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IFS Intercorp Financial Services

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  • 29.545
  • -0.175-0.59%
Trading Dec 12 14:37 ET
3.38BMarket Cap11.47P/E (TTM)

Intercorp Financial Services Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
158.94%2.19B
-141.10%-799.64M
-3.18%2.55B
384.09%2.88B
84.15%-277.73M
-65.03%847.59M
-294.22%-331.67M
242.17%2.64B
-175.20%-1.01B
22.09%-1.75B
Net income from continuing operations
99.79%390.04M
-13.55%286.19M
-47.12%141.13M
-35.69%1.08B
-29.90%286.09M
-65.56%195.22M
46.91%331.05M
-44.14%266.91M
-6.78%1.68B
54.38%408.14M
Operating gains losses
-139.06%-24.11M
-143.98%-28.31M
162.12%46.92M
-141.88%-44.95M
60.66%-95.53M
-65.43%61.73M
-58.90%64.39M
-606.07%-75.54M
138.71%107.33M
-176.78%-242.85M
Depreciation and amortization
7.44%102.95M
12.60%104.35M
14.17%103.85M
12.73%379.04M
7.73%99.58M
5.03%95.82M
11.52%92.68M
30.96%90.96M
20.21%336.23M
22.90%92.44M
Deferred tax
-148.61%-11.17M
-36.38%14.89M
458.63%64.96M
23,232.13%102.24M
55.62%73.98M
112.27%22.97M
446.26%23.41M
65.20%-18.11M
-100.21%-442K
-61.97%47.54M
Other non cashItems
1,391.65%12.99M
66.76%2.48M
103.85%5.61M
-67.32%4.14M
-82.95%901K
-230.99%-1.01M
82.70%1.49M
-52.46%2.75M
-14.87%12.66M
-30.98%5.29M
Change in working capital
1,343.12%1.35B
-31.08%-1.65B
-18.02%1.64B
95.16%-176.25M
59.68%-808.82M
-107.93%-108.34M
-161.89%-1.26B
179.45%2B
-367.82%-3.64B
24.55%-2.01B
-Change in receivables
556.75%606.8M
102.40%7.39M
-179.01%-356.17M
-384.47%-463.22M
-187.95%-473.27M
9.74%-132.85M
54.58%-307.91M
0.23%450.81M
175.62%162.83M
34.72%538.11M
-Change in payables and accrued expense
-173.72%-474.88M
452.03%302.22M
468.35%697.39M
21.56%753.26M
543.44%384.27M
-18.39%644.17M
-110.28%-85.85M
79.38%-189.33M
-73.82%619.65M
-881.31%-86.66M
-Change in loans
53.54%-634.98M
-190.22%-2.61B
99.31%-3.8M
9.99%-2.88B
89.39%-70.26M
-7.65%-1.37B
51.68%-898.35M
-193.52%-548.67M
-8.62%-3.2B
43.83%-662.07M
-Change in other current assets
194.29%204.4M
614.11%439.83M
-320.69%-190.56M
-209.36%-246.78M
-159.58%-317.03M
156.90%69.46M
-27.33%-85.55M
-83.92%86.35M
399.65%225.66M
-1,200.66%-122.13M
-Change in other working capital
142.84%1.65B
75.81%204.22M
-32.16%1.49B
284.22%2.66B
80.13%-332.52M
-67.97%677.6M
-90.98%116.16M
169.38%2.2B
-1,614.97%-1.45B
11.06%-1.67B
Cash from discontinued operating activities
Operating cash flow
158.94%2.19B
-141.10%-799.64M
-3.18%2.55B
384.09%2.88B
84.15%-277.73M
-65.03%847.59M
-294.22%-331.67M
242.17%2.64B
-175.20%-1.01B
22.09%-1.75B
Investing cash flow
Cash flow from continuing investing activities
308.04%1.69B
-68.47%-981.34M
