cache/059887290147f55e7c669a0a7dcbecc1810b68e5741451f98e1e0db4797dabf5

COM:CIT

CIT Bank

  • Stock

USD

Last Close

51.34

01/01 00:00

Volume Today

32.81M

Avg: -

Preview

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Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
net income
1.13B
-
1.06B
6.50%
-848M
180.26%
468.20M
155.21%
447.10M
4.51%
529.90M
18.52%
-615.30M
216.12%
depreciation and amortization
882M
-
653.70M
25.88%
700M
7.08%
392.60M
43.91%
311.10M
20.76%
308.60M
0.80%
327.40M
6.09%
deferred income tax
-426.70M
-
-569.20M
33.40%
983.50M
272.79%
-39.70M
104.04%
118.30M
397.98%
115.10M
2.70%
-95.80M
183.23%
stock based compensation
38.90M
-
44.80M
15.17%
34.10M
23.88%
change in working capital
-58.50M
-
-168.80M
188.55%
802.10M
575.18%
-641.60M
179.99%
-201M
68.67%
-189.10M
5.92%
-314M
66.05%
accounts receivables
inventory
accounts payables
other working capital
other non cash items
-248.50M
-
185M
174.45%
729.30M
294.22%
340.30M
53.34%
268.10M
21.22%
117.90M
56.02%
1.14B
870.31%
net cash provided by operating activities
1.28B
-
1.16B
9.47%
2.37B
104.52%
519.80M
78.04%
982.50M
89.02%
927.20M
5.63%
480.40M
48.19%
investments in property plant and equipment
-3.10B
-
-3.02B
2.73%
-1.87B
38.11%
-793.30M
57.50%
-655.60M
17.36%
-807.90M
23.23%
-1.02B
26.08%
acquisitions net
-448.60M
-
2.52B
662.02%
10.03B
-
1.06B
89.38%
-720.10M
-
purchases of investments
-9.82B
-
-8.05B
18.02%
-4.94B
38.68%
-6.99B
41.53%
-3.02B
56.79%
-12.95B
328.81%
-5.75B
55.60%
sales maturities of investments
10.30B
-
8.96B
12.94%
3.59B
60.01%
4.74B
32.25%
2.88B
39.22%
12.54B
335.18%
7.65B
39.05%
other investing activites
2.05B
-
739.50M
63.94%
2.72B
268.03%
771M
71.67%
-226.60M
129.39%
-728.70M
221.58%
1.03B
241.88%
net cash used for investing activites
-1.03B
-
1.16B
212.60%
-498.90M
143.19%
7.76B
1,654.46%
43.80M
99.44%
-1.95B
4,545.66%
1.19B
161.07%
debt repayment
-5.87B
-
-10.47B
78.23%
-4.97B
52.51%
-9.59B
92.90%
-5.40B
43.75%
-4.37B
19.10%
-3.13B
28.32%
common stock issued
common stock repurchased
-775.50M
-
-531.80M
31.42%
-3.43B
-
-1.63B
52.60%
-340.90M
79.04%
dividends paid
-95.30M
-
-114.90M
20.57%
-123M
7.05%
-113.70M
7.56%
-115.90M
1.93%
-146.70M
26.57%
-171.50M
16.91%
other financing activites
7.57B
-
10.12B
33.73%
2.17B
78.59%
66.50M
96.93%
6.20B
9,217.89%
6.76B
9.11%
2.95B
56.29%
net cash used provided by financing activities
821.90M
-
-997.30M
221.34%
-2.93B
193.67%
-13.07B
346.32%
-942.10M
92.79%
1.91B
302.54%
-345.70M
118.12%
effect of forex changes on cash
-34.60M
-
15.60M
145.09%
-15M
196.15%
1.90M
112.67%
2.30M
21.05%
net change in cash
1.07B
-
1.32B
22.40%
-1.10B
183.29%
-4.78B
336.48%
69.20M
101.45%
890M
1,186.13%
1.33B
49%
cash at beginning of period
5.08B
-
6.16B
21.15%
7.47B
21.36%
6.38B
14.66%
1.73B
72.92%
1.80B
4.01%
2.69B
49.57%
cash at end of period
6.16B
-
7.47B
21.36%
6.38B
14.66%
1.59B
75.00%
1.80B
12.65%
2.69B
49.57%
4.01B
49.38%
operating cash flow
1.28B
-
1.16B
9.47%
2.37B
104.52%
519.80M
78.04%
982.50M
89.02%
927.20M
5.63%
480.40M
48.19%
capital expenditure
-3.10B
-
-3.02B
2.73%
-1.87B
38.11%
-793.30M
57.50%
-655.60M
17.36%
-807.90M
23.23%
-1.02B
26.08%
free cash flow
-1.82B
-
-1.86B
1.99%
500.10M
126.90%
-273.50M
154.69%
326.90M
219.52%
119.30M
63.51%
-538.20M
551.13%

All numbers in USD (except ratios and percentages)