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ING ING Groep

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  • 15.530
  • +0.250+1.64%
Close Dec 13 16:00 ET
  • 15.550
  • +0.020+0.13%
Post 20:02 ET
48.34BMarket Cap6.90P/E (TTM)

ING Groep 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
-2.03%-11.34B
25.64%-11.11B
-114.76%-14.95B
675.46%101.24B
-28.01%13.06B
445.25%18.14B
-161.42%-5.25B
-19.14%8.55B
-12.00%10.58B
-114.99%-1.13B
Net income from continuing operations
90.69%10.49B
-18.87%5.5B
78.05%6.78B
-44.26%3.81B
1.23%6.83B
-7.11%6.75B
14.60%7.27B
2.41%6.34B
130.91%6.19B
-87.79%192M
Depreciation and amortization
-5.20%674M
-14.75%711M
0.60%834M
5.07%829M
51.73%789M
0.00%520M
-2.99%520M
-15.46%536M
-8.38%634M
-10.11%160M
Other non cashItems
-143.24%-2.39B
1,231.33%5.53B
-67.06%415M
3,964.52%1.26B
101.88%31M
-334.14%-1.65B
-52.98%703M
193.50%1.5B
0.99%-1.6B
75.87%-657M
Change in working capital
22.81%-17.94B
-7.49%-23.24B
-122.90%-21.62B
1,324.75%94.4B
-50.75%6.63B
205.70%13.46B
-1,673.42%-12.73B
-85.16%809M
-44.02%5.45B
-108.71%-733M
-Change in loans
127.36%6.88B
8.93%-25.13B
-149.32%-27.6B
371.65%55.95B
34.04%-20.6B
-80.39%-31.23B
44.44%-17.31B
-91.59%-31.16B
-54.29%-16.26B
-1.80%5.46B
-Change in other current assets
29.54%-8.77B
-3,052.66%-12.45B
90.92%-395M
-117.19%-4.35B
--25.3B
----
----
----
123.17%549M
-183.85%-1.82B
-Change in other current liabilities
-55.43%7.25B
231.19%16.27B
-505.13%-12.4B
118.99%3.06B
---16.12B
----
----
-195.60%-2.85B
43.13%2.98B
37.19%2.35B
-Change in other working capital
-1,113.71%-23.29B
-110.22%-1.92B
-52.75%18.78B
120.29%39.74B
-59.63%18.04B
875.19%44.68B
-86.84%4.58B
91.40%34.82B
1.31%18.19B
-552.43%-6.72B
Cash from discontinued operating activities
Operating cash flow
-2.05%-11.34B
25.64%-11.11B
-114.76%-14.94B
675.51%101.24B
-28.02%13.06B
445.25%18.14B
-161.42%-5.25B
-19.14%8.55B
-12.00%10.58B
-114.99%-1.13B
Investing cash flow
Cash flow from continuing investing activities
-61.03%-8.55B
-185.31%-5.31B
173.32%6.22B
-240.08%-8.49B
-145.77%-2.5B
-53.62%5.45B
91.62%11.75B
46.19%6.13B
156.56%4.2B
-27.05%1.92B
Net investment purchase and sale
-61.77%-8.36B
-181.50%-5.17B
176.65%6.34B
-180.53%-8.27B
-152.41%-2.95B
-44.66%5.63B
96.25%10.16B
-37.00%5.18B
217.11%8.22B
-16.05%1.39B
Net proceeds payment for loan
----
----
----
--0
261.17%744M
-88.65%206M
40.15%1.82B
-59.54%1.3B
174.29%3.2B
-29.89%828M
Net PPE purchase and sale
-27.70%-189M
-2.07%-148M
31.60%-145M
22.63%-212M
-1.86%-274M
-19.56%-269M
33.82%-225M
-29.77%-340M
17.35%-262M
----
Net business purchase and sale
--0
-74.07%7M
1,000.00%27M
82.35%-3M
84.68%-17M
---111M
----
----
-469.57%-6.93B
--0
Net other investing changes
--1M
----
50.00%-1M
---2M
----
----
----
----
-8.82%-37M
----
Cash from discontinued investing activities
Investing cash flow
-61.01%-8.55B
-185.32%-5.31B
173.29%6.22B
-240.16%-8.49B
-145.77%-2.5B
-53.62%5.45B
91.62%11.75B
46.19%6.13B
156.56%4.2B
-27.05%1.92B
Financing cash flow
Cash flow from continuing financing activities
295.78%18.4B
-13.68%4.65B
115.48%5.39B
-737.47%-34.8B
-187.27%-4.16B
220.59%4.76B
79.28%-3.95B
-70.69%-19.06B
-139.44%-11.17B
33.01%-6.45B
Net issuance payments of debt
163.23%24.9B