82.24%-328.23M
-153.50%-3.53B
-111.80%-291.02M
65.70%-810.57M
-33.58%-582.5M
-74.36%-1.85B
40.10%-1.39B
666.19%2.47B
Net investment purchase and sale
350.99%1.76B
-91.54%-940.59M
87.73%-218.85M
-263.86%-3.12B
-105.26%-145.17M
68.73%-701.3M
-28.47%-491.07M
-79.57%-1.78B
55.14%-857.59M
1,054.86%2.76B
Net PPE purchase and sale
44.00%-21.04M
-13.76%-25.78M
-110.09%-32.52M
-42.44%-114.98M
-499.58%-39.27M
32.06%-37.57M
-162.59%-22.66M
41.87%-15.48M
7.51%-80.72M
119.30%9.83M
Net intangibles purchase and sale
24.05%-51.58M
15.00%-51.27M
16.62%-40.46M
-23.37%-280.39M
-6.84%-103.64M
-12.38%-67.91M
-71.42%-60.32M
-40.03%-48.52M
-33.27%-227.27M
-46.87%-97.01M
Net business purchase and sale
----
----
----
--0
----
----
----
----
---193.22M
----
Cash from discontinued investing activities
Investing cash flow
308.04%1.69B
-68.47%-981.34M
82.24%-328.23M
-153.50%-3.53B
-111.80%-291.02M
65.70%-810.57M
-33.58%-582.5M
-74.36%-1.85B
40.10%-1.39B
666.19%2.47B
Financing cash flow
Cash flow from continuing financing activities
473.50%570.2M
-8.24%-377.21M
147.26%741.23M
-136.12%-3.01B
-60.00%-943.93M
-133.70%-152.66M
61.00%-348.48M
-538.14%-1.57B
-48.11%-1.28B
-32.49%-589.95M
Net issuance payments of debt
676.22%574.66M
-73.60%50.57M
147.56%744.05M
-364.14%-2.42B
-59.82%-943.4M
-122.01%-99.73M
152.96%191.56M
-7,153.47%-1.56B
-129.08%-520.52M
-369.79%-590.28M
Net commonstock issuance
91.56%-4.47M
99.40%-169K
--0
---80.95M
--0
---52.93M
---28.09M
--76K
--0
--0
Cash dividends paid
--0
----
----
31.90%-511.79M
--0
--0
----
----
-18.57%-751.53M
--0
Net other financing activities
--11K
-50.61%-247K
30.85%-2.82M
-14.42%-4.78M
-259.40%-534K
--0
-100.07%-164K
98.18%-4.08M
-13,813.33%-4.17M
101.88%335K
Cash from discontinued financing activities
Financing cash flow
473.50%570.2M
-8.24%-377.21M
147.26%741.23M
-136.12%-3.01B
-60.00%-943.93M
-133.70%-152.66M
61.00%-348.48M
-538.14%-1.57B
-48.11%-1.28B
-32.49%-589.95M
Net cash flow
Beginning cash position
-7.86%9.83B
0.86%12.03B
-28.59%9.07B
-22.59%12.71B
-16.17%10.56B
-11.70%10.67B
-10.21%11.93B
-22.59%12.71B
-9.53%16.42B
-35.94%12.59B
Current changes in cash
3,949.03%4.45B
-70.93%-2.16B
480.27%2.97B
0.30%-3.67B
-1,315.16%-1.51B
-122.53%-115.65M
-8.95%-1.26B
75.32%-779.99M
-99.84%-3.68B
103.98%124.49M
Effect of exchange rate changes
880.74%42.47M
-10,089.06%-44.75M
-650.03%-8.3M
240.20%37.4M
475.52%31.12M
290.00%4.33M
100.96%448K
-95.09%1.51M
-123.65%-26.68M
92.51%-8.29M
End cash position
35.69%14.32B
-7.86%9.83B
0.86%12.03B
-28.59%9.07B
-28.59%9.07B
-16.17%10.56B
-11.70%10.67B
-10.21%11.93B
-22.59%12.71B
-22.59%12.71B
Free cash flow
185.96%2.12B
-111.43%-876.69M
