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SIVBQ SVB Financial

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  • 0.060000
  • 0.0000000.00%
15min DelayClose May 28 16:00 ET
3.55MMarket Cap0.00P/E (TTM)

SVB Financial Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q3)Sep 30, 2021
(Q2)Jun 30, 2021
(Q1)Mar 31, 2021
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
53.32%2.86B
40.50%1.02B
-3.13%433M
118.71%1.05B
67.76%359M
32.29%1.87B
102.23%726M
45.13%447M
-16.62%481M
27.29%214M
Net income from continuing operations
-22.38%1.61B
-25.25%305M
-12.00%418M
-43.79%353M
-5.16%533M
60.20%2.07B
-7.06%408M
0.21%475M
153.89%628M
320.50%562M
Operating gains losses
156.87%418M
-57.14%-88M
291.38%333M
157.89%187M
92.31%-14M
-45.54%-735M
60.56%-56M
28.69%-174M
-1,033.93%-323M
-101.07%-182M
Depreciation and amortization
47.02%222M
48.89%67M
22.22%55M
66.67%50M
61.29%50M
49.50%151M
66.67%45M
87.50%45M
19.16%30M
24.88%31M
Deferred tax
7,487.50%591M
1,043.21%764M
-400.00%-120M
-300.00%-100M
-18.97%47M
-214.29%-8M
-836.36%-81M
-42.03%40M
-94.19%-25M
196.46%58M
Change in working capital
-194.88%-749M
-227.40%-265M
-192.36%-421M
3,100.00%300M
-17.86%-363M
-807.14%-254M
845.45%208M
-820.00%-144M
-104.92%-10M
-12.75%-308M
-Change in other working capital
-194.88%-749M
-227.40%-265M
-192.36%-421M
3,100.00%300M
-17.86%-363M
-807.14%-254M
845.45%208M
-820.00%-144M
-104.92%-10M
-12.75%-308M
Cash from discontinued operating activities
Operating cash flow
53.32%2.86B
40.50%1.02B
-3.13%433M
118.71%1.05B
67.76%359M
32.29%1.87B
102.23%726M
45.13%447M
-16.62%481M
27.29%214M
Investing cash flow
Cash flow from continuing investing activities
95.97%-3.64B
102.16%546M
97.59%-556M
97.96%-428M
84.77%-3.2B
-189.48%-90.34B
-61.71%-25.26B
-154.43%-23.04B
-254.42%-21.03B
-3,407.27%-21.01B
Net investment purchase and sale
105.74%4.46B
113.39%2.74B
103.25%672M
110.41%1.87B
95.52%-826M
-304.79%-77.58B
-131.64%-20.47B
-180.37%-20.69B
-247.26%-17.97B
-930.52%-18.46B
Net proceeds payment for loan
42.60%-7.88B
55.08%-2.12B
66.44%-1.15B
25.37%-2.27B
7.72%-2.34B
-15.08%-13.73B
29.91%-4.72B
-106.43%-3.43B
-313.72%-3.04B
9.24%-2.54B
Net PPE purchase and sale
-90.27%-215M
-105.56%-74M
-111.11%-76M
-22.22%-33M
-128.57%-32M
-29.89%-113M
-63.64%-36M
-157.14%-36M
-4.20%-27M
44.20%-14M
Net business purchase and sale
--0
--0
----
----
----
4,103.70%1.08B
-29.63%-35M
----
----
----
Cash from discontinued investing activities
Investing cash flow
95.97%-3.64B
102.16%546M
97.59%-556M
97.96%-428M
84.77%-3.2B
-189.48%-90.34B
-61.71%-25.26B
-154.43%-23.04B
-254.42%-21.03B
-3,407.27%-21.01B
Financing cash flow
Cash flow from continuing financing activities
-100.01%-9M
-108.55%-1.73B
-107.25%-1.27B
-125.08%-5.83B
-63.78%8.83B
110.13%85.43B
17.55%20.24B
71.65%17.57B
132.60%23.25B
659.24%24.38B
Increase decrease in deposit
-120.57%-16.09B
-120.59%-3.71B
-168.01%-11.13B
-146.98%-10.19B
