Wintrust Financial Corporation

NASDAQ:WTFC

127.13 (USD) • At close November 7, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 2,507.7272,479.6275,783.7535,124.9422,450.7271,491.7361,340.7761,247.651879.2361,223.573748.9821,320.474897.2991,019.2651,160.796342.803180.6188.33170.376133.127118.157110.08972.26765.59583.84460.4178.194.10
Kortetermijnbeleggingen 3,291.4483,243.0172,327.7933,055.8393,106.2142,126.0811,803.6661,724.6671,716.3881,792.0782,176.291,796.0761,291.7971,496.3021,328.815784.6731,303.8371,839.71600000000000
Liquide middelen en kortetermijnbeleggingen -423.4045,722.6448,111.5468,180.7815,556.9413,617.8173,144.4422,972.3182,595.6243,015.6512,925.2723,116.552,189.0962,515.5672,489.6111,127.4761,484.4372,028.046170.376133.127118.157110.08972.26765.59583.84460.4178.194.10
Nettovorderingen 2,253.2134,170.3742,564.2821,368.8911,077.714972.839683.819618.977632.5481,011.637600.572536.4811,106.884378.905437.5491,047.13297.884204.929300.672161.549156.975133.44438.93634.72235.94330.114.916.40
Voorraad -1,829.8090-6,632.608-5,432.005-2,786.942-2,054.999-3,473.782-3,122.482000000000000000000000
Overige vlottende activa 3,227.117-5,100.3326,632.6085,432.0052,786.9422,054.9991,726.7211,523.048000000000000002,485.0021,905.3331,475.2611,199814.4563.30
Totaal vlottende activa 3,227.1174,792.68610,675.8289,549.6726,634.6554,590.6562,081.21,991.8611,987.8422,017.2142,429.6982,080.8071,439.8091,649.9921,463.9481,004.4671,474.0272,232.975471.048294.676275.132243.5332,596.2052,005.651,595.0481,289.51,007.4673.80
Niet-vlottende activa:
Materiële vaste activa, netto 748.9661,018.7261,008.4871,011.242985.52904.377834.23726.703655.426555.228531.947501.205431.512363.696350.345349.875339.297311.041247.875185.926156.714118.96199.13286.38672.8515744.230.30
Goodwill 656.672653.524655.149645.707645.22573.141501.884498.587471.761405.634374.547345.401305.468281.19278.025276.31276.204268.93600000000000
Immateriële activa 22.88922.18628.30736.0447.05749.42417.62121.85124.20918.81119.21320.94722.0712.57513.62414.60817.73721.59900000000000
Goodwill en immateriële activa 679.561675.71683.456681.747692.277619.237519.505520.438495.97424.445393.76366.348327.538293.765291.649290.918293.941290.535214.323124.68252.08826.43110.08510.7711.4831.51.81.90
Langetermijnbeleggingen 2,582.0486,995.0765,361.653,726.514,292.5223,229.9292,631.112,362.3612,601.6621,793.2842,176.7871,796.6591,294.2871,501.1811,362.589789.0721,305.4081,842.041,800.9941,347.076910.55553.237385.35193.105205.795214.1106.974.40
Belastingvorderingen 46,805.22700004,760.1990000000000000000-395.435-203.875-217.278-215.6-108.7-76.30
Overige niet-vlottende activa 2,217.015-7,138.639-7,053.593-5,419.499-5,970.319-4,756.871-2,843.445-2,491.763-2,664.832-1,793.284-2,176.787-1,796.659-1,294.287-1,501.181-1,362.589-789.072-1,305.408-2,443.616-2,263.192-1,657.684-1,119.352-698.62910.08510.7711.4831.51.81.90
Totaal niet-vlottende activa 53,032.8171,550.8737,053.5935,419.4995,970.3194,756.8711,141.41,117.7391,088.226979.673925.707867.553759.05657.461641.994640.793633.2382,443.6162,263.1921,657.6841,119.352698.629109.21797.15684.33458.54632.20
Totaal activa 56,259.93452,949.64950,142.14345,080.76836,620.58331,241.52127,915.9725,668.55322,917.16620,010.72718,097.78317,519.61315,893.80813,968.07412,215.6210,658.3269,368.8599,571.8528,177.0426,419.0484,747.3983,721.5552,705.4222,102.8061,679.3821,3481,053.4706470.89
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,799.9221,646.6241,122.1591,233.7861,039.49666.316537.244505.45390.259336.225302.958331.245187.412151.097170.99121.744102.884104.08593.12679.488126.03498.80233.80951.6923.5712.61100
