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NDBKY NEDBANK GROUP LIMITED SPON ADR-REP 1 ORD ZAR1

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  • 15.612
  • +0.222+1.44%
15min DelayClose Dec 20 16:00 ET
7.29BMarket Cap8.70P/E (TTM)

NEDBANK GROUP LIMITED SPON ADR-REP 1 ORD ZAR1 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
(FY)Dec 31, 2014
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
8.46%21.43B
20.27%19.76B
159.52%16.43B
-59.96%6.33B
-13.91%15.81B
5.90%18.37B
17.85%17.35B
6.58%14.72B
2.33%13.81B
12.97%13.5B
Deferred tax
2.45%1.13B
--1.1B
----
4.74%1.15B
16.35%1.1B
-5.89%942M
7.98%1B
18.39%927M
23.31%783M
5.66%635M
Other non cashItems
-14.31%-41.47B
-110.08%-36.28B
42.20%-17.27B
-3,254.80%-29.88B
477.44%947M
-26.79%164M
-83.57%224M
866.67%1.36B
--141M
----
Change in working capital
66.19%-4.07B
1.17%-12.03B
-3.94%-12.17B
-6.39%-11.71B
11.03%-11.01B
28.94%-12.37B
-12.50%-17.41B
-13.76%-15.47B
-21.11%-13.6B
-149.19%-11.23B
-Change in receivables
-4.30%1.87B
159.28%1.96B
147.72%754M
-313.23%-1.58B
--741M
----
----
----
----
----
-Change in loans
66.35%-19.93B
-2,232.96%-59.21B
108.55%2.78B
57.61%-32.46B
-143.64%-76.56B
-53.16%-31.42B
-1.07%-20.52B
77.45%-20.3B
-109.55%-90B
25.36%-42.95B
-Change in other current assets
----
----
----
---45.4B
----
----
----
----
----
----
Cash from discontinued operating activities
Operating cash flow
57.23%29.64B
55.32%18.85B
-8.95%12.14B
-9.78%13.33B
48.96%14.78B
208.68%9.92B
-25.06%3.21B
-3.68%4.29B
-23.46%4.45B
-52.14%5.82B
Investing cash flow
Cash flow from continuing investing activities
Net investment purchase and sale
78.33%214M
-91.54%120M
296.54%1.42B
88.62%-722M
-207.07%-6.34B
26.84%-2.07B
-154.41%-2.82B
-116.53%-1.11B
1,181.32%6.72B
79.73%-621M
Net PPE purchase and sale
-23.27%-3.8B
9.95%-3.09B
19.52%-3.43B
8.96%-4.26B
-10.44%-4.68B
-28.50%-4.23B
12.85%-3.3B
-33.89%-3.78B
-16.60%-2.82B
-39.92%-2.42B
Net business purchase and sale
----
888.37%339M
-126.54%-43M
147.37%162M
37.59%-342M
---548M
----
281.79%1.89B
83.80%-1.04B
-15,157.14%-6.41B
Cash from discontinued investing activities
Investing cash flow
-36.67%-3.59B
-28.10%-2.63B
57.44%-2.05B
57.60%-4.82B
-65.92%-11.36B
-11.91%-6.85B
-103.70%-6.12B
-204.78%-3B
130.32%2.87B
-117.81%-9.46B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
33.72%-4.23B
-283.60%-6.39B
-1,210.00%-1.67B
-96.38%150M
3.42%4.15B
860.72%4.01B
-107.44%-527M
-24.17%7.09B
294.26%9.34B
-20.20%2.37B
Net commonstock issuance
---5.04B
----
----
-25.68%437M
140.92%588M
-333.28%-1.44B
29.41%616M
112.50%476M
-51.72%224M
35.28%464M
Net preferred stock issuance
----
----
---3.14B
----
----
----
----
----
----
----
Cash dividends paid
-9.90%-8.73B
-234.46%-7.94B
36.71%-2.37B
49.58%-3.75B
-5.26%-7.44B
-10.11%-7.07B
-7.90%-6.42B
-3.16%-5.95B
-16.11%-5.77B