-59.71%8.93B
94.51%78.24B
4.72%18.02B
59.35%16.36B
72.21%21.69B
14,280.80%22.17B
Net issuance payments of debt
883.04%16.29B
207.34%2.01B
--9.9B
796.33%4.4B
-104.30%-22M
230.74%1.66B
12,980.00%654M
--0
118.94%491M
-83.59%512M
Net commonstock issuance
-100.93%-22M
-25.00%9M
-100.16%-2M
-101.42%-2M
-102.77%-27M
8,286.21%2.37B
-7.69%12M
24,840.00%1.25B
936.46%141M
1,707.15%974M
Net preferred stock issuance
--0
--0
--0
--0
--0
--3.31B
--1.58B
--0
--985M
--739M
Cash dividends paid
-158.73%-163M
-73.91%-40M
-73.91%-40M
-233.33%-40M
-760.00%-43M
-270.59%-63M
-360.00%-23M
-475.00%-23M
-159.12%-12M
-48.41%-5M
Net other financing activities
76.25%-19M
--0
68.42%-6M
94.87%-2M
8.33%-11M
-247.83%-80M
-42.86%-10M
-850.00%-19M
-185.25%-39M
-3,558.54%-12M
Cash from discontinued financing activities
Financing cash flow
-100.01%-9M
-108.55%-1.73B
-107.25%-1.27B
-125.08%-5.83B
-63.78%8.83B
110.13%85.43B
17.55%20.24B
71.65%17.57B
132.60%23.25B
659.24%24.38B
Net cash flow
Beginning cash position
-17.23%14.59B
-26.01%13.97B
-35.73%15.4B
-3.05%20.61B
-17.29%14.62B
160.68%17.62B
20.34%18.88B
68.70%23.96B
122.30%21.26B
160.62%17.68B
Current changes in cash
74.21%-783M
96.16%-165M
72.21%-1.4B
-292.60%-5.21B
67.23%5.99B
-127.95%-3.04B
-319.48%-4.29B
-438.29%-5.03B
-41.73%2.7B
28.79%3.58B
End cash position
-5.37%13.8B
-5.37%13.8B
-26.01%13.97B
-35.73%15.4B
-3.05%20.61B
-17.23%14.59B
-17.23%14.59B
20.34%18.88B
68.70%23.96B
122.30%21.26B
Free cash flow
50.94%2.65B
37.10%946M
-13.14%357M
124.45%1.02B
63.50%327M
32.45%1.76B
104.75%690M
39.80%411M
-17.60%454M
39.82%200M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022(Q1)Mar 31, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q3)Sep 30, 2021(Q2)Jun 30, 2021(Q1)Mar 31, 2021
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities 53.32%2.86B40.50%1.02B-3.13%433M118.71%1.05B67.76%359M32.29%1.87B102.23%726M45.13%447M-16.62%481M27.29%214M
Net income from continuing operations -22.38%1.61B-25.25%305M-12.00%418M-43.79%353M-5.16%533M60.20%2.07B-7.06%408M0.21%475M153.89%628M320.50%562M
Operating gains losses 156.87%418M-57.14%-88M291.38%333M157.89%187M92.31%-14M-45.54%-735M60.56%-56M28.69%-174M-1,033.93%-323M-101.07%-182M
Depreciation and amortization 47.02%222M48.89%67M22.22%55M66.67%50M61.29%50M49.50%151M66.67%45M87.50%45M19.16%30M24.88%31M
Deferred tax 7,487.50%591M1,043.21%764M-400.00%-120M-300.00%-100M-18.97%47M-214.29%-8M-836.36%-81M-42.03%40M-94.19%-25M196.46%58M
Change in working capital -194.88%-749M-227.40%-265M-192.36%-421M3,100.00%300M-17.86%-363M-807.14%-254M845.45%208M-820.00%-144M-104.92%-10M-12.75%-308M
-Change in other working capital -194.88%-749M-227.40%-265M-192.36%-421M3,100.00%300M-17.86%-363M-807.14%-254M845.45%208M-820.00%-144M-104.92%-10M-12.75%-308M
Cash from discontinued operating activities
Operating cash flow 53.32%2.86B40.50%1.02B-3.13%433M118.71%1.05B67.76%359M32.29%1.87B102.23%726M45.13%447M-16.62%481M27.29%214M