-2.37%2.48B
278.06%2.45B
77.78%-420.64M
-67.85%742.11M
-426.62%-414.64M
232.58%2.54B
-226.32%-1.37B
19.96%-1.89B
Currency Unit
PEN
PEN
PEN
PEN
PEN
PEN
PEN
PEN
PEN
PEN
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
--
--
--
--
Unqualified Opinion
--
(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities 158.94%2.19B-141.10%-799.64M-3.18%2.55B384.09%2.88B84.15%-277.73M-65.03%847.59M-294.22%-331.67M242.17%2.64B-175.20%-1.01B22.09%-1.75B
Net income from continuing operations 99.79%390.04M-13.55%286.19M-47.12%141.13M-35.69%1.08B-29.90%286.09M-65.56%195.22M46.91%331.05M-44.14%266.91M-6.78%1.68B54.38%408.14M
Operating gains losses -139.06%-24.11M-143.98%-28.31M162.12%46.92M-141.88%-44.95M60.66%-95.53M-65.43%61.73M-58.90%64.39M-606.07%-75.54M138.71%107.33M-176.78%-242.85M
Depreciation and amortization 7.44%102.95M12.60%104.35M14.17%103.85M12.73%379.04M7.73%99.58M5.03%95.82M11.52%92.68M30.96%90.96M20.21%336.23M22.90%92.44M
Deferred tax -148.61%-11.17M-36.38%14.89M458.63%64.96M23,232.13%102.24M55.62%73.98M112.27%22.97M446.26%23.41M65.20%-18.11M-100.21%-442K-61.97%47.54M
Other non cashItems 1,391.65%12.99M66.76%2.48M103.85%5.61M-67.32%4.14M-82.95%901K-230.99%-1.01M82.70%1.49M-52.46%2.75M-14.87%12.66M-30.98%5.29M
Change in working capital 1,343.12%1.35B-31.08%-1.65B-18.02%1.64B95.16%-176.25M59.68%-808.82M-107.93%-108.34M-161.89%-1.26B179.45%2B-367.82%-3.64B24.55%-2.01B
-Change in receivables 556.75%606.8M102.40%7.39M-179.01%-356.17M-384.47%-463.22M-187.95%-473.27M9.74%-132.85M54.58%-307.91M0.23%450.81M175.62%162.83M34.72%538.11M
-Change in payables and accrued expense -173.72%-474.88M452.03%302.22M468.35%697.39M21.56%753.26M543.44%384.27M-18.39%644.17M-110.28%-85.85M79.38%-189.33M-73.82%619.65M-881.31%-86.66M
-Change in loans 53.54%-634.98M-190.22%-2.61B99.31%-3.8M9.99%-2.88B89.39%-70.26M-7.65%-1.37B51.68%-898.35M-193.52%-548.67M-8.62%-3.2B43.83%-662.07M
-Change in other current assets 194.29%204.4M614.11%439.83M-320.69%-190.56M-209.36%-246.78M-159.58%-317.03M156.90%69.46M-27.33%-85.55M-83.92%86.35M399.65%225.66M-1,200.66%-122.13M
-Change in other working capital 142.84%1.65B75.81%204.22M-32.16%1.49B284.22%2.66B80.13%-332.52M-67.97%677.6M-90.98%116.16M169.38%2.2B-1,614.97%-1.45B11.06%-1.67B
Cash from discontinued operating activities
Operating cash flow 158.94%2.19B-141.10%-799.64M-3.18%2.55B384.09%2.88B84.15%-277.73M-65.03%847.59M-294.22%-331.67M242.17%2.64B-175.20%-1.01B22.09%-1.75B
Investing cash flow
Cash flow from continuing investing activities 308.04%1.69B-68.47%-981.34M82.24%-328.23M-153.50%-3.53B-111.80%-291.02M65.70%-810.57M-33.58%-582.5M-74.36%-1.85B40.10%-1.39B666.19%2.47B
