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AAVMY ABN AMRO BANK N.V. UNSPON ADS EACH REP 1 ORD SHS

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  • 17.008
  • +0.458+2.77%
15min DelayTrading Apr 23 10:25 ET
14.27BMarket Cap5.35P/E (TTM)

ABN AMRO BANK N.V. UNSPON ADS EACH REP 1 ORD SHS Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(FY)Dec 31, 2022
(FY)Dec 31, 2021
(FY)Dec 31, 2020
(FY)Dec 31, 2019
(FY)Dec 31, 2018
(FY)Dec 31, 2017
(FY)Dec 31, 2016
(FY)Dec 31, 2015
(Q4)Dec 31, 2015
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
44.46%2.7B
51.30%1.87B
2,842.22%1.23B
-102.20%-45M
-12.94%2.05B
-15.80%2.35B
54.54%2.79B
-6.13%1.81B
69.66%1.92B
-32.00%272M
Deferred tax
69.29%882M
-11.84%521M
61.48%591M
-37.11%366M
-8.63%582M
-34.93%637M
50.62%979M
-18.55%650M
93.69%798M
-23.35%128M
Other non cashItems
-85.02%1.14B
1,341.99%7.6B
-159.94%-612M
-53.51%1.02B
343.64%2.2B
197.44%495M
-26.37%-508M
-298.02%-402M
-166.45%-101M
-144.23%-127M
Change in working capital
25.54%-13.2B
-302.98%-17.72B
-79.09%8.73B
4,081.12%41.76B
52.83%-1.05B
-145.76%-2.22B
154.93%4.86B
-140.76%-8.85B
84.58%21.71B
72.05%6.72B
-Change in loans
113.95%1.66B
112.29%774M
-142.17%-6.3B
1,019.27%14.93B
-31.73%1.33B
120.14%1.95B
-198.77%-9.7B
-52.13%9.82B
695.30%20.52B
434.13%13.37B
-Change in other current assets
-16,433.33%-496M
-100.28%-3M
248.37%1.09B
58.08%-734M
60.73%-1.75B
-114.89%-4.46B
-961.00%-2.08B
-66.67%241M
145.62%723M
504.57%797M
Cash from discontinued operating activities
Operating cash flow
-10.88%-9.03B
-184.79%-8.14B
-78.81%9.6B
1,014.66%45.31B
85.87%4.07B
-72.62%2.19B
222.50%7.99B
-125.68%-6.52B
67.95%25.4B
59.59%7.56B
Investing cash flow
Cash flow from continuing investing activities
Net investment purchase and sale
-256.39%-1.56B
-113.65%-438M
221.19%3.21B
-18.16%-2.65B
-67.49%-2.24B
-144.59%-1.34B
174.86%3B
-403.02%-4.01B
112.27%1.32B
119.19%57M
Net PPE purchase and sale
-66.10%-98M
-111.99%-59M
152.31%492M
183.33%195M
13.65%-234M
14.24%-271M
-3.61%-316M
-96.77%-305M
16.22%-155M
2.41%-81M
Net intangibles purchase and sale
-8,000.00%-81M
95.00%-1M
-150.00%-20M
82.22%-8M
-104.55%-45M
-46.67%-22M
59.46%-15M
11.90%-37M
65.00%-42M
7.69%-12M
Net business purchase and sale
-82.63%45M
43.89%259M
1,385.71%180M
98.12%-14M
-481.54%-744M
118.14%195M
-3,939.29%-1.08B
-73.83%28M
-66.87%107M
-100.58%-2M
Net other investing changes
---27M
----
--1M
----
----
----
---1M
----
----
----
Cash from discontinued investing activities
Investing cash flow
-620.50%-1.72B
-106.19%-239M
256.04%3.86B
24.17%-2.48B
-127.30%-3.26B
-190.09%-1.44B
136.87%1.59B
-450.61%-4.32B
111.46%1.23B
