bf/NYSE:FRC_icon.jpeg

NYSE:FRC-PL

First Republic Bank

  • Stock

USD

Last Close

6.19

28/04 20:04

Market Cap

653.63M

Beta: 1.01

PE Ratio

0.51

PFCF: 6.54

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Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
net income
462.07M
-
487.01M
5.40%
522.14M
7.22%
673.43M
28.97%
757.66M
12.51%
853.83M
12.69%
930.33M
8.96%
1.06B
14.38%
1.48B
38.89%
1.67B
12.65%
depreciation and amortization
63.66M
-
61.45M
3.48%
70.33M
14.46%
85.37M
21.39%
91.95M
7.71%
114.36M
24.37%
137.64M
20.35%
166.08M
20.66%
184M
10.79%
192M
4.35%
deferred income tax
12.16M
-
-41.36M
440.10%
-38.17M
7.72%
-43.53M
14.04%
8.52M
119.56%
-92.60M
1,187.34%
-69.83M
24.59%
-71.24M
2.02%
-79M
10.89%
20M
125.32%
stock based compensation
27.23M
-
27.46M
0.82%
34.83M
26.87%
56.50M
62.21%
75.25M
33.17%
93.13M
23.77%
104.38M
12.07%
149.38M
43.12%
240M
60.66%
199M
17.08%
change in working capital
-31.15M
-
65.03M
308.79%
-62.89M
196.70%
81.35M
229.36%
6.95M
91.45%
17.69M
154.38%
200.03M
1,030.93%
-72.60M
136.30%
385M
630.27%
-1.02B
365.71%
accounts receivables
inventory
accounts payables
other working capital
other non cash items
28.24M
-
-83.37M
395.22%
64.81M
177.74%
-634K
100.98%
71.81M
11,426.50%
124.79M
73.78%
-364.03M
391.71%
-704.51M
93.53%
-1.00B
42.51%
-801M
20.22%
net cash provided by operating activities
562.22M
-
516.21M
8.18%
591.06M
14.50%
852.49M
44.23%
1.01B
18.73%
1.11B
9.79%
938.51M
15.54%
531.26M
43.39%
1.20B
126.63%
252M
79.07%
investments in property plant and equipment
-60.58M
-
-42.07M
30.55%
-52.71M
25.30%
-86.75M
64.56%
-166.71M
92.17%
-133.88M
19.69%
-167.94M
25.45%
-148.67M
11.48%
-198M
33.18%
-197M
0.51%
acquisitions net
-115.14M
-
-31.80M
72.38%
29.27M
-
-21.79B
74,551.05%
-22.40B
2.80%
purchases of investments
-1.62B
-
-4.27B
163.71%
-5.77B
35.26%
-7.91B
37.17%
-4.52B
42.92%
-911.36M
79.82%
-4.92B
439.64%
-3.49B
29.07%
-9.47B
171.55%
-7.93B
16.29%
sales maturities of investments
297.95M
-
2.34B
683.92%
1.93B
17.31%
3.46B
79.30%
1.29B
62.66%
3.60B
178.23%
3.15B
12.45%
3.73B
18.30%
2.81B
24.53%
1.69B
39.76%
other investing activites
-6.22B
-
-4.21B
32.24%
-6.27B
48.71%
-8.76B
39.77%
-11.09B
26.62%
-13.61B
22.73%
-15.13B
11.12%
-155.56M
98.97%
115M
173.93%
-32.37B
28,249.57%
net cash used for investing activites
-7.60B
-
-6.19B
18.60%
-10.27B
66.06%
-13.33B
29.75%
-14.48B
8.65%
-11.06B
23.63%
-17.03B
53.99%
-21.85B
28.30%
-29.14B
33.35%
-38.80B
33.15%
debt repayment
-13.32M
-
-385.29M
2,793.02%
-1.28B
232.58%
-953.67M
25.58%
-1.48B
54.77%
-2.90B
96.48%
-3.95B
36.21%
-6.90B
74.68%
-8.05B
16.74%
-500M
93.79%
common stock issued
2.51M
-
243.88M
9,627.96%
435.51M
78.57%
535.78M
23.02%
519.54M
3.03%
213.46M
58.91%
170.59M
20.09%
516.02M
202.50%
775M
50.19%
402M
48.13%
common stock repurchased
-349.52M
-
-350M
0.14%
-190M
45.71%
-100M
47.37%
-150M
50%
dividends paid
-88.48M
-
-130.03M
46.95%
-143.36M
10.25%
-163.54M
14.07%
-165.59M
1.25%
-175.57M
6.03%
-177.16M
0.91%
-197.49M
11.48%
-254M
28.61%
-348M
37.01%
other financing activites
7.34B
-
5.95B
18.95%
10.99B
84.60%
14.04B
27.76%
15.13B
7.81%
13.68B
9.62%
19.13B
39.88%
31.40B
64.13%
43.48B
38.45%
30.34B
30.22%
net cash used provided by financing activities
7.24B
-
5.68B
21.59%
10.00B
76.00%
13.45B
34.59%
13.66B
1.53%
10.46B
23.40%
14.98B
43.19%
24.72B
64.96%
35.79B
44.79%
29.89B
16.49%
effect of forex changes on cash
net change in cash
205.62M
-
9.27M
95.49%
313.96M
3,288.67%
976.61M
211.06%
189.30M
80.62%
514.14M
171.60%
-1.11B
316.21%
3.40B
405.43%
7.85B
131.27%
-8.66B
210.34%
cash at beginning of period
602.26M
-
807.88M
34.14%
817.15M
1.15%
1.13B
38.42%
2.11B
86.34%
2.30B
8.98%
2.81B
22.38%
1.70B
39.54%
5.09B
199.78%
12.95B
154.11%
cash at end of period
807.88M
-
817.15M
1.15%
1.13B
38.42%
2.11B
86.34%
2.30B
8.98%
2.81B
22.38%
1.70B
39.54%
5.09B
199.77%
12.95B
154.12%
4.28B
66.92%
operating cash flow
562.22M
-
516.21M
8.18%
591.06M
14.50%
852.49M
44.23%
1.01B
18.73%
1.11B
9.79%
938.51M
15.54%
531.26M
43.39%
1.20B
126.63%
252M
79.07%
capital expenditure
-60.58M
-
-42.07M
30.55%
-52.71M
25.30%
-86.75M
64.56%
-166.71M
92.17%
-133.88M
19.69%
-167.94M
25.45%
-148.67M
11.48%
-198M
33.18%
-197M
0.51%
free cash flow
501.64M
-
474.14M
5.48%
538.35M
13.54%
765.74M
42.24%
845.43M
10.41%
977.33M
15.60%
770.57M
21.16%
382.60M
50.35%
1.01B
162.94%
55M
94.53%

All numbers in USD (except ratios and percentages)