Washington Federal, Inc.

NASDAQ:WAFD

30.89 (USD) • At close July 2, 2025
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 200.041257.426236.33183.615173.438210.256203.85173.532164.049160.316157.364151.505138.183111.141118.65348.17262.332135.017143.102145.889131.868145.544148.384113.614105.679114.3111.8105.179.978.392.893.381.969.362.957.2
Afschrijvingen & Amortisatie 134.10322.9764.0533.91439.91231.05846.73541.6819.50917.88817.34715.77434.50232.8285.7665.1534.2814.0727.71-4.914-8.771-8.981-11.1988.7273.41-17.3-20.1-9.15.55.45.24.93.93.63.53.6
Uitgestelde Inkomstenbelasting 000000000000000000000000000000000000
Aandelen Gebaseerde Vergoedingen 9.1817.9146.8086.3816.4695.2654.7715.9093.5693.5610.3240.4730.8481.0871.2131.3271.2860000000000000000000
Verandering in Werkkapitaal 81.305-113.852-40.89490.029-48.1911.6-56.933-27.92859.153-10.47814.0896.91-45.732-27.108-141.293-83.309-44.1251.589-20.3250.61.37210.2762.33812.6760.6145.12.921.22.9-1.6-2.7-9.11.7-3.7-10.74.4
Vorderingen 28.624-29.781-9.3594.994-10.650.242-7.45612.0737.91327.23214.276-19.27420.508-25.1337.9991.0770.1850000000000000000000
Voorraden 000000000000000000000000000000000000
Crediteuren 000000000000000000000000000000000000
Overig Werkkapitaal 52.681-84.071-31.53585.035-37.5411.358-49.477-40.00151.24-37.71-0.18726.184-66.24-1.975-149.292-84.386-44.311.589-20.3250.61.37210.2762.33812.6760.6145.12.921.22.9-1.6-2.7-9.11.7-3.7-10.74.4
Overige Niet-Contante Posten 14.60339.4992.1710.515-5.028-14.125-7.721-13.493-24.559-28.416-15.4096.7647.155143.749266.542212.899138.4562.1281.4661.6731.304-25.317-1.842-9.833-12.46-10.7-5.6-7.2-10.7-31.1-31.7-40-23.9-18.4-11.4-11.9
Kasstroom uit Operationele Activiteiten 439.233213.957268.465314.454166.6234.054190.702179.7221.721142.871173.715181.422174.956261.697250.881184.242162.23142.806131.953143.248125.773120.977137.682125.18497.24391.48911077.65163.649.163.650.844.353.3
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -24.681-15.063-11.79-29.472-31.937-35.53-27.127-15.461-41.771-46.439-51.794-29.246-32.01-10.539-13.027-5.273-22.334-2.484-1.683-4.085-4.731-4.73-4.398-6.751-2.714-3.5-3.6-4.1-3.9-2.9-2.9-1.6-272.5-2.5-1.3-0.2
Netto Overnames 623.583-2.590-1.5-2.810-2.211-3.37001,776.66202.30850.5760111.6840-166.859-35.221000000000000000000
Aankoop van Beleggingen -600.448-388.981-783.299-530.227-1,064.815-363.709-443.616-542.425-137.591-574.603-1,280.477-1,677.044-3,609.305-1,585.945-1,774.343-1,175.321-313.95-328.101-973.152-827.178-911.401-559.995-180.683-89.882-154.297-766-319.2-54.2-241.2-355.5-722.6-334.6-220.2-64.4-120.7-151
Verkoop/verval van Beleggingen 605.259460.737610.502980.0321,054.285402.756386.82960.258806.9541,128.724713.012649.9463,889.598892.6141,571.697553.362327.129345.001217.706784.435608.798683.25435.14312.599181.59443.2367119.9425.4243.2333.6440.1206.5142.3104.2103.3
Overige Investeringsactiviteiten 2,658.824-1,432.02-2,308.577-998.578-875.702-424.89-588.311-943.538-758.656-798.171-376.379462.142755.481539.837411.273170.725-457.998-706.31-670.276-911.063-269.125495.38332.088-441.851-568.042-21582.768.1-689-577.2-167.1-101.3388.3-165.1-90-135.5
Kasstroom uit Investeringsactiviteiten 3,287.218-1,377.917-2,493.164-579.745-920.979-421.373-674.445-544.536-131.064-290.489781.022-391.8941,054.34-164.033307.284-456.507-634.76-727.115-1,427.405-957.891-576.459618.635582.147-225.885-543.463-541.3126.9129.7-508.7-692.4-5592.6102.1-89.7-107.8-183.4
Financieringsactiviteiten:
Schuldaflossingen -1,900.491,525405-993.788436.191-80105145250-110.554027.53-995.306100-339.034376.393555.492367.006485582.806-455.191082.5-696.009455.252329.9-326.2-315.4475.5549.4538.7-2.4-193.9-84.9-3.5232.3
Uitgifte van Gewone Aandelen 000000000000000974.2928.31706.8985.5320000000000000000
Terugkoop van Gewone Aandelen -27.069-30.463-3.26-348.651-112.133-123.854-164.249-98.374-87.85-126.728-104.291-110.238-41.914-59.680-20000000000000000000000
Uitgekeerde Dividenden -88.892-78.417-76.201-72.254-66.496-63.318-55.997-74.519-49.926-51.111-42.065-37.835-32.43-25.697-22.45-24.208-73.688-72.467-70.708-67.719-64.696-60.004-57.383-54.044-51.31-49.2-46.8-42.7-37.8-35.5-32.7-29.7-26.9-23.5-19.9-16.5
Overige Financieringsactiviteiten -309.54744.524492.3162,067.8161,780.636604.999554.569255.431-36.562-61.783-230.101-216.852-224.218-184.907193.553335.8683.631306.905282.193423.45434.705-214.985204.738845.52588.754224178.1119.935.11422.8-18.853.7166.585.4-93.4
Kasstroom uit Financieringsactiviteiten -2,325.9981,460.644817.855653.1232,038.198337.827439.323227.53875.662-350.176-376.457-337.395-1,293.868-170.284-167.931688.053493.752599.965703.383944.073-478.161-277.557224.993102.746449.469452.7-217.1-235.9427.5634.2509.3-50.3-166.459.962122.4
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 000000000000000000000000000000000000
Netto Kasstroomverandering 1,400.453296.684-1,406.844387.8321,283.819150.508-44.42-137.298166.319-497.794578.28-547.867-64.572-72.62390.234415.78821.22215.656-592.069129.43-928.847462.055944.8222.0453.2492.8-1.23.8-23.2-30.5-16.6-15.2-15.9-14.9-15.8-23.5
Kaspositie aan het Einde van de Periode 2,381.102980.649683.9652,090.8091,702.977419.158268.65313.07450.368284.049781.843203.563751.43816.002888.622498.38882.661.37845.722637.791508.3611,437.208975.15330.33128.2862522.223.4450.7664.7525.9-35.1-150.574.877.8145.9