East West Bancorp, Inc.

NASDAQ:EWBC

100.98 (USD) • At close June 30, 2025
Overview | Financials

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

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Operating Activities:
Net Income 1,165.5861,161.1611,128.083872.981567.797674.035703.701505.624431.677384.677345.878293.324281.65245.234164.56476.642-49.683161.167143.369108.3878.02258.99249.48938.78335.4672818
Depreciation & Amortization 198.447163.46159.851156.792119.908144.178139.499149.822137.57888.728117.48579.87382.53667.4657.59381.90118.09613.8697.88710.32811.45712.13910.459.4538.7514.14.6
Deferred Income Tax -14.283-49.139-43.9884.762-41.515-21.604-16.4733.85626.966261.214-147.868-42.836-12.65189.49712.377127.132-83.637-17.495-14.469-10.982-1.988-3.238-5.5192.149-0.794-2.5-1.7
Stock Based Compensation 45.53539.86737.60132.56729.23730.76130.93724.65722.10216.50213.88313.54812.66813.5438.7615.5496.1670000000000
Change In Working Capital -178.7-40.966648.89761.136-204.306-166.49127.27943.38938.559-100.261-127.622110.932-19.979-380.779244.284-183.4640.21470.272-9.66619.712-16.744-3.125-32.98611.272-23.584-0.3-11
Accounts Receivables 63.743-146.27187.512124.496-340.566-172.506-60.79145.35423.205-117.046-89.03653.405-35.065-146.91187.009-143.96622.8590000000000
Inventory 000000000000000000000000000
Accounts Payables 000000000000000000000000000
Other Working Capital -242.443105.304461.385-63.36136.266.01588.07-1.96515.35416.785-38.58657.52715.086-233.868157.275-39.498-22.64570.272-9.66619.712-16.744-3.125-32.98611.272-23.584-0.3-11
Other Non Cash Items 195.082150.526135.57840.184221.52372.266-1.774-54.073-6.699-181.236191.142-28.996-56.699120.362381.61747.515291.264-4.284-5.6516.75516.7388.98610.5645.9673.35310.35.2
Operating Cash Flow 1,411.6671,424.9092,066.0221,168.422692.644733.145883.172703.275650.183469.624392.898425.845287.526255.317869.196155.275182.421223.529121.471144.19387.48573.75431.99867.62423.19339.615.1
Investing Activities:
Investments In Property Plant And Equipment 000-6.017-2.656-9.859-13.787-13.754-12.181-6.555-11.853-88.108-10.28-10.507-90.931-0.179-3.693-5.226-8.661-12.563-4.938-3.491-1.405-4.949-3.617-1.5-1.4
Acquisitions Net 000000-503.6873.63300138.46500-29.54267.186599.036-1.181-7.33798.351016.463.713000.54900
Purchases Of Investments -7,599.454-1,549.846-1,120.608-6,779.655-4,758.254-2,303.317-888.673-828.604-2,396.199-3,547.193-960.135-1,316.764-2,198.198-2,750.188-4,249.833-2,555.909-2,931.97-998.861-1,929.307-508.72-495.536-232.655-451.288-196.306-46.194-420.6-902.1
Sales Maturities Of Investments 3,030.1361,535.7011,101.5422,074.9962,595.5641,782.1121,106.4021,246.4372,778.7722,404.2681,178.4311,216.5312,349.2322,574.3534,008.3523,128.152,421.6421,837.1721,856.993449.12443.89303.0140.72176.226156.646594.8612.2
Other Investing Activites -1,725.885-4,233.016-4,563.826-4,406.528-4,708.39-2,061.862-3,532.667-2,914.536-2,170.478-2,478.401-2,704.801-2,546.505-899.659-855.342358.459287.925382.52-1,344.645-1,535.433-1,149.243-1,715.821-813.32854.352-46.894-224.044-404.3-212.5
Investing Cash Flow -6,295.203-4,247.161-4,582.892-9,117.204-6,873.736-2,592.926-3,832.412-2,506.824-1,800.086-3,627.881-2,359.893-2,734.846-758.905-1,071.22693.2331,459.023-132.682-518.897-1,518.057-1,221.406-1,755.945-742.747-397.621-71.923-116.66-231.6-503.8
Financing Activities:
Debt Repayment -1,117.4374,499.129-250.937-427.349-105.082388.5836.392-76.56-657.494680-40.3169.69-229.255-858.779-651.582-2,277.644-663.513786.9931,180.046266.565567.615265.7-71.5-202-157.382-116.7244.4
Common Stock Issued 000003.3832.8462.282.0812.8356.7943.0543.8215.7264.454273.7312.7760000000000
Common Stock Repurchased -157.959-105.925-119.077-15.702-154.219-14.635-15.634-12.94-3.225-5.964-10.326-213.825-202.962-0.649-306.546-20.75-0.3060000000000
Dividends Paid -308.478-274.554-228.381-188.762-158.222-155.107-125.988-116.82-115.828-115.641-103.618-86.29-64.218-30.679-29.605-29.662-33.412-24.603-11.968-10.709-10.089-9.623-6.381-2.782-2.704-2.70
Other Financing Activities 7,111.4-156.1962,712.6058,466.8587,326.4311,907.13,906.0382,274.782,456.0062,931.9112,265.3142,112.14860.6351,804.318-48.484639.9381,363.222-455.415259.572870.9151,016.592251.406508.379371.339276.597208.357.9
Financing Cash Flow 5,527.5263,962.4542,114.217,835.0456,908.9082,125.9383,800.8082,068.461,679.4593,490.3062,111.061,881.715364.2914.211-729.671-1,394.067668.767263.1561,437.9531,135.331,619.946515.31436.561165.585113.01874.4302.3
Other Information:
Effect Of Forex Changes On Cash -8.232-7.002-28.4918.70129.006-6.385-24.78331.178-11.94-11.04700-0.9-1.0662.107000000000000
Net Change In Cash 635.7581,133.2-431.151-105.036756.822259.772826.785296.089517.616321.002144.065-427.286-108.07997.236234.865220.231718.506-32.21241.36758.117-48.514-153.68370.938161.28619.551-117.6-347.6
Cash At End Of Period 5,250.7424,614.9843,481.7843,912.9354,017.9713,261.1493,001.3772,174.5921,878.5031,360.8871,039.885895.821,323.1061,431.1851,333.9491,099.084878.853160.347192.559151.19293.075141.589295.272224.33463.04843.5649.9