COM:CIT
CIT Bank
- Stock
Last Close
51.34
01/01 00:00
Volume Today
32.81M
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
Dec '13 | Dec '14 | Dec '15 | Dec '16 | Dec '17 | Dec '18 | Dec '19 | Dec '20 | ||
---|---|---|---|---|---|---|---|---|---|
net income | 675.70M - | 1.13B 67.23% | 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 | 705.50M - | 882M 25.02% | 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 | 59.10M - | -426.70M 822.00% | -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 | 135.60M - | -58.50M 143.14% | -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 | -122.30M - | -248.50M 103.19% | 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 | 1.45B - | 1.28B 12.06% | 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 | -2.07B - | -3.10B 49.68% | -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 | -16.54B - | -9.82B 40.60% | -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 | 15.08B - | 10.30B 31.73% | 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 | -825.10M - | 2.05B 348.52% | 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 | -4.35B - | -1.03B 76.42% | 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 | -2.45B - | -5.87B 140.20% | -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 | -193.40M - | -775.50M 300.98% | -531.80M 31.42% | -3.43B - | -1.63B 52.60% | -340.90M 79.04% | |||
dividends paid | -20.10M - | -95.30M 374.13% | -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 | 5.00B - | 7.57B 51.29% | 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 | 2.34B - | 821.90M 64.91% | -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 | -555.10M - | 1.07B 293.55% | 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 | 5.64B - | 5.08B 9.85% | 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 | 5.08B - | 6.16B 21.15% | 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 | 1.45B - | 1.28B 12.06% | 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 | -2.07B - | -3.10B 49.68% | -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 | -618.20M - | -1.82B 194.86% | -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)