cache/8189380c2f592b24f4e927e703bda382363ba790559148d1f900368441a980b6

ZA:CO:STANDARDBANK

Standard Bank

  • Stock

ZAR

Last Close

24,432.00

25/11 09:25

Market Cap

3.49B

Beta: -

Volume Today

630.06K

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
29.77B
-
34.83B
16.98%
38.12B
9.46%
38.08B
0.11%
42.83B
12.48%
44.08B
2.90%
47.25B
7.20%
23.75B
49.73%
40.42B
70.18%
54.93B
35.89%
45.97B
16.30%
depreciation and amortization
3.86B
-
4.24B
9.95%
4.68B
10.34%
5.11B
9.01%
4.93B
3.41%
5.36B
8.74%
7.46B
39.13%
7.55B
1.26%
7.28B
3.63%
7.32B
0.51%
7.30B
0.19%
deferred income tax
17.01B
-
31.86B
87.28%
-609M
-
stock based compensation
297M
-
651M
119.19%
609M
-
55M
90.97%
change in working capital
-4.98B
-
-8.57B
72.05%
-10.24B
19.49%
-4.52B
55.83%
-21.82B
382.60%
-6.54B
70.05%
-28.43B
335.10%
-23.11B
18.71%
-47.91B
107.27%
6.08B
112.69%
-31.75B
622.17%
accounts receivables
inventory
accounts payables
other working capital
other non cash items
-21.94B
-
-33.36B
52.06%
2.94B
108.81%
1.59B
45.81%
-1.80B
213.38%
-8.26B
357.40%
-2.93B
64.52%
20.23B
790.65%
13.10B
35.25%
-3.09B
123.61%
59.17B
2,012.90%
net cash provided by operating activities
24.02B
-
29.65B
23.46%
35.50B
19.73%
40.26B
13.38%
24.14B
40.04%
34.65B
43.54%
23.35B
32.62%
28.42B
21.74%
12.89B
54.64%
65.29B
406.38%
80.69B
23.60%
investments in property plant and equipment
-8.14B
-
-8.43B
3.48%
-9.53B
13.07%
-7.54B
20.89%
-5.45B
27.68%
-9.43B
72.92%
-8.91B
5.44%
-6.78B
23.94%
-4.95B
27.00%
-4.84B
2.26%
-6.34B
31.05%
acquisitions net
36M
-
1.23B
3,319.44%
-4.55B
469.94%
79M
101.73%
-12M
115.19%
-79M
558.33%
493M
724.05%
3.08B
525.76%
-301M
109.76%
-127M
57.81%
438M
444.88%
purchases of investments
-561M
-
-3.15B
460.61%
-2.13B
32.43%
-6.01B
182.92%
-2.50B
58.48%
-60.21B
-
-112.25B
86.44%
-52.41B
53.31%
-68.25B
30.22%
-17.16B
74.86%
sales maturities of investments
-14.14B
-
1.47B
110.40%
-4.58B
411.22%
2.19B
147.83%
892M
-
3.08B
245.85%
9.54B
209.37%
7.22B
24.38%
82M
98.86%
other investing activites
5.46B
-
572M
89.53%
-11.05B
2,031.29%
-2.10B
81.04%
-456M
78.23%
777M
270.39%
62.63B
7,960.49%
113.29B
80.89%
43.44B
61.65%
61.39B
41.32%
-158.84B
358.72%
net cash used for investing activites
-17.34B
-
-8.30B
52.16%
-31.83B
283.56%
-13.38B
57.97%
-8.41B
37.09%
-8.73B
3.72%
-5.11B
41.51%
430M
108.42%
-4.67B
1,186.98%
-4.60B
1.58%
-181.81B
3,852.48%
debt repayment
-1.89B
-
-2.42B
28.31%
-3.13B
28.95%
-3.17B
1.54%
-4.18B
31.65%
-4.55B
8.85%
-4.85B
6.59%
-8.49B
75.01%
-2.20B
74.08%
-2.26B
2.86%
-261M
88.47%
common stock issued
165M
-
14M
91.52%
4.00B
28,507.14%
2.69B
32.73%
103M
96.18%
6.10B
5,822.33%
124M
97.97%
32M
74.19%
5M
84.38%
58M
1,060%
40M
31.03%
common stock repurchased
-343M
-
-613M
78.72%
-641M
4.57%
-252M
60.69%
2.25B
991.27%
-203M
109.04%
5.54B
2,826.60%
7.03B
26.99%
1.82B
74.09%
140.58B
-
dividends paid
-8.01B
-
-10.69B
33.49%
-11.95B
11.70%
-12.97B
8.56%
-15.57B
20.10%
-17.70B
13.66%
-18.65B
5.36%
-11.22B
39.84%
-12.07B
7.60%
-21.60B
78.89%
-27.89B
29.15%
other financing activites
841M
-
3.46B
310.94%
199M
94.24%
1.67B
739.20%
4.73B
183.29%
-1.98B
141.87%
2.20B
211.11%
152M
93.09%
3.10B
1,937.50%
2.55B
17.76%
4.50B
76.68%
net cash used provided by financing activities
-9.24B
-
-10.26B
11.08%
-11.51B
12.15%
-12.03B
4.53%
-12.67B
5.35%
-18.34B
44.67%
-15.64B
14.70%
-12.49B
20.10%
-9.35B
25.17%
-21.25B
127.33%
116.97B
650.32%
effect of forex changes on cash
7.99B
-
2.38B
70.25%
2.07B
13.05%
-12.49B
704.36%
-5.21B
58.26%
2.25B
143.19%
-12.46B
653.49%
-4.14B
66.78%
4.79B
215.85%
-5.96B
224.30%
net change in cash
5.42B
-
13.47B
148.34%
-5.77B
142.81%
2.36B
140.96%
-2.16B
191.62%
9.84B
554.48%
-9.86B
200.22%
12.22B
223.94%
3.66B
70.01%
33.47B
813.54%
15.85B
52.64%
cash at beginning of period
61.98B
-
67.41B
8.75%
80.88B
19.98%
75.11B
7.13%
77.47B
3.14%
75.31B
2.79%
85.14B
13.06%
75.29B
11.58%
87.50B
16.23%
172.77B
97.44%
cash at end of period
67.41B
-
80.88B
19.98%
75.11B
7.13%
77.47B
3.14%
75.31B
2.79%
85.14B
13.06%
75.29B
11.58%
87.50B
16.23%
91.17B
4.19%
206.24B
126.22%
15.85B
92.31%
operating cash flow
24.02B
-
29.65B
23.46%
35.50B
19.73%
40.26B
13.38%
24.14B
40.04%
34.65B
43.54%
23.35B
32.62%
28.42B
21.74%
12.89B
54.64%
65.29B
406.38%
80.69B
23.60%
capital expenditure
-8.14B
-
-8.43B
3.48%
-9.53B
13.07%
-7.54B
20.89%
-5.45B
27.68%
-9.43B
72.92%
-8.91B
5.44%
-6.78B
23.94%
-4.95B
27.00%
-4.84B
2.26%
-6.34B
31.05%
free cash flow
15.88B
-
21.23B
33.70%
25.98B
22.37%
32.72B
25.95%
18.69B
42.89%
25.22B
34.97%
14.43B
42.77%
21.64B
49.95%
7.94B
63.29%
60.45B
660.95%
74.36B
23.00%

All numbers in ZAR (except ratios and percentages)