National Bank of Greece S.A.

ASE:ETE.AT

6.12 (EUR) • At close November 17, 2023
Overview | Financials

Numbers are in millions (except for per share data and ratios) EUR.

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998
Operating Activities:
Net Income 1,1061,39290172-19514-370-2,796-5,164-1,422-179-2,517.985-14,507.479-211.986963.345821.4241,318.791799.877557.07210.115127.273142.258215.791335.393603.231362.381
Depreciation & Amortization 1881721631541329199149194206226224.287226.231209.216221.913162.478139.81198.6888.922113.001106.157137.106137.117110.73366.58451.16
Deferred Income Tax 0000000000-3400803.2051,406.731193.424127.721-99.00168.2980-343.6670068.14300
Stock Based Compensation 00000000001,2930012.30612.70710.50333.7936.383111.5270236.1870059.62500
Change In Working Capital -6451715,68510,491-2,4894,185-8,492-5,980-2,238-6,073-2,466-1,739.326-4,456.371589.9921,292.9084,842.4461,063.411,162.701-3,473.293,162.9242,395.961-776.7321,642.0332,963.171-3,008.202505.627
Accounts Receivables 0000000000-86000000000000000
Inventory 00000000000000000000000000
Accounts Payables 00000000000000000000000000
Other Working Capital -8,0091715,68510,491-2,489203-10,970-6,8525,452-5,297-2,380000000000000000
Other Non Cash Items 974190-1193917113481,2913,8356,3632,7451,3792,322.40916,483.361771.5961,098.682-166.007-29.71446.57280.966-59.323394.31323.246361.89943.654-62.609152.626
Operating Cash Flow 1,2471,9256,63011,108-1,8414,638-7,472-4,792-845-4,544-1,074-1,710.615-2,254.2581,371.1243,589.5555,670.8442,526.0912,015.212-2,678.0343,426.7172,680.037-474.1232,356.8393,521.095-2,400.9971,071.794
Investing Activities:
Investments In Property Plant And Equipment -516-193-179-178-151-151-188-177-316-849-212-133.369-220.351-165.567-272.487-249.665-217.997-153.079-124.404-219.309-166.625-131.193-206.799-100.086-88.447-69.065
Acquisitions Net 57591941-72-786053,280-1-3858023.097-5.105-11.249-0.57-492.032-1,454.87-2,135.37-35.995-50.544-31.6630-29.222-319.422183.8510
Purchases Of Investments -8,768-7,942-13,122-14,202-12,014-5,804-5,023-4,012-3,290-5,788-8,554-8,247.756-10,173.987-17,962.734-24,891.461-18,647.882-14,723.293-8,335.105-4,999.627-2,300.555-4,410.368-5,351.396-1,957.851-3,999.163-1,774.909-2,137.619
Sales Maturities Of Investments 5,5576,94013,0069,25511,2215,17011,8706,5063,9237,3478,27610,689.04512,086.52115,013.5321,797.38914,189.17814,515.5878,187.4646,095.7524,013.1084,053.514778.2531,004.7762,849.2441,736.1511,282.401
Other Investing Activites -2,7225447263217221122115215.14326.542-6,368.7047.641-14,903.701-10,867.849-5,539.844-1,659.959-4,378.827-1,892.7443,073.856-5,402.635-4,087.537-389.566-3,201.738
Investing Cash Flow -4,957-1,082-272-5,012-1,010-8317,2815,6194286931052,546.161,713.62-9,494.724-3,359.488-20,104.102-12,748.422-7,975.934-599.829-2,716.818-2,281.26-1,499.287-6,384.933-5,556.878-244.472-4,056.956
Financing Activities:
Debt Repayment -5,456-62-2,014-952-119-73-364-4,248-4,587-1,806-54-1,032.92-2,771.403-2,220.735-3,597.153-1,465.965-1,752.384-2,615.527-10.071-15.682-70.064-307.189-49.452-240.631-1,565.219-118.52
Common Stock Issued 15151617242034341,5202,6161,649110.559167.8971,876.9591,559.128544.187227.0173,073.62900000000
Common Stock Repurchased -17-14-15-17-25-20-33-34-67-81-29-121.396-169.057-157.376-286.468-279.249-169.497-68.72500000000
Dividends Paid 000000-2-7,331-3,34600-1,619.591-40.229-63.789-80.618-212.145-474.608-338.558-204.309-165.661-104.159-281.312-259.623-165.035-111.304-63.95
Other Financing Activities 1,8958463,9904996642018651,5093,3482,8421,395637.9171,434.6098,686.4132,456.07513,296.79914,705.8796,205.0544,386.674-608.385-187.2491,968.3574,367.5141,961.2515,512.5531,903.137
Financing Cash Flow -3,640785-37-453544128500-2,7392144,5671,312-405.84-1,378.1838,121.47250.96411,883.62712,536.4076,255.8734,172.295-789.728-361.4721,379.8564,058.4391,555.5853,836.0291,720.668
Other Information:
Effect Of Forex Changes On Cash -7-80-722-11-62-5450-1449.399-125.8777.90415.167-136.95748.7325.93714.241-6.619-11.941-2.72830.346000
Net Change In Cash -7,4241,6206,3215,636-2,3053,937298-1,974-25719488439.104-2,044.6985.776296.198-2,686.5882,362.808301.088908.673-86.44925.364-596.28258.443-482.3271,190.56-1,264.495
Cash At End Of Period 9,78817,72516,1059,7844,1486,4532,5162,2184,1924,4494,2552,156.844,270.7461,436.1572,919.1761,540.184,226.7821,863.9741,652.342702.888788.541857.221,361.0551,111.5891,661.617473.226