av/bank-of-ireland-group-plc-ord-eur1-00-cdi--big.svg

COM:BANKOFIRELAND

Bank of Ireland

  • Stock

Last Close

8.51

25/11 09:23

Market Cap

10.38B

Beta: -

Volume Today

15.35K

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
-525M
-
920M
275.24%
1.23B
33.91%
1.03B
16.23%
852M
17.44%
835M
2.00%
645M
22.75%
-760M
217.83%
1.22B
260.66%
1.06B
13.51%
1.94B
83.52%
depreciation and amortization
118M
-
118M
0%
130M
10.17%
132M
1.54%
169M
28.03%
235M
39.05%
317M
34.89%
281M
11.36%
247M
12.10%
237M
4.05%
273M
15.19%
deferred income tax
stock based compensation
change in working capital
-3.40B
-
-1.05B
68.97%
-1.53B
44.78%
52M
103.41%
1.17B
2,146.15%
954M
18.32%
2.07B
116.56%
3.16B
53.15%
18.43B
482.43%
396M
97.85%
-7.34B
1,954.80%
accounts receivables
inventory
accounts payables
other working capital
other non cash items
1.46B
-
-375M
125.76%
-50M
86.67%
100M
300%
70M
30%
-56M
180%
274M
589.29%
1.47B
436.13%
-139M
109.46%
-60M
56.83%
742M
1,336.67%
net cash provided by operating activities
-2.35B
-
-391M
83.35%
-214M
45.27%
1.32B
714.95%
2.26B
71.66%
1.97B
12.88%
3.30B
67.78%
4.15B
25.80%
19.76B
375.61%
1.63B
91.75%
-4.39B
369.61%
investments in property plant and equipment
-117M
-
-137M
17.09%
-225M
64.23%
-280M
24.44%
-279M
0.36%
-279M
0%
-304M
8.96%
-283M
6.91%
-320M
13.07%
-368M
15%
-413M
12.23%
acquisitions net
-2M
-
295M
14,850%
174M
41.02%
-5M
102.87%
-42M
740%
10M
123.81%
2M
80%
-1M
150%
2M
300%
-297M
14,950%
-29M
90.24%
purchases of investments
-3.35B
-
-3.84B
14.88%
-2.65B
31.11%
-4.08B
54.15%
-4.76B
16.68%
-6.09B
27.90%
-2.33B
61.79%
-4.89B
109.92%
-1.76B
64.03%
-515M
70.71%
-1.31B
154.17%
sales maturities of investments
2.55B
-
3.22B
26.32%
4.31B
33.82%
3.19B
25.88%
4.00B
25.27%
2.83B
29.17%
3.20B
12.91%
2.95B
7.69%
3.05B
3.32%
5.79B
89.65%
714M
87.66%
other investing activites
150M
-
121M
19.33%
162M
33.88%
6M
96.30%
29M
383.33%
-25M
186.21%
81M
424%
106M
30.86%
-134M
226.42%
78M
158.21%
77M
1.28%
net cash used for investing activites
-766M
-
-345M
54.96%
1.77B
613.62%
-1.17B
165.86%
-1.05B
9.68%
-3.55B
237.00%
651M
118.33%
-2.11B
424.27%
842M
139.89%
4.69B
456.53%
-960M
120.49%
debt repayment
-186M
-
-1B
-
-32M
96.80%
-750M
-
-208M
72.27%
-12.98B
6,138.94%
-1.09B
91.59%
-128M
88.27%
common stock issued
568M
-
-190M
-
966M
-
-160M
-
common stock repurchased
-537M
-
-1.30B
-
-941M
-
-50M
-
-229M
358%
dividends paid
-240M
-
-141M
41.25%
-141M
0%
-124M
12.06%
-4M
96.77%
-124M
3,000%
-173M
39.52%
-25M
85.55%
-68M
172%
-54M
20.59%
-225M
316.67%
other financing activites
-299M
-
-112M
62.54%
502M
548.21%
-715M
242.43%
604M
184.48%
-177M
129.30%
47M
126.55%
-4M
108.51%
13.34B
333,550%
621M
95.34%
-69M
111.11%
net cash used provided by financing activities
-694M
-
-253M
63.54%
361M
242.69%
-3.33B
1,022.16%
568M
117.06%
-301M
152.99%
-876M
191.03%
-212M
75.80%
293M
238.21%
-574M
295.90%
-811M
41.29%
effect of forex changes on cash
234M
-
-308M
231.62%
-401M
30.19%
504M
225.69%
129M
74.40%
33M
74.42%
-100M
403.03%
108M
208%
-226M
309.26%
170M
175.22%
-38M
122.35%
net change in cash
-3.57B
-
-1.30B
63.71%
1.52B
217.04%
-2.68B
276.28%
1.90B
171.08%
-1.85B
197.37%
2.98B
260.75%
1.94B
34.87%
20.67B
965.81%
5.91B
71.40%
-6.20B
204.91%
cash at beginning of period
14.33B
-
10.75B
24.94%
9.46B
12.06%
10.97B
16.05%
8.30B
24.38%
10.20B
22.92%
8.35B
18.16%
11.33B
35.66%
13.27B
17.12%
33.93B
155.79%
39.84B
17.42%
cash at end of period
10.75B
-
9.46B
12.06%
10.97B
16.05%
8.30B
24.38%
10.20B
22.92%
8.35B
18.16%
11.33B
35.66%
13.27B
17.12%
33.93B
155.79%
39.84B
17.42%
33.64B
15.56%
operating cash flow
-2.35B
-
-391M
83.35%
-214M
45.27%
1.32B
714.95%
2.26B
71.66%
1.97B
12.88%
3.30B
67.78%
4.15B
25.80%
19.76B
375.61%
1.63B
91.75%
-4.39B
369.61%
capital expenditure
-117M
-
-137M
17.09%
-225M
64.23%
-280M
24.44%
-279M
0.36%
-279M
0%
-304M
8.96%
-283M
6.91%
-320M
13.07%
-368M
15%
-413M
12.23%
free cash flow
-2.46B
-
-528M
78.58%
-439M
16.86%
1.04B
335.99%
1.98B
91.12%
1.69B
14.70%
3.00B
77.50%
3.87B
29.12%
19.44B
402.12%
1.26B
93.51%
-4.80B
481.05%

All numbers in (except ratios and percentages)