WSFS Financial Corporation

NASDAQ:WSFS

57.23 (USD) • At close July 1, 2025
Overzicht | Financiële gegevens

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,153.1171,092.9831.9781,527.5191,647.044571.545619.587720.258818.383560.989507.905484.094500.256468.008376.505320.659248.558267.537240.324233.951193.009161.515169.734133.17395.16767.19263.381.855.967.464.8136.278.1116.86659.2
Kortetermijnbeleggingen 16.698000001,205.079838.122794.543721.029740.124817.115907.498859.3620000000000000000000000
Liquide middelen en kortetermijnbeleggingen 1,169.8151,088.63832.6081,527.8891,647.345571.7521,825.8361,561.9881,616.4661,282.2081,248.1631,301.5411,408.3851,327.379376.759321.749248.558267.537240.324233.951193.009161.515169.734133.17395.16767.19263.381.855.967.464.8136.278.1116.86659.2
Nettovorderingen 732.187709.601633.429393.872293.22226.72422.00119.40517.02714.0411.78210.7989.65211.74311.76562.58138.47934.96538.86936.21232.68426.84915.11628.82428.34827.72721.722.828.423.922.318.75.98.212.111.5
Voorraad 000000000000000000000000000000000000
Overige vlottende activa 000000000000000000000000000000000000
Totaal vlottende activa 1,902.0021,798.2311,466.0371,921.7611,940.565798.4761,847.8371,580.771,633.4931,296.2481,259.9451,312.3391,411.3981,339.122388.524384.33287.037302.502279.193270.163225.693188.364184.85161.997123.51594.91985104.684.391.387.1154.98412578.170.7
Niet-vlottende activa:
Materiële vaste activa, netto 86.028104.484115.60387.29596.556104.46544.95647.98348.87139.56935.07435.17838.25735.96431.8736.10834.96634.85130.21822.90422.83513.34513.83816.43816.78814.62111.9912.41827.423.48.712.718.116.1
Goodwill 885.898885.898883.637472.828472.828472.828166.007166.007167.53985.21248.65132.23528.14628.14626.74510.8711.8490000000000000000000
Immateriële activa 102.263118.662128.59574.40384.55895.91720.01622.43723.70810.0838.9426.7435.1746.1397.3072.7813.8670000000000000000000
Goodwill en immateriële activa 988.161,004.561,012.232547.231557.386568.745186.023188.444191.24795.29557.59338.97833.3234.28534.05213.65115.716000000000000000001.55.8
Langetermijnbeleggingen 16,925.69616,911.37616,474.79512,859.02611,394.9310,468.2675,076.424,986.534,663.5033,961.0033,340.6262,973.7952,743.3132,712.7743,329.2673,193.7312,980.9122,746.682,578.5792,441.1552,146.1241,949.6711,367.0471,491.291,332.9491,394.511,291.91,205.61,244.11,089.31,069.6808.6861.4946.41,315.11,254.4
Belastingvorderingen 000000000000000000000000000000000000
Overige niet-vlottende activa 912.417776.021846.088362.014344.477316.34993.634195.813228.156192.604160.082155.473148.86166.863169.805120.687113.929116.155109.406112.496108.30455.697139.265244.195266.064249.77246.91196.116.920.211.67.85662.4100.287.3
Totaal niet-vlottende activa 18,912.30218,796.44118,448.71813,855.56612,393.34911,457.8265,401.0335,418.775,131.7774,288.4713,593.3753,203.4242,963.752,949.8863,564.9943,364.1773,145.5232,897.6862,718.2032,576.5552,277.2632,018.7131,520.151,751.9231,615.8011,658.9011,550.711,410.71,273.41,127.51,108.6839.8926.11,021.51,434.91,363.6
Totaal activa 20,814.30320,594.67219,914.75515,777.32714,333.91412,256.3027,248.876,999.546,765.275,585.9624,853.324,515.7634,375.1484,289.0083,953.5183,748.5073,432.563,200.1882,997.3962,846.7522,502.9562,207.0771,7051,912.8981,739.3161,753.821,635.71,515.21,357.71,218.81,195.7994.71,010.11,146.51,5131,434.3
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 38.17346.6845.1740.7361.453.1031.91.0371.1510.8011.0040.8381.0991.913.317026.82826.53726.25623.32717.2960000000000011.72.12.4
Kortlopende schulden 00000195157.97528130128.2128.2259711050191.636174.654183.777169.869151.64119.276165.546662.762429.425565420.3143.941153.5207.7159.356.256.700057.941.8
Belastingschulden 000000000000000000000000000000000000
