-11.1560.35320.7086.37813.30685.78949.68254.4312.472-13.033-5.975-0.70417.10734.6245651350000000000
Overige totale aandeelhoudersvermogen 511.54475.28996.76891.675440.547546.254664.3822.825908.702991.8761,113.1031,204.2341,275.7161,314.1781,369.5421,365.571,050.7821,040.5561,041.0951,034.436954.961878.313770.579704.421595.727638.8713.9586.1394.1346.4360.238.834.934.253.243
Totaal eigen vermogen van aandeelhouders 3,000.32,426.4262,274.262,126.0642,014.1332,032.9951,996.9082,005.6881,975.7311,955.6791,976.8831,937.6351,899.7521,906.5331,841.1471,745.4851,332.6741,318.1271,262.721,187.3081,120.1881,055.596960.718874.009759.165750767.2717.7577.7575.9546.8486.2424.1368.4320.2277.3
Totaal eigen vermogen 3,000.32,426.4262,274.262,126.0642,014.1332,032.9951,996.9082,005.6881,975.7311,955.6791,976.8831,937.6351,899.7521,906.5331,841.1471,745.4851,332.6741,318.1271,262.721,187.3081,120.1881,055.596960.718874.009759.165750767.2717.7577.7575.9546.8486.2424.1368.4320.2277.3
Totaal passiva en aandeelhoudersvermogen 28,060.3322,474.67520,772.13119,650.57418,794.05516,474.9115,865.72415,253.5814,888.06314,568.32414,756.04113,082.85912,472.94413,440.74913,486.37912,582.47511,796.42510,285.4179,069.028,234.457,169.2057,535.9757,392.4417,026.7436,719.8416,163.55,6375,719.65,1154,577.43,830.13,159.32,791.72,785.12,650.62,437.6