bf/NASDAQ:FCNCA_icon.jpeg

COM:FIRSTCITIZENS

First Citizens

  • Stock

Last Close

2,324.23

22/11 21:00

Market Cap

25.17B

Beta: -

Volume Today

93.17K

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
167.70M
-
138.56M
17.37%
210.39M
51.84%
225.48M
7.18%
323.75M
43.58%
400.31M
23.65%
457.37M
14.25%
491.72M
7.51%
547.46M
11.33%
1.10B
100.56%
11.47B
944.26%
depreciation and amortization
70.84M
-
82.44M
16.37%
110.61M
34.18%
110.58M
0.02%
113.65M
2.77%
120.43M
5.97%
127.69M
6.03%
141.44M
10.77%
132.17M
6.56%
533M
303.28%
-57M
110.69%
deferred income tax
47.89M
-
-33.34M
169.62%
550K
101.65%
33.15M
5,926.55%
125.84M
279.65%
-13.38M
110.63%
54.60M
508.15%
-25.54M
146.77%
-7.59M
70.29%
206M
2,815.53%
-165M
180.10%
stock based compensation
-155.45M
-
-69.51M
55.28%
-85.12M
22.45%
-51.70M
39.26%
-31.46M
39.15%
-38.74M
-
-73.35M
89.32%
-125.60M
71.24%
19M
115.13%
5M
73.68%
change in working capital
150.23M
-
43.37M
71.13%
23.78M
45.18%
-83.78M
452.36%
-83.72M
0.06%
280.21M
434.69%
-50.21M
117.92%
-49.96M
0.49%
-727.83M
1,356.83%
744M
202.22%
-173M
123.25%
accounts receivables
-4.15M
-
inventory
4.15M
-
accounts payables
-2.62M
-
1.46M
155.70%
-2.48M
270.28%
-1.92M
22.77%
155K
108.09%
-240K
254.84%
14.41M
6,105%
-8.68M
160.25%
-1.49M
82.81%
other working capital
152.85M
-
41.91M
72.58%
26.26M
37.36%
-81.86M
411.77%
-83.88M
2.47%
280.45M
434.35%
-64.62M
123.04%
-41.28M
36.12%
-726.34M
1,659.67%
other non cash items
49.80M
-
20.73M
58.38%
-27.15M
230.99%
-1.29M
95.23%
-96.39M
7,349.38%
-21.78M
77.41%
-10.14M
53.44%
-144.31M
1,323.30%
-102.39M
29.05%
191M
286.55%
-8.37B
4,481.68%
net cash provided by operating activities
331.01M
-
182.24M
44.94%
233.06M
27.88%
232.44M
0.26%
351.65M
51.29%
765.80M
117.77%
540.57M
29.41%
340.01M
37.10%
-283.78M
183.46%
2.79B
1,083.50%
2.71B
3.01%
investments in property plant and equipment
-66.04M
-
-82.71M
25.24%
-89.73M
8.49%
-81.84M
8.80%
-84.80M
3.61%
-140.44M
65.62%
-121.08M
13.79%
-133.38M
10.16%
-107.37M
19.51%
-926M
762.46%
-1.43B
54.21%
acquisitions net
323.44M
-
182.37M
43.61%
100.89M
44.68%
-727K
100.72%
304.82M
42,028.47%
-155.13M
150.89%
-236.73M
52.60%
-60.00M
74.65%
424.45M
807.43%
134M
68.43%
1.05B
685.82%
purchases of investments
-2.67B
-
-2.52B
5.72%
-2.47B
2.01%
-4.09B
65.59%
-3.65B
10.73%
-949.95M
73.96%
-5.02B
428.45%
-13.85B
175.88%
-12.55B
9.41%
-2.74B
78.16%
-13.53B
393.61%
sales maturities of investments
2.02B
-
3.13B
54.66%
2.43B
22.41%
4.21B
73.56%
3.77B
10.38%
2.02B