Uitgestelde opbrengsten 000000000000000000000000000000000000
Overige kortlopende verplichtingen 17,029.80816,474.08616,203.56913,240.06211,856.6649,586.8575,640.4315,247.6044,738.4384,016.5663,649.2353,208.9323,274.9633,135.3042,810.7742,561.8712,122.3521,827.1611,756.3481,446.2361,234.962923.333898.3961,146.1171,121.591910.09858.3767744.9724809.7806.7859.1987.41,194.61,083.8
Totaal kortlopende verplichtingen 17,067.98116,520.7716,208.74313,240.79811,858.1149,784.965,800.3065,276.6414,869.5894,145.5673,778.4643,306.773,386.0623,187.2143,005.7272,736.5252,332.9572,023.5671,934.2441,588.8391,417.8041,586.0951,327.8211,711.1171,541.8911,054.0311,011.8974.7904.2780.2866.4806.7860.1989.11,254.61,128
Langlopende verplichtingen:
Langetermijnschulden 383.607895.076726.894239.477340.641294.288541.813909.8061,137.447804.768539.55784.841527.266673.62647.606613.144815.957965.291851.0391,075.732888.61418.29686.58180.4873.338578.524518.9437359.6344.5270.5139.9110.7128.3234.6198.7
Uitgestelde opbrengsten niet-vlottend 000000000000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 000000000000000000000000000000000000
Overige niet-vlottende verplichtingen 783.34709.011777.232360.036345.679327.56385.83188.74870.89853.91346.25541.10240.76636.041-67.63797.03867.011000014.69495.08116.51921.06520.00619.2116.718.120.613.59.4713.519.617.8
Totaal niet-vlottende verplichtingen 1,166.9471,604.0871,504.126599.513686.32621.851627.644998.5541,208.345858.681585.805825.943568.032709.661579.969710.182882.968965.291851.0391,075.732888.61432.99181.66296.99994.403598.53538.11453.7377.7365.1284149.3117.7141.8254.2216.5
Totaal passiva 18,234.92718,124.85717,712.86913,840.31112,544.43410,406.8116,427.956,275.1956,077.9345,005.4914,364.2694,132.7133,954.0943,896.8753,585.6963,446.7073,215.9252,988.8582,785.2832,664.5712,306.4142,019.0851,509.4831,807.0941,636.2941,652.5611,549.91,428.41,281.91,145.31,150.4956977.81,130.91,508.81,344.5
Eigen vermogen:
Preferente aandelen 0000000000000.0010.0010.0010.00100000000000000000000
Gewone aandelen 0.7630.7610.7590.5770.5760.5750.5690.5630.580.560.5570.1850.1840.1820.180.1660.1570.1570.1560.1540.1520.1510.1490.1480.1480.1480000000000
Ingehouden winsten 1,871.5231,643.6571,411.2431,224.614977.414917.377791.031669.557627.078570.63523.099473.962433.228408.865393.081385.308390.338376.682347.448319.065293.054268.797207.358107.9592.4098364.749.332.916.5-10.5-18.6-23.8-28.3-39.646.4
Overige gereserveerde algehele resultaten -624.877-593.991-675.844-37.76856.00723.501-15.394-8.152-7.6170.6963.5-21.29412.94311.2026.524-2.022-12.613-3.861-8.573-9.968-3.385-1.7480.9043.1460.197-3.2650.20.40.2-0.2-1.500000
Overige totale aandeelhoudersvermogen 1,342.3431,427.2091,468.955751.676757.729908.85344.71462.37767.2958.585-37.734-69.803-25.302-28.117-31.964-81.653-161.247-161.648-126.972-127.276-93.518-79.208-25.739-11.2414.39216.2720.937.142.757.257.357.356.143.943.843.4
Totaal eigen vermogen van aandeelhouders 2,589.7522,477.6362,205.1131,939.0991,791.7261,850.306820.92724.345687.336580.471489.051383.05421.054392.133367.822301.8216.635211.33212.059181.975196.303187.992182.672100.00397.14696.15385.886.875.873.545.338.732.315.64.289.8
Totaal eigen vermogen 2,579.3762,469.8152,201.8861,937.0161,789.481,849.491820.92724.345687.336580.471489.051383.05421.054392.133367.822301.8216.635211.33212.113182.181196.542187.992195.517105.804103.022101.25985.886.875.873.545.338.732.315.64.289.8
Totaal passiva en aandeelhoudersvermogen 20,814.30320,594.67219,914.75515,777.32714,333.91412,256.3027,248.876,999.546,765.275,585.9624,853.324,515.7634,375.1484,289.0083,953.5183,748.5073,432.563,200.1882,997.3962,846.7522,502.9562,207.0771,7051,912.8981,739.3161,753.821,635.71,515.21,357.71,218.81,195.7994.71,010.11,146.51,5131,434.3