20.83%-38M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
12.54%5.06B
168.60%4.5B
31.70%-6.56B
-18.18%-9.6B
-314.15%-8.13B
2,532.05%3.79B
-102.57%-156M
2,786.19%6.06B
101.38%210M
31.34%-3.45B
Net commonstock issuance
0.00%-500M
---500M
----
----
----
----
----
----
---1M
----
Cash dividends paid
-32.98%-1.12B
-31.46%-840M
---639M
----
3.38%-1.32B
-32.88%-1.36B
-29.75%-1.03B
-26.40%-790M
-92.31%-625M
--0
Net other financing activities
3.23%-90M
-1.09%-93M
22.69%-92M
-14.42%-119M
0.00%-104M
-141.86%-104M
-2.38%-43M
---42M
----
----
Cash from discontinued financing activities
Financing cash flow
9.16%3.22B
139.93%2.95B
24.93%-7.38B
-2.17%-9.84B
-515.27%-9.63B
288.92%2.32B
-123.52%-1.23B
1,354.09%5.22B
97.33%-416M
33.02%-3.45B
Net cash flow
Beginning cash position
-7.97%62.61B
9.92%68.03B
113.82%61.89B
-23.41%28.94B
9.09%37.79B
38.82%34.64B
-18.32%24.95B
625.33%30.55B
-72.50%4.21B
467.62%26.42B
Current changes in cash
-38.63%-7.53B
-189.34%-5.43B
-81.57%6.08B
473.95%33B
-387.55%-8.83B
-63.27%3.07B
248.48%8.36B
-121.47%-5.63B
333.29%26.21B
998.46%4.08B
Effect of exchange rate changes
-257.14%-22M
-75.86%14M
201.75%58M
-171.43%-57M
-167.74%-21M
121.53%31M
-596.55%-144M
-77.17%29M
-0.78%127M
400.00%55M
End cash position
-12.07%55.05B
-7.97%62.61B
9.92%68.03B
113.82%61.89B
-23.31%28.94B
13.79%37.74B
32.90%33.17B
-18.32%24.95B
625.33%30.55B
625.33%30.55B
Free cash flow
-11.86%-9.32B
-188.62%-8.33B
-79.15%9.4B
1,124.50%45.09B
108.26%3.68B
-76.71%1.77B
209.02%7.59B
-127.77%-6.96B
70.05%25.07B
60.60%7.46B
Currency Unit
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
(FY)Dec 31, 2023(FY)Dec 31, 2022(FY)Dec 31, 2021(FY)Dec 31, 2020(FY)Dec 31, 2019(FY)Dec 31, 2018(FY)Dec 31, 2017(FY)Dec 31, 2016(FY)Dec 31, 2015(Q4)Dec 31, 2015
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations 44.46%2.7B51.30%1.87B2,842.22%1.23B-102.20%-45M-12.94%2.05B-15.80%2.35B54.54%2.79B-6.13%1.81B69.66%1.92B-32.00%272M
Deferred tax 69.29%882M-11.84%521M61.48%591M-37.11%366M-8.63%582M-34.93%637M50.62%979M-18.55%650M93.69%798M-23.35%128M
Other non cashItems -85.02%1.14B1,341.99%7.6B-159.94%-612M-53.51%1.02B343.64%2.2B197.44%495M-26.37%-508M-298.02%-402M-166.45%-101M-144.23%-127M
Change in working capital 25.54%-13.2B-302.98%-17.72B-79.09%8.73B4,081.12%41.76B52.83%-1.05B-145.76%-2.22B154.93%4.86B-140.76%-8.85B84.58%21.71B72.05%6.72B
-Change in loans 113.95%1.66B112.29%774M-142.17%-6.3B1,019.27%14.93B-31.73%1.33B120.14%1.95B-198.77%-9.7B-52.13%9.82B695.30%20.52B434.13%13.37B
-Change in other current assets -16,433.33%-496M-100.28%-3M248.37%1.09B58.08%-734M60.73%-1.75B-114.89%-4.46B-961.00%-2.08B-66.67%241M145.62%723M504.57%797M