Net investment purchase and sale 350.99%1.76B-91.54%-940.59M87.73%-218.85M-263.86%-3.12B-105.26%-145.17M68.73%-701.3M-28.47%-491.07M-79.57%-1.78B55.14%-857.59M1,054.86%2.76B
Net PPE purchase and sale 44.00%-21.04M-13.76%-25.78M-110.09%-32.52M-42.44%-114.98M-499.58%-39.27M32.06%-37.57M-162.59%-22.66M41.87%-15.48M7.51%-80.72M119.30%9.83M
Net intangibles purchase and sale 24.05%-51.58M15.00%-51.27M16.62%-40.46M-23.37%-280.39M-6.84%-103.64M-12.38%-67.91M-71.42%-60.32M-40.03%-48.52M-33.27%-227.27M-46.87%-97.01M
Net business purchase and sale --------------0-------------------193.22M----
Cash from discontinued investing activities
Investing cash flow 308.04%1.69B-68.47%-981.34M82.24%-328.23M-153.50%-3.53B-111.80%-291.02M65.70%-810.57M-33.58%-582.5M-74.36%-1.85B40.10%-1.39B666.19%2.47B
Financing cash flow
Cash flow from continuing financing activities 473.50%570.2M-8.24%-377.21M147.26%741.23M-136.12%-3.01B-60.00%-943.93M-133.70%-152.66M61.00%-348.48M-538.14%-1.57B-48.11%-1.28B-32.49%-589.95M
Net issuance payments of debt 676.22%574.66M-73.60%50.57M147.56%744.05M-364.14%-2.42B-59.82%-943.4M-122.01%-99.73M152.96%191.56M-7,153.47%-1.56B-129.08%-520.52M-369.79%-590.28M
Net commonstock issuance 91.56%-4.47M99.40%-169K--0---80.95M--0---52.93M---28.09M--76K--0--0
Cash dividends paid --0--------31.90%-511.79M--0--0---------18.57%-751.53M--0
Net other financing activities --11K-50.61%-247K30.85%-2.82M-14.42%-4.78M-259.40%-534K--0-100.07%-164K98.18%-4.08M-13,813.33%-4.17M101.88%335K
Cash from discontinued financing activities
Financing cash flow 473.50%570.2M-8.24%-377.21M147.26%741.23M-136.12%-3.01B-60.00%-943.93M-133.70%-152.66M61.00%-348.48M-538.14%-1.57B-48.11%-1.28B-32.49%-589.95M
Net cash flow
Beginning cash position -7.86%9.83B0.86%12.03B-28.59%9.07B-22.59%12.71B-16.17%10.56B-11.70%10.67B-10.21%11.93B-22.59%12.71B-9.53%16.42B-35.94%12.59B
Current changes in cash 3,949.03%4.45B-70.93%-2.16B480.27%2.97B0.30%-3.67B-1,315.16%-1.51B-122.53%-115.65M-8.95%-1.26B75.32%-779.99M-99.84%-3.68B103.98%124.49M
Effect of exchange rate changes 880.74%42.47M-10,089.06%-44.75M-650.03%-8.3M240.20%37.4M475.52%31.12M290.00%4.33M100.96%448K-95.09%1.51M-123.65%-26.68M92.51%-8.29M
End cash position 35.69%14.32B-7.86%9.83B0.86%12.03B-28.59%9.07B-28.59%9.07B-16.17%10.56B-11.70%10.67B-10.21%11.93B-22.59%12.71B-22.59%12.71B
Free cash flow 185.96%2.12B-111.43%-876.69M-2.37%2.48B278.06%2.45B77.78%-420.64M-67.85%742.11M-426.62%-414.64M232.58%2.54B-226.32%-1.37B19.96%-1.89B
Currency Unit PENPENPENPENPENPENPENPENPENPEN
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--
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