Kortlopende schulden 38.8722907562.9876.4681.991344.66336.928500052.8221100034.916250.29475.66990.73328.07443.63959.843035.57.10
Belastingschulden 0779.144000000000000000000000000000
Uitgestelde opbrengsten 0.5650.9321,047.15900674.96300000000000000000000000
Overige kortlopende verplichtingen 35,522.811-1,158.412-1,122.159-1,296.773-1,045.958-671.635-881.907-542.378-395.259-336.225-302.958-331.245-240.234-152.097-171.99-121.744-102.884-104.085-128.042-329.782-201.703-189.5352,404.1171,826.6711,463.5871,229.4918.5633.90
Totaal kortlopende verplichtingen 37,362.17779.1441,122.1591,296.7731,045.958671.635881.907542.378395.259336.225302.958331.245240.234152.097171.99121.744102.884104.085128.042329.782201.703189.5352,4661,9221,5471,2429656410
Langlopende verplichtingen:
Langetermijnschulden 3,663.3163,603.6432,425.7112,437.4291,782.7051,212.9571,218.44808.8541,534.4611,319.008922.359955.1191,802.7271,575.755988.9171,093.261,054.979825.181691.655510.62319.237215.89497.62578.62539.431.120.422.110.758
Uitgestelde opbrengsten niet-vlottend 0.6651.282000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend -0.665-1.282000000000000000000000000000
Overige niet-vlottende verplichtingen 9,834.92243,770.024-2,425.711-2,437.429-1,782.705-52.584-1,218.44-808.854-1,534.461-1,319.008-921.995-953.026-1,749.905-1,574.755-987.917-1,092.26-994.279-825.181-691.655-510.62-319.237-215.8940.3750.375-0.4-0.1-0.4-0.10
Totaal niet-vlottende verplichtingen 13,498.23847,373.6672,425.7112,437.4291,782.7051,160.3731,218.44808.8541,534.4611,319.0080.3642.09352.82211160.7825.181691.655510.62319.237215.89498793931202210.758
Totaal passiva 50,860.40848,152.81145,643.45540,964.77332,929.33327,973.95124,939.03122,972.93620,564.89217,940.90516,197.19415,714.90814,350.27512,531.52511,076.9819,591.7548,629.3048,798.5067,549.1315,945.1364,397.5613,494.5532,564.1442,000.531,586.4351,272.8984.6663.4430.403
Eigen vermogen:
Preferente aandelen 412.5412.5412.5412.5125125125251.257251.287126.467126.477176.40649.76849.64284.824281.8730000002.2050.2632.1710000
Gewone aandelen 61.26960.79758.89258.47357.95156.51856.06851.97848.46946.88146.18137.10835.98234.86427.07926.61126.28125.80223.94121.72920.06617.21614.5328.8578.7710000
Ingehouden winsten 3,345.3992,849.0072,447.5352,080.0131,899.631,610.5741,313.6571,096.518928.211803.4676.935555.023459.457392.354366.152318.793309.556261.734201.133139.56692.30156.96730.99513.8353.555-5.9-12.1-170
Overige gereserveerde algehele resultaten -361.231-427.6364.09215.382-34.678-76.872-41.835-65.328-62.708-37.332-63.0367.711-2.878-5.512-6.622-10.302-13.672-17.761-17.589-6.53-6.156-0.795-2.205-0.263-2.1710000
Overige totale aandeelhoudersvermogen 1,941.5891,902.171,575.6691,549.6271,643.3471,552.351,524.0491,361.1921,187.0151,130.4061,114.0321,028.4571,001.204965.203467.206449.597417.39503.571420.426319.147243.626153.61495.75179.58480.62181.180.959.640.487
Totaal eigen vermogen van aandeelhouders 5,399.5264,796.8384,498.6884,115.9953,691.253,267.572,976.9392,695.6172,352.2742,069.8221,900.5891,804.7051,543.5331,436.5491,138.6391,066.572739.555773.346627.911473.912349.837227.002141.278102.27692.94775.268.842.640.487
Totaal eigen vermogen 5,399.5264,796.8384,498.6884,115.9953,691.253,267.572,976.9392,695.6172,352.2742,069.8221,900.5891,804.7051,543.5331,436.5491,138.6391,066.572739.555773.346627.911473.912349.837227.002141.278102.27692.94775.268.842.640.487
Totaal passiva en aandeelhoudersvermogen 56,259.93452,949.64950,142.14345,080.76836,620.58331,241.52127,915.9725,668.55322,917.16620,010.72718,097.78317,519.61315,893.80813,968.07412,215.6210,658.3269,368.8599,571.8528,177.0426,419.0484,747.3983,721.5552,705.4222,102.8061,679.3821,3481,053.4706470.89