0.90%9.46B
126.94%9.38B
-2,252.81%-34.8B
-120.32%-1.48B
623.22%7.28B
91.59%-1.39B
-52.55%-16.55B
-111.34%-10.85B
34.99%-6.45B
Net commonstock issuance
-105.65%-3.53B
-6.78%-1.72B
-32,260.00%-1.61B
400.00%5M
--1M
----
-30.00%7M
-70.59%10M
101.50%34M
----
Cash dividends paid
4.07%-2.97B
-29.85%-3.09B
-79,300.00%-2.38B
99.89%-3M
-6.44%-2.68B
1.83%-2.52B
-1.71%-2.56B
-80.98%-2.52B
---1.39B
--0
Net other financing activities
----
-200.00%-1M
--1M
----
--3M
----
----
----
-61.95%1.04B
-102.55%-34M
Cash from discontinued financing activities
Financing cash flow
295.87%18.4B
-13.70%4.65B
115.48%5.39B
-737.65%-34.8B
-187.25%-4.15B
220.59%4.76B
79.28%-3.95B
-70.69%-19.06B
-139.44%-11.17B
33.01%-6.45B
Net cash flow
Beginning cash position
-11.40%95.39B
-3.50%107.67B
106.49%111.57B
13.68%54.03B
150.47%47.53B
17.40%18.98B
-20.68%16.16B
19.08%20.38B
-0.39%17.11B
60.18%26.37B
Current changes in cash
87.42%-1.48B
-252.82%-11.77B
-105.76%-3.34B
804.78%57.96B
-77.40%6.41B
1,010.38%28.35B
158.42%2.55B
-221.12%-4.37B
5,826.98%3.61B
-1,194.02%-5.67B
Effect of exchange rate changes
-78.17%-898M
10.80%-504M
-32.94%-565M
-547.37%-425M
-53.66%95M
-21.15%205M
67.74%260M
145.32%155M
-8,450.00%-342M
-336.30%-319M
End cash position
-2.49%93.01B
-11.40%95.39B
-3.50%107.67B
106.49%111.57B
13.68%54.03B
150.45%47.53B
17.40%18.98B
-20.68%16.16B
19.08%20.38B
19.08%20.38B
Free cash flow
-2.14%-11.59B
25.01%-11.34B
-114.98%-15.13B
694.93%100.96B
-28.85%12.7B
421.22%17.85B
-168.28%-5.56B
-20.40%8.14B
-12.20%10.22B
-120.71%-1.48B
Currency Unit
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
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 with Explanatory Notes
Unqualified Opinion with Explanatory Notes
Unqualified Opinion with Explanatory Notes
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
--
(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 -2.03%-11.34B25.64%-11.11B-114.76%-14.95B675.46%101.24B-28.01%13.06B445.25%18.14B-161.42%-5.25B-19.14%8.55B-12.00%10.58B-114.99%-1.13B
Net income from continuing operations 90.69%10.49B-18.87%5.5B78.05%6.78B-44.26%3.81B1.23%6.83B-7.11%6.75B14.60%7.27B2.41%6.34B130.91%6.19B-87.79%192M
Depreciation and amortization -5.20%674M-14.75%711M0.60%834M5.07%829M51.73%789M0.00%520M-2.99%520M-15.46%536M-8.38%634M-10.11%160M
Other non cashItems -143.24%-2.39B1,231.33%5.53B-67.06%415M3,964.52%1.26B101.88%31M-334.14%-1.65B-52.98%703M193.50%1.5B0.99%-1.6B75.87%-657M
Change in working capital 22.81%-17.94B-7.49%-23.24B-122.90%-21.62B1,324.75%94.4B-50.75%6.63B205.70%13.46B-1,673.42%-12.73B-85.16%809M-44.02%5.45B-108.71%-733M
-Change in loans 127.36%6.88B8.93%-25.13B-149.32%-27.6B371.65%55.95B34.04%-20.6B-80.39%-31.23B44.44%-17.31B-91.59%-31.16B-54.29%-16.26B-1.80%5.46B
-Change in other current assets 29.54%-8.77B-3,052.66%-12.45B90.92%-395M-117.19%-4.35B--25.3B------------123.17%549M-183.85%-1.82B
-Change in other current liabilities -55.43%7.25B231.19%16.27B-505.13%-12.4B118.99%3.06B---16.12B---------195.60%-2.85B43.13%2.98B37.19%2.35B
-Change in other working capital -1,113.71%-23.29B-110.22%-1.92B-52.75%18.78B120.29%39.74B-59.63%18.04B875.19%44.68B-86.84%4.58B91.40%34.82B1.31%18.19B-552.43%-6.72B