Cash from discontinued operating activities
Operating cash flow -10.88%-9.03B-184.79%-8.14B-78.81%9.6B1,014.66%45.31B85.87%4.07B-72.62%2.19B222.50%7.99B-125.68%-6.52B67.95%25.4B59.59%7.56B
Investing cash flow
Cash flow from continuing investing activities
Net investment purchase and sale -256.39%-1.56B-113.65%-438M221.19%3.21B-18.16%-2.65B-67.49%-2.24B-144.59%-1.34B174.86%3B-403.02%-4.01B112.27%1.32B119.19%57M
Net PPE purchase and sale -66.10%-98M-111.99%-59M152.31%492M183.33%195M13.65%-234M14.24%-271M-3.61%-316M-96.77%-305M16.22%-155M2.41%-81M
Net intangibles purchase and sale -8,000.00%-81M95.00%-1M-150.00%-20M82.22%-8M-104.55%-45M-46.67%-22M59.46%-15M11.90%-37M65.00%-42M7.69%-12M
Net business purchase and sale -82.63%45M43.89%259M1,385.71%180M98.12%-14M-481.54%-744M118.14%195M-3,939.29%-1.08B-73.83%28M-66.87%107M-100.58%-2M
Net other investing changes ---27M------1M---------------1M------------
Cash from discontinued investing activities
Investing cash flow -620.50%-1.72B-106.19%-239M256.04%3.86B24.17%-2.48B-127.30%-3.26B-190.09%-1.44B136.87%1.59B-450.61%-4.32B111.46%1.23B20.83%-38M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt 12.54%5.06B168.60%4.5B31.70%-6.56B-18.18%-9.6B-314.15%-8.13B2,532.05%3.79B-102.57%-156M2,786.19%6.06B101.38%210M31.34%-3.45B
Net commonstock issuance 0.00%-500M---500M---------------------------1M----
Cash dividends paid -32.98%-1.12B-31.46%-840M---639M----3.38%-1.32B-32.88%-1.36B-29.75%-1.03B-26.40%-790M-92.31%-625M--0
Net other financing activities 3.23%-90M-1.09%-93M22.69%-92M-14.42%-119M0.00%-104M-141.86%-104M-2.38%-43M---42M--------
Cash from discontinued financing activities
Financing cash flow 9.16%3.22B139.93%2.95B24.93%-7.38B-2.17%-9.84B-515.27%-9.63B288.92%2.32B-123.52%-1.23B1,354.09%5.22B97.33%-416M33.02%-3.45B
Net cash flow
Beginning cash position -7.97%62.61B9.92%68.03B113.82%61.89B-23.41%28.94B9.09%37.79B38.82%34.64B-18.32%24.95B625.33%30.55B-72.50%4.21B467.62%26.42B
Current changes in cash -38.63%-7.53B-189.34%-5.43B-81.57%6.08B473.95%33B-387.55%-8.83B-63.27%3.07B248.48%8.36B-121.47%-5.63B333.29%26.21B998.46%4.08B
Effect of exchange rate changes -257.14%-22M-75.86%14M201.75%58M-171.43%-57M-167.74%-21M121.53%31M-596.55%-144M-77.17%29M-0.78%127M400.00%55M
End cash position -12.07%55.05B-7.97%62.61B9.92%68.03B113.82%61.89B-23.31%28.94B13.79%37.74B32.90%33.17B-18.32%24.95B625.33%30.55B625.33%30.55B
Free cash flow -11.86%-9.32B-188.62%-8.33B-79.15%9.4B1,124.50%45.09B108.26%3.68B-76.71%1.77B209.02%7.59B-127.77%-6.96B70.05%25.07B60.60%7.46B
Currency Unit EUREUREUREUREUREUREUREUREUREUR

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