Wintrust Financial Corporation

NASDAQ:WTFC

125.21 (USD) • At close December 27, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 622.626509.682466.151292.99355.697343.166257.682206.875156.749151.398137.21111.19677.57563.32973.06920.48855.65366.49367.01651.33438.11827.87518.43911.1559.4276.24.8-1
Afschrijvingen & Amortisatie 84.76482.07101.79796.36988.36267.66563.10753.14836.67132.11726.1824.67619.46918.16520.50820.56620.0117.62216.75112.06411.02111.7447.5048.3943.7562.61.72.1
Uitgestelde Inkomstenbelasting -19.70722.057-2.861-4.05844.55755.22463.2436.67623.0544.1251.539-23.315-0.639-15.97251.279-11.79-4.837-1.2070.3452.9560.8121.1761.7910.597-0.835-2-3.8-1.5
Aandelen Gebaseerde Vergoedingen 33.49531.74816.177-4.93811.30413.49612.8589.3039.6567.7546.7999.0725.6924.646.8539.93610.84512.1590000000000
Verandering in Werkkapitaal -38.607295.426257.196-85.412-148.26-147.395-95.63470.553-149.42330.10226.548158.316143.405151.386-99.1656.524-6.4986.7571.72611.2596.32156.95-23.75127.7161.995-110-3
Vorderingen 0-81.904179.111-132.733-136.986-119.697-127.321-41.164-150.47369.71348.21118.666150.736137.84-67.3635.03-1.755-6.4470000000000
Voorraden 0000000000000000000000000000
Crediteuren 0377.39678.47546.924-11.898-27.00130.693113.2580.292-38.902-21.749137.743-9.72-15.349-2.4274.322-5.49613.9180000000000
Overig Werkkapitaal -38.607-0.066-0.390.3970.624-0.6970.994-1.5410.758-0.7090.0861.9072.38928.895-29.375-2.8280.753-0.7140000000000
Overige Niet-Contante Posten 61.805434.017292.412-813.416-85.66745.02699.785-37.474-38.75510.345123.509-11.291120.185-16.104-893.572105.56740.203-60.43248.68867.7886.553-38.432-29.452-1.07212.588-4.13.32
Kasstroom uit Operationele Activiteiten 744.3761,3751,130.872-518.465265.993377.182401.041309.08137.952235.841321.785268.654365.687205.444-841.028151.291115.37641.392116.906124.531137.48959.206-25.45346.84326.926-8.36-3.3
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -46.406-53.449-57.075-63.646-82.021-68.273-59.194-33.923-43.459-38.136-37.694-74.326-79.132-30.51-18.275-28.632-42.829-64.824-47.006-30.606-41.148-27.373-19.934-19.459-17.217-15.5-16.1-7.9
Netto Overnames -5.14733.083-585.402-7,927.173-108.365-53.871-0.284-613.619-15.428228.946-163.59164.35191.57162.189-745.9160-11.594-51.07-79.222-7.43319.041-7.73819.93419.459-4.22715.516.17.9
Aankoop van Beleggingen -2,237.088-3,750.059-3,734.186-2,174.453-2,757.346-1,353.096-1,076.03-3,885.336-2,115.544-1,597.587-489.131-2,570.373-3,087.864-2,016.636-2,457.086-1,851.545-586.817-1,069.596-1,827.642-1,477.226-4,643.322-3,447.617-1,938.546-896.922-383.723-588.3-124.5-318.5
Verkoop/verval van Beleggingen 2,289.838630.31,802.7683,003.4932,134.521581.227729.7944,177.2082,023.1821,283.677434.0812,987.3162,749.0321,742.8712,696.7981,691.3231,054.2531,229.8121,453.311,102.3754,302.9113,285.631,745.13910.733389.055481.392.7308.9
Overige Investeringsactiviteiten -3,239.013-350.644-3,354.964-20.645-3,205.738-1,869.485-1,898.03-2,136.995-1,490.304-1,744.7115.538-902.843-631.991-340.186-341.429-1,015.881-247.527-915.237-452.479-609.851-606.071-585.184-471.72-274.679-272.587-196.6-288.3-203.9
Kasstroom uit Investeringsactiviteiten -3,237.816-3,490.769-5,928.859-7,182.424-4,018.949-2,763.498-2,303.744-2,492.665-1,641.553-1,867.81-240.797-495.875-958.384-582.272-865.908-1,204.735165.486-870.915-953.039-1,022.741-968.589-782.282-685.07-280.327-288.699-319.1-336.2-221.4
Financieringsactiviteiten:
Schuldaflossingen 50.671,200.135-15.155642.096560.539-10.742398.112-721.694159.601395.256-55.396-996.786211.05-33.562-104.32738.432177.44975.096-95.94223.23674.1343.43593.43523.02149.604-55.9-1.717.5
Uitgifte van Gewone Aandelen 0285.72900000152.91100000498.3800000000000000
Terugkoop van Gewone Aandelen -1.913-0.304-9.54-93.432-1.297-0.648-0.397-0.616-0.424-0.549-3.504-7.726-0.112-250.218-0.443-0.094-105.853-16.3430000000000
Uitgekeerde Dividenden -125.69-108.21-98.629-85.89-65.11-50.987-40.543-38.568-29.888-24.933-13.893-13.157-10.344-22.776-21.783-9.031-7.831-6.961-5.449-4.069-2.784-1.903-1.279-0.8750000
Overige Financieringsactiviteiten 2,502.871818.185,010.0427,274.1133,153.12,563.3021,553.0772,785.8011,519.41,229.038-59.3591,390.214389.227268.0321,546.2011,208.887-388.765741.6581,102.861686.52620.814774.478488.06362.954234.468342.5328.1212.3
Kasstroom uit Financieringsactiviteiten 2,425.9382,195.534,886.7187,736.8873,647.2322,500.9251,910.2492,177.8341,648.6891,598.812-132.152372.545589.821390.7921,419.6481,238.194-325793.451,001.472905.687742.727856.468603.999382.241290.607286.9347.7231.7
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0000000000000000000000000000
Netto Kasstroomverandering -67.50279.76188.73135.998-105.724114.6097.546-5.7545.088-33.157-51.164145.324-2.87613.964-287.288184.75-44.138-36.073165.3397.477-88.373133.392-106.524148.75728.834-40.517.57
Kaspositie aan het Einde van de Periode 423.464490.966411.205322.474286.476392.2277.591270.045275.795230.707263.864315.028169.704172.58158.616445.904261.154305.292341.365176.026168.549256.922123.53230.05481.29752.592.975.4