Cash from discontinued operating activities
Operating cash flow -2.05%-11.34B25.64%-11.11B-114.76%-14.94B675.51%101.24B-28.02%13.06B445.25%18.14B-161.42%-5.25B-19.14%8.55B-12.00%10.58B-114.99%-1.13B
Investing cash flow
Cash flow from continuing investing activities -61.03%-8.55B-185.31%-5.31B173.32%6.22B-240.08%-8.49B-145.77%-2.5B-53.62%5.45B91.62%11.75B46.19%6.13B156.56%4.2B-27.05%1.92B
Net investment purchase and sale -61.77%-8.36B-181.50%-5.17B176.65%6.34B-180.53%-8.27B-152.41%-2.95B-44.66%5.63B96.25%10.16B-37.00%5.18B217.11%8.22B-16.05%1.39B
Net proceeds payment for loan --------------0261.17%744M-88.65%206M40.15%1.82B-59.54%1.3B174.29%3.2B-29.89%828M
Net PPE purchase and sale -27.70%-189M-2.07%-148M31.60%-145M22.63%-212M-1.86%-274M-19.56%-269M33.82%-225M-29.77%-340M17.35%-262M----
Net business purchase and sale --0-74.07%7M1,000.00%27M82.35%-3M84.68%-17M---111M---------469.57%-6.93B--0
Net other investing changes --1M----50.00%-1M---2M-----------------8.82%-37M----
Cash from discontinued investing activities
Investing cash flow -61.01%-8.55B-185.32%-5.31B173.29%6.22B-240.16%-8.49B-145.77%-2.5B-53.62%5.45B91.62%11.75B46.19%6.13B156.56%4.2B-27.05%1.92B
Financing cash flow
Cash flow from continuing financing activities 295.78%18.4B-13.68%4.65B115.48%5.39B-737.47%-34.8B-187.27%-4.16B220.59%4.76B79.28%-3.95B-70.69%-19.06B-139.44%-11.17B33.01%-6.45B
Net issuance payments of debt 163.23%24.9B0.90%9.46B126.94%9.38B-2,252.81%-34.8B-120.32%-1.48B623.22%7.28B91.59%-1.39B-52.55%-16.55B-111.34%-10.85B34.99%-6.45B
Net commonstock issuance -105.65%-3.53B-6.78%-1.72B-32,260.00%-1.61B400.00%5M--1M-----30.00%7M-70.59%10M101.50%34M----
Cash dividends paid 4.07%-2.97B-29.85%-3.09B-79,300.00%-2.38B99.89%-3M-6.44%-2.68B1.83%-2.52B-1.71%-2.56B-80.98%-2.52B---1.39B--0
Net other financing activities -----200.00%-1M--1M------3M-------------61.95%1.04B-102.55%-34M
Cash from discontinued financing activities
Financing cash flow 295.87%18.4B-13.70%4.65B115.48%5.39B-737.65%-34.8B-187.25%-4.15B220.59%4.76B79.28%-3.95B-70.69%-19.06B-139.44%-11.17B33.01%-6.45B
Net cash flow
Beginning cash position -11.40%95.39B-3.50%107.67B106.49%111.57B13.68%54.03B150.47%47.53B17.40%18.98B-20.68%16.16B19.08%20.38B-0.39%17.11B60.18%26.37B
Current changes in cash 87.42%-1.48B-252.82%-11.77B-105.76%-3.34B804.78%57.96B-77.40%6.41B1,010.38%28.35B158.42%2.55B-221.12%-4.37B5,826.98%3.61B-1,194.02%-5.67B
Effect of exchange rate changes -78.17%-898M10.80%-504M-32.94%-565M-547.37%-425M-53.66%95M-21.15%205M67.74%260M145.32%155M-8,450.00%-342M-336.30%-319M
End cash position -2.49%93.01B-11.40%95.39B-3.50%107.67B106.49%111.57B13.68%54.03B150.45%47.53B17.40%18.98B-20.68%16.16B19.08%20.38B19.08%20.38B
Free cash flow -2.14%-11.59B25.01%-11.34B-114.98%-15.13B694.93%100.96B-28.85%12.7B421.22%17.85B-168.28%-5.56B-20.40%8.14B-12.20%10.22B-120.71%-1.48B
Currency Unit EUREUREUREUREUREUREUREUREUREUR
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified OpinionUnqualified Opinion with Explanatory NotesUnqualified Opinion with Explanatory NotesUnqualified Opinion with Explanatory NotesUnqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified Opinion--
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