QIIK

QA:COM:QIB

Qatar Islamic Bank

  • Stock

Last Close

10.67

21/11 10:10

Market Cap

15.82B

Beta: -

Volume Today

727.91K

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
750.31M
-
825.82M
10.06%
784.15M
5.05%
784.77M
0.08%
832.21M
6.04%
882.14M
6.00%
927.05M
5.09%
937.71M
1.15%
1.00B
7.00%
1.08B
7.17%
1.16B
8.32%
depreciation and amortization
14.03M
-
15.11M
7.69%
15.49M
2.53%
18.11M
16.85%
28.98M
60.07%
59.91M
106.73%
67.73M
13.04%
68.81M
1.59%
64.18M
6.72%
61.45M
4.26%
53.53M
12.90%
deferred income tax
stock based compensation
change in working capital
-3.61B
-
-2.51B
30.42%
-947.84M
62.25%
-1.77B
86.30%
-3.04B
72.30%
5.23B
271.94%
-7.78B
248.66%
-3.77B
51.56%
-2.54B
32.56%
-1.35B
46.83%
-17.16M
98.73%
accounts receivables
inventory
accounts payables
other working capital
other non cash items
-556K
-
-72.13M
12,873.02%
59.01M
181.81%
110.08M
86.55%
82.16M
25.36%
90.38M
10.00%
203.49M
125.14%
417.58M
105.21%
417.55M
0.01%
420.72M
0.76%
455.39M
8.24%
net cash provided by operating activities
-2.84B
-
-1.74B
38.76%
-89.18M
94.88%
-852.87M
856.32%
-2.10B
146.14%
6.26B
398.39%
-6.58B
205.03%
-2.34B
64.39%
-1.06B
54.96%
206.57M
119.57%
1.66B
701.88%
investments in property plant and equipment
-69.35M
-
-149.37M
115.39%
-169.91M
13.76%
-23.20M
86.35%
-100.71M
334.09%
-40.89M
59.40%
-29.26M
28.43%
-24.59M
15.99%
-30.32M
23.34%
-27.70M
8.65%
-14.29M
48.41%
acquisitions net
240.96M
-
-46.17M
-
-48.05M
4.06%
26.36M
154.86%
-45.69M
273.32%
21.46M
146.97%
11.82M
44.90%
-28.64M
342.22%
purchases of investments
-3.52B
-
-3.34B
5.16%
-5.17B
54.86%
-1.97B
61.95%
-734.06M
62.66%
-3.06B
317.47%
-3.14B
2.37%
-783.80M
75.01%
-2.31B
195.10%
-1.40B
39.36%
-4.00B
184.85%
sales maturities of investments
1.73B
-
4.54B
162.13%
3.71B
18.44%
1.68B
54.64%
1.93B
14.96%
4.35B
125.27%
1.86B
57.28%
1.14B
38.91%
949.05M
16.47%
851.84M
10.24%
3.98B
367.44%
other investing activites
272.71M
-
186.00M
31.80%
118.30M
36.40%
-3.20M
102.70%
-1.54M
51.69%
1.65M
206.93%
-23.67M
1,533.86%
3.31M
113.99%
-18.65M
662.99%
-10.54M
43.47%
888K
108.42%
net cash used for investing activites
-1.58B
-
1.24B
178.70%
-1.51B
221.26%
-305.18M
79.78%
1.06B
445.96%
1.20B
13.82%
-1.30B
208.49%
285.40M
121.89%
-1.39B
587.55%
-577.18M
58.52%
-55.48M
90.39%
debt repayment
-2.55B
-
-6.08B
-
-881.33M
85.51%
-2.23B
153.46%
-752.02M
66.33%
-3.79B
403.79%
common stock issued
common stock repurchased
dividends paid
-529.79M
-
-567.63M
7.14%
-605.48M
6.67%
-605.48M
0%
-605.48M
0%
-605.48M
0%
-591.60M
2.29%
-633.73M
7.12%
-496.51M
21.65%
-569.30M
14.66%
-606.77M
6.58%
other financing activites
4.76B
-
1.62B
66.04%
-346.68M
121.44%
1.32B
481.79%
5.16B
289.79%
-1.42B
127.54%
10.26B
822.09%
4.33B
57.76%
5.95B
37.22%
-2.42B
140.73%
6.10B
351.84%
net cash used provided by financing activities
4.23B
-
1.05B
75.21%
-952.15M
190.75%
718.10M
175.42%
2.01B
179.36%
-2.03B
201.01%
3.59B
277.02%
2.82B
21.41%
3.22B
14.11%
-3.74B
216.37%
1.70B
145.53%
effect of forex changes on cash
net change in cash
-194.28M
-
551.53M
383.89%
-2.55B
562.41%
-439.95M
82.75%
962.65M
318.81%
5.44B
465.05%
-4.30B
178.97%
761.37M
117.72%
770.00M
1.13%
-4.11B
634.29%
3.31B
180.34%
cash at beginning of period
5.18B
-
4.99B
3.75%
5.54B
11.06%
2.99B
46.06%
2.55B
14.73%
3.51B
37.79%
8.95B
154.98%
4.65B
48.00%
5.41B
16.36%
6.18B
14.22%
2.07B
66.52%
cash at end of period
4.99B
-
5.54B
11.06%
2.99B
46.06%
2.55B
14.73%
3.51B
37.79%
8.95B
154.98%
4.65B
48.00%
5.41B
16.36%
6.18B
14.22%
2.07B
66.52%
5.38B
159.61%
operating cash flow
-2.84B
-
-1.74B
38.76%
-89.18M
94.88%
-852.87M
856.32%
-2.10B
146.14%
6.26B
398.39%
-6.58B
205.03%
-2.34B
64.39%
-1.06B
54.96%
206.57M
119.57%
1.66B
701.88%
capital expenditure
-69.35M
-
-149.37M
115.39%
-169.91M
13.76%
-23.20M
86.35%
-100.71M
334.09%
-40.89M
59.40%
-29.26M
28.43%
-24.59M
15.99%
-30.32M
23.34%
-27.70M
8.65%
-14.29M
48.41%
free cash flow
-2.91B
-
-1.89B
35.09%
-259.10M
86.30%
-876.07M
238.13%
-2.20B
151.12%
6.22B
382.88%
-6.61B
206.19%
-2.37B
64.17%
-1.09B
54.14%
178.87M
116.47%
1.64B
818.07%

All numbers in (except ratios and percentages)