Investing cash flow
Cash flow from continuing investing activities 95.97%-3.64B102.16%546M97.59%-556M97.96%-428M84.77%-3.2B-189.48%-90.34B-61.71%-25.26B-154.43%-23.04B-254.42%-21.03B-3,407.27%-21.01B
Net investment purchase and sale 105.74%4.46B113.39%2.74B103.25%672M110.41%1.87B95.52%-826M-304.79%-77.58B-131.64%-20.47B-180.37%-20.69B-247.26%-17.97B-930.52%-18.46B
Net proceeds payment for loan 42.60%-7.88B55.08%-2.12B66.44%-1.15B25.37%-2.27B7.72%-2.34B-15.08%-13.73B29.91%-4.72B-106.43%-3.43B-313.72%-3.04B9.24%-2.54B
Net PPE purchase and sale -90.27%-215M-105.56%-74M-111.11%-76M-22.22%-33M-128.57%-32M-29.89%-113M-63.64%-36M-157.14%-36M-4.20%-27M44.20%-14M
Net business purchase and sale --0--0------------4,103.70%1.08B-29.63%-35M------------
Cash from discontinued investing activities
Investing cash flow 95.97%-3.64B102.16%546M97.59%-556M97.96%-428M84.77%-3.2B-189.48%-90.34B-61.71%-25.26B-154.43%-23.04B-254.42%-21.03B-3,407.27%-21.01B
Financing cash flow
Cash flow from continuing financing activities -100.01%-9M-108.55%-1.73B-107.25%-1.27B-125.08%-5.83B-63.78%8.83B110.13%85.43B17.55%20.24B71.65%17.57B132.60%23.25B659.24%24.38B
Increase decrease in deposit -120.57%-16.09B-120.59%-3.71B-168.01%-11.13B-146.98%-10.19B-59.71%8.93B94.51%78.24B4.72%18.02B59.35%16.36B72.21%21.69B14,280.80%22.17B
Net issuance payments of debt 883.04%16.29B207.34%2.01B--9.9B796.33%4.4B-104.30%-22M230.74%1.66B12,980.00%654M--0118.94%491M-83.59%512M
Net commonstock issuance -100.93%-22M-25.00%9M-100.16%-2M-101.42%-2M-102.77%-27M8,286.21%2.37B-7.69%12M24,840.00%1.25B936.46%141M1,707.15%974M
Net preferred stock issuance --0--0--0--0--0--3.31B--1.58B--0--985M--739M
Cash dividends paid -158.73%-163M-73.91%-40M-73.91%-40M-233.33%-40M-760.00%-43M-270.59%-63M-360.00%-23M-475.00%-23M-159.12%-12M-48.41%-5M
Net other financing activities 76.25%-19M--068.42%-6M94.87%-2M8.33%-11M-247.83%-80M-42.86%-10M-850.00%-19M-185.25%-39M-3,558.54%-12M
Cash from discontinued financing activities
Financing cash flow -100.01%-9M-108.55%-1.73B-107.25%-1.27B-125.08%-5.83B-63.78%8.83B110.13%85.43B17.55%20.24B71.65%17.57B132.60%23.25B659.24%24.38B
Net cash flow
Beginning cash position -17.23%14.59B-26.01%13.97B-35.73%15.4B-3.05%20.61B-17.29%14.62B160.68%17.62B20.34%18.88B68.70%23.96B122.30%21.26B160.62%17.68B
Current changes in cash 74.21%-783M96.16%-165M72.21%-1.4B-292.60%-5.21B67.23%5.99B-127.95%-3.04B-319.48%-4.29B-438.29%-5.03B-41.73%2.7B28.79%3.58B
End cash position -5.37%13.8B-5.37%13.8B-26.01%13.97B-35.73%15.4B-3.05%20.61B-17.23%14.59B-17.23%14.59B20.34%18.88B68.70%23.96B122.30%21.26B
Free cash flow 50.94%2.65B37.10%946M-13.14%357M124.45%1.02B63.50%327M32.45%1.76B104.75%690M39.80%411M-17.60%454M39.82%200M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--------

Analysis

Analyst Rating

No Data

Price Target

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