46.41%
5.05B
149.78%
8.03B
58.95%
4.66B
41.96%
2.07B
55.50%
3.14B
51.54%
other investing activites
166.92M
-
-726.17M
535.03%
-1.22B
67.72%
-1.14B
6.15%
-1.01B
11.20%
-988.01M
2.66%
-1.23B
24.78%
-3.86B
213.06%
-902K
99.98%
1.53B
170,055.65%
13.14B
757.08%
net cash used for investing activites
-224.96M
-
-17.70M
92.13%
-1.25B
6,951.66%
-1.10B
11.83%
-668.67M
39.23%
-210.89M
68.46%
-1.56B
638.99%
-9.87B
533.43%
-7.57B
23.33%
75M
100.99%
2.38B
3,076%
debt repayment
-4.15M
-
-54.30M
1,207.83%
-5.90M
89.14%
-11.21M
90.18%
-6.96M
37.97%
-752.45M
10,718.79%
-73.28M
90.26%
-183.48M
150.37%
-106.72M
41.84%
-6.61B
6,091.08%
-4.84B
26.74%
common stock issued
564.25M
-
339.94M
-
common stock repurchased
-321K
-
-46.09M
14,256.70%
-163.09M
-
-453.12M
177.83%
-333.75M
26.34%
-1.24B
-
dividends paid
-8.66M
-
-11.54M
33.24%
-18.02M
56.07%
-14.41M
20%
-10.81M
25%
-16.78M
55.23%
-18.14M
8.09%
-30.39M
67.57%
-41.61M
36.91%
-83M
99.46%
-117M
40.96%
other financing activites
-199.05M
-
-546.28M
174.45%
968.76M
277.34%
899.24M
7.18%
131.19M
85.41%
368.70M
181.04%
1.61B
337.13%
9.72B
503.38%
7.98B
17.98%
5.24B
34.26%
258M
95.08%
net cash used provided by financing activities
-212.18M
-
-93.96M
55.72%
944.85M
1,105.58%
873.61M
7.54%
113.43M
87.02%
-563.62M
596.90%
1.07B
289.34%
9.52B
791.80%
7.83B
17.75%
-2.69B
134.31%
-4.70B
74.94%
effect of forex changes on cash
net change in cash
-106.13M
-
70.58M
166.51%
-70.10M
199.31%
5.66M
108.07%
-203.59M
3,700.19%
-8.71M
95.72%
49.28M
665.77%
-14.67M
129.77%
-24.23M
65.18%
180M
842.76%
390M
116.67%
cash at beginning of period
639.73M
-
533.60M
16.59%
604.18M
13.23%
534.09M
11.60%
539.74M
1.06%
336.15M
37.72%
327.44M
2.59%
376.72M
15.05%
362.05M
3.89%
338M
6.64%
518M
53.25%
cash at end of period
533.60M
-
604.18M
13.23%
534.09M
11.60%
539.74M
1.06%
336.15M
37.72%
327.44M
2.59%
376.72M
15.05%
362.05M
3.89%
337.81M
6.69%
518M
53.34%
908M
75.29%
operating cash flow
331.01M
-
182.24M
44.94%
233.06M
27.88%
232.44M
0.26%
351.65M
51.29%
765.80M
117.77%
540.57M
29.41%
340.01M
37.10%
-283.78M
183.46%
2.79B
1,083.50%
2.71B
3.01%
capital expenditure
-66.04M
-
-82.71M
25.24%
-89.73M
8.49%
-81.84M
8.80%
-84.80M
3.61%
-140.44M
65.62%
-121.08M
13.79%
-133.38M
10.16%
-107.37M
19.51%
-926M
762.46%
-1.43B
54.21%
free cash flow
264.97M
-
99.53M
62.44%
143.32M
43.99%
150.60M
5.08%
266.86M
77.20%
625.36M
134.34%
419.49M
32.92%
206.63M
50.74%
-391.15M
289.30%
1.86B
576.80%
1.28B
31.42%

All numbers in (except ratios and percentages)