Zions Bancorporation, National Association

NASDAQ:ZION

51.16 (USD) • At close November 4, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 6749071,129539816884592469.05309.471398.462263.455348.15322.69-296.349-1,221.677-266.269493.745583.125480.121405.987337.823256.278283.02161.709194.1146.8122.4101.481.363.851.443.429.126.613.9-17.9
Afschrijvingen & Amortisatie 140110-1486188193179123.086151.088128.648130.616214.617299.948372.754213.04140.201124.973133.771100.66794.77794.53687.093119.614114.97290.652.131.521.918.117.71715.85.35.45.412.4
Uitgestelde Inkomstenbelasting -9-4332-58-2-41154-8.442-29.80325.938-60.1179.788115.604-28.665-15.071-231.241-158.7029.368-32.362-21.9140000000000000000
Aandelen Gebaseerde Vergoedingen 33302826272625262523.63228.05231.5330029.78931.8528.27424.358000000000000000000
Verandering in Werkkapitaal -130390-158-259-3531394-74.078-56.544-5.969363.85179.749201.033404.3-551.355199.31487.146257.405-30.624-66.923-91.81-14.6057.1076.973-10.524.3-39.222.7-11.7-22.5-20-7.910.45.52.843.5
Vorderingen 0000000000000056.80734.288-7.521-42.498000000000000000000
Voorraden 00000000000000-329.697316.69836.48203.452000000000000000000
Crediteuren 00000000000000-26.508-10.765-3.57631.02000000000000000000
Overig Werkkapitaal -130390-158-259-3531394-74.078-56.544-5.969363.85179.749201.033404.3-251.957-140.90761.76365.431-30.624-66.923-91.81-14.6057.1076.973-10.524.3-39.222.7-11.7-22.5-20-7.910.45.52.843.5
Overige Niet-Contante Posten 19576-38838521-25-263.352-14.355-30.711.356-26.492-1.691-33.612,603.1721,300.094157.46438.96286.11651.03699.638-52.701433.63665.533-272.8-286.1-925.8122.5-111.674.1-73.31.541.931.52.7
Kasstroom uit Operationele Activiteiten 9031,4706297196971,176928596.067535.169454.107876.566765.6271,097.0671,460.9941,057.8981,173.949732.91,046.987754.194662.372440.187276.065843.377349.1871.4-62.922.7151.8210.2-52.6122.5-2246.379.453.640.7
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -113-190-206-171-117-129-169-195.663-157.361-175.799-88.58-68.894-77.669-79.071-103.347-114.164-103.223-122.432-67.995-72.289-83.272-97.821-91.924-82.288-93.8-63.7-38.6-20.6-17.5-12.4-13.7-9.7-5.3-6.4-5-4.2
Netto Overnames 3183182,814-4,687-1,9570-2,127-2,081.372-608.838-1,025.0473.786-19.901-853.3121.149452.192688.9445.432-13.145-189.71872.28983.2729.69209.50911.88693.863.738.620.617.512.413.79.75.36.450
Aankoop van Beleggingen -524-6,526-19,486-12,192-2,073-4,076-5,040-9,774.287-5,574.402-2,062.358-1,481.032-2,650.102-3,909.053-5,778.894-1,947.307-4,341.227-5,507.463-2,937.867-3,923.91-4,250.698-8,178.273-12,110.941-9,097.053-2,106.39-2,012-4,172.2-2,128-883.1-1,046.6-646.8-464.9-353.5-305.7-304.8-18,527.50
Verkoop/verval van Beleggingen 5,14712,4045,2684,8044,5203,4363,4098,629.3113,640.9641,887.7311,531.9841,380.3392,328.1811,268.4733,402.833,983.4384,326.2333,435.9134,161.9794,063.2287,010.62211,942.82810,054.0422,261.1521,660.55,072.91,365.4675.2772.1689.71,221.3304.6269.318618,9190
Overige Investeringsactiviteiten -2,476-4,60131422-1,9378-14.24348.91934.916-1,359.318-550.41619.4072,642.6461,838.499-3,289.251-3,817.272-4,602.495-2,411.904-2,988.681-974.709-1,766.183-1,460.598-1,463.461-1,502.9-1,332.1-602.7-574.7-389.732-668.74-117.1-618.3-383.962.7
Kasstroom uit Investeringsactiviteiten 2,3521,405-11,579-12,204375-2,706-3,919-3,436.254-2,650.718-1,340.557-1,393.16-1,908.974-2,492.444-1,925.6973,642.867-3,072.264-5,056.293-4,240.026-2,431.548-3,176.151-2,142.36-2,022.427-386.024-1,379.101-1,854.4-431.4-1,365.3-782.6-664.274.987.7-44.9-153.5-737.17.658.5
Financieringsactiviteiten:
Schuldaflossingen -6,166-290-955-910-3,600-2,162-3,253-280.12-287.752-1,223.275-832.122-372.891-217.204-93.099-3,652.404-159.97-284.403-632.355-2.268-243.294-376.394-71.626-243.1-602.767-310.1-188.5-62.5-21.7-18.5-67.6-147.8-32.6-10.3-2.9-2.70
Uitgifte van Gewone Aandelen 3921814202525.07222.392526.438794.143143.2425.686977.145464.11354.30259.47379.511000000000000000000
Terugkoop van Gewone Aandelen -51-202-926-76-1,102-684-476-223.384-175.6691,389.233-799.468-1,542.52,046.762-752.811-48.54-2.881-322.025-26.483000000000000000000
Uitgekeerde Dividenden -282-269-261-259-260-236-129-107.851-108.055-96.13-119.66-133.581-156.135-109.316-96.271-195.679-195.65-160.821-130.3-114.6-91.887-73.241-73.899-76.762-56.9-41.6-28.4-25-20.6-17.3-12.2-9.2-8.7-8.6-8.50
Overige Financieringsactiviteiten 3,300-2,05213,12312,5603,9674,6586,6353,365.4782,621.01-38.994806.8773,666.636-3.508-3.279-1,473.4471,523.3644,982.3434,165.4072,665.5142,603.322,202.5091,999.916-208.9971,858.3952,195.6878.61,606.4663.7594.340.6-16.3142.973.6634.8-2.2-81.5
Kasstroom uit Financieringsactiviteiten -3,196-2,81311,00211,323-9811,5962,8022,779.1952,071.926557.272-150.231,760.9041,695.60118.64-4,806.5521,519.1364,239.7383,425.2592,532.9462,245.4261,734.2281,855.049-525.9961,178.8661,828.6648.51,515.5617555.2-44.3-176.3101.154.6623.3-13.4-90
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 3000000000000000000000000494.31,342.6630.8454-22.3-210.266.9107.2657.7-61.2-0.1
Netto Kasstroomverandering 596252-1629166-189-60.992-43.623-329.178-666.824617.557300.224-446.063-105.787-379.179-83.655232.22855.592-268.35332.055108.687-68.643148.952-24.4648.51,515.5617555.2-44.3-176.3101.154.6623.3-13.49.1
Kaspositie aan het Einde van de Periode 716657595543705614548737.327798.319845.9051,175.0831,841.9071,224.35924.1261,370.1891,475.9761,855.1551,938.811,706.59850.9981,119.3511,087.296978.6091,047.252898.31,358.71,969.51,035.1872.1294.793.7336.8342.9946.1261.69.1