cache/156c93a0ad0082d7ae5d39371b982f1696d43d2c52c722da05469aea105e7173

AFRICA:ABSA

Absa Group

  • Stock

Last Close

16,990.00

08/11 15:02

Market Cap

1.29B

Beta: -

Volume Today

1.12M

Avg: -

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
11.98B
-
13.22B
10.31%
14.33B
8.44%
14.71B
2.63%
13.82B
6.02%
13.92B
0.68%
14.26B
2.44%
10.37B
27.27%
26.72B
157.75%
21.16B
20.81%
19.89B
6.01%
depreciation and amortization
1.71B
-
1.68B
1.41%
2.02B
20.35%
2.31B
14.24%
2.64B
14.15%
3.20B
21.30%
5.01B
56.44%
5.96B
19.04%
6.03B
1.11%
5.85B
2.97%
5.93B
1.47%
deferred income tax
-9.59B
-
-38.40B
300.20%
stock based compensation
428M
-
707M
65.19%
619.10M
12.43%
563M
9.06%
change in working capital
6.95B
-
35.52B
410.96%
14.90B
58.05%
25.97B
74.25%
-6.75B
125.98%
-6.69B
0.87%
-18.02B
169.40%
84.72B
570.26%
28.90B
65.88%
accounts receivables
inventory
accounts payables
other working capital
other non cash items
3.92B
-
2.63B
32.95%
-7.57B
387.87%
-46.14B
509.69%
-31.90B
30.87%
-29.20B
8.46%
2.35B
108.05%
-2.67B
213.74%
-8.26B
208.98%
-87.40B
958.24%
3.38B
103.86%
net cash provided by operating activities
18.04B
-
18.23B
1.10%
16.36B
10.29%
6.96B
57.44%
-534M
107.67%
13.88B
2,700%
14.87B
7.07%
6.97B
53.13%
6.47B
7.06%
24.33B
275.71%
58.10B
138.84%
investments in property plant and equipment
-3.98B
-
-3.46B
12.99%
-4.53B
30.89%
-5.63B
24.19%
-5.89B
4.65%
-7.53B
27.85%
-7.24B
3.97%
-4.89B
32.43%
-4.45B
8.98%
-5.89B
32.31%
-7.18B
21.94%
acquisitions net
303M
-
-11M
103.63%
-424M
3,754.55%
-41M
90.33%
598M
1,558.54%
-30M
105.02%
653M
2,276.67%
3.74B
473.05%
12M
99.68%
179M
1,391.67%
526M
193.85%
purchases of investments
624M
-
-8.12B
-
1.51B
118.65%
-28.46B
1,978.42%
-1.05B
96.30%
-1.16B
9.88%
-29.21B
-
-34.36B
17.65%
-54.77B
59.38%
sales maturities of investments
672M
-
1M
-
160M
15,900%
695M
334.38%
4.16B
498.71%
23.63B
467.99%
12.72B
-
1M
99.99%
2M
100%
other investing activites
541M
-
-1.99B
467.28%
8.53B
529.39%
-204M
102.39%
30.42B
15,013.73%
-2.12B
106.97%
-23.32B
999.72%
429M
101.84%
17.40B
3,956.88%
34.79B
99.89%
-63.03B
281.19%
net cash used for investing activites
-1.84B
-
-5.46B
196.69%
-4.55B
16.75%
-4.20B
7.61%
-2.63B
37.30%
-6.58B
149.70%
-7.43B
12.97%
-718M
90.34%
-3.52B
390.11%
-5.28B
50.13%
-124.45B
2,255.74%
debt repayment
-1.89B
-
-4.97B
163.31%
-2.46B
50.56%
-173M
92.95%
-2.81B
1,521.39%
-3.19B
13.90%
-534M
83.29%
-3.73B
599.06%
-2.38B
36.22%
-2.20B
7.43%
-8.82B
300.18%
common stock issued
-11M
-
50M
554.55%
-5M
110.00%
-268M
5,260%
-729M
172.01%
-557M
23.59%
-237M
57.45%
-740M
212.24%
-187M
74.73%
2.00B
1,168.98%
2.28B
13.86%
common stock repurchased
-279M
-
577M
306.81%
-292M
150.61%
2.80B
1,059.59%
-521M
118.59%
-304M
41.65%
463M
252.30%
1.54B
233.26%
7.64B
395.01%
-3.09B
140.43%
-3.48B
12.69%
dividends paid
-12.34B
-
-7.67B
37.84%
-9.06B
18.17%
-9.45B
4.25%
-9.80B
3.69%
-10.28B
4.89%
-10.77B
4.77%
-6.46B
39.97%
-3.59B
44.42%
-10.14B
182.32%
-12.07B
18.98%
other financing activites
-101M
-
-46M
54.46%
4.50B
9,882.61%
-421M
109.36%
16.45B
4,006.41%
7.81B
52.50%
3.05B
60.91%
1.13B
62.87%
-1.99B
275.75%
818M
141.04%
102.32B
12,408.31%
net cash used provided by financing activities
-14.62B
-
-12.05B
17.52%
-7.32B
39.31%
-7.51B
2.64%
2.59B
134.53%
-6.52B
351.48%
-8.02B
23.00%
-8.26B
2.97%
-515M
93.76%
-12.62B
2,349.71%
80.23B
735.92%
effect of forex changes on cash
291M
-
56M
80.76%
246M
339.29%
1.12B
353.66%
161M
85.57%
388M
140.99%
379M
2.32%
518M
36.68%
1.08B
108.69%
1.17B
8.51%
net change in cash
1.87B
-
772M
58.69%
4.74B
513.99%
-3.63B
176.62%
-414M
88.60%
1.17B
383.57%
-206M
117.55%
-1.49B
624.27%
3.52B
336.06%
7.60B
115.81%
13.88B
82.55%
cash at beginning of period
13.98B
-
15.85B
13.36%
16.63B
4.87%
21.37B
28.51%
17.73B
17.00%
17.32B
2.33%
18.49B
6.78%
18.29B
1.11%
16.80B
8.16%
62.87B
274.34%
cash at end of period
15.85B
-
16.63B
4.87%
21.37B
28.51%
17.73B
17.00%
17.32B
2.33%
18.49B
6.78%
18.29B
1.11%
16.80B
8.16%
20.32B
20.97%
70.47B
246.86%
13.88B
80.31%
operating cash flow
18.04B
-
18.23B
1.10%
16.36B
10.29%
6.96B
57.44%
-534M
107.67%
13.88B
2,700%
14.87B
7.07%
6.97B
53.13%
6.47B
7.06%
24.33B
275.71%
58.10B
138.84%
capital expenditure
-3.98B
-
-3.46B
12.99%
-4.53B
30.89%
-5.63B
24.19%
-5.89B
4.65%
-7.53B
27.85%
-7.24B
3.97%
-4.89B
32.43%
-4.45B
8.98%
-5.89B
32.31%
-7.18B
21.94%
free cash flow
14.05B
-
14.77B
5.09%
11.82B
19.95%
1.33B
88.74%
-6.43B
582.87%
6.35B
198.80%
7.63B
20.17%
2.08B
72.77%
2.02B
2.55%
18.44B
810.57%
50.92B
176.16%

All numbers in (except ratios and percentages)