-20.74%-4.97B
Net other financing activities
-72.22%250M
-39.88%900M
1,443.30%1.5B
-97.23%97M
366.67%3.5B
25.00%750M
-70.00%600M
--2B
----
----
Cash from discontinued financing activities
Financing cash flow
-30.58%-19.9B
-105.57%-15.24B
-54.84%-7.41B
-659.84%-4.79B
84.30%-630M
32.53%-4.01B
-268.16%-5.95B
-7.00%3.54B
278.33%3.8B
-166.50%-2.13B
Net cash flow
Beginning cash position
2.31%45.62B
7.74%44.59B
9.96%41.38B
8.17%37.64B
-3.68%34.79B
-19.88%36.12B
15.39%45.08B
38.31%39.07B
-17.09%28.25B
25.63%34.07B
Current changes in cash
521.49%6.16B
-62.98%991M
-28.19%2.68B
33.81%3.73B
396.70%2.79B
89.39%-939M
-283.59%-8.85B
-56.65%4.82B
292.79%11.12B
-182.24%-5.77B
Effect of exchange rate changes
643.90%305M
-92.22%41M
2,673.68%527M
-67.24%19M
114.80%58M
-253.15%-392M
-109.32%-111M
497.00%1.19B
-455.56%-300M
15.63%-54M
End cash position
14.17%52.08B
2.31%45.62B
7.74%44.59B
9.96%41.38B
8.17%37.64B
-3.68%34.79B
-19.88%36.12B
15.39%45.08B
38.31%39.07B
-17.09%28.25B
Free cash flow
64.38%25.77B
80.54%15.68B
-3.71%8.68B
-10.59%9.02B
77.87%10.09B
6,771.76%5.67B
-119.19%-85M
-72.07%443M
-52.44%1.59B
-67.99%3.34B
Currency Unit
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
(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(FY)Dec 31, 2014
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations 8.46%21.43B20.27%19.76B159.52%16.43B-59.96%6.33B-13.91%15.81B5.90%18.37B17.85%17.35B6.58%14.72B2.33%13.81B12.97%13.5B
Deferred tax 2.45%1.13B--1.1B----4.74%1.15B16.35%1.1B-5.89%942M7.98%1B18.39%927M23.31%783M5.66%635M
Other non cashItems -14.31%-41.47B-110.08%-36.28B42.20%-17.27B-3,254.80%-29.88B477.44%947M-26.79%164M-83.57%224M866.67%1.36B--141M----
Change in working capital 66.19%-4.07B1.17%-12.03B-3.94%-12.17B-6.39%-11.71B11.03%-11.01B28.94%-12.37B-12.50%-17.41B-13.76%-15.47B-21.11%-13.6B-149.19%-11.23B
-Change in receivables -4.30%1.87B159.28%1.96B147.72%754M-313.23%-1.58B--741M--------------------
-Change in loans 66.35%-19.93B-2,232.96%-59.21B108.55%2.78B57.61%-32.46B-143.64%-76.56B-53.16%-31.42B-1.07%-20.52B77.45%-20.3B-109.55%-90B25.36%-42.95B
-Change in other current assets ---------------45.4B------------------------
Cash from discontinued operating activities
Operating cash flow 57.23%29.64B55.32%18.85B-8.95%12.14B-9.78%13.33B48.96%14.78B208.68%9.92B-25.06%3.21B-3.68%4.29B-23.46%4.45B-52.14%5.82B
Investing cash flow
Cash flow from continuing investing activities
Net investment purchase and sale 78.33%214M-91.54%120M296.54%1.42B88.62%-722M-207.07%-6.34B26.84%-2.07B-154.41%-2.82B-116.53%-1.11B1,181.32%6.72B79.73%-621M
Net PPE purchase and sale -23.27%-3.8B9.95%-3.09B19.52%-3.43B8.96%-4.26B-10.44%-4.68B-28.50%-4.23B12.85%-3.3B-33.89%-3.78B-16.60%-2.82B-39.92%-2.42B
Net business purchase and sale ----888.37%339M-126.54%-43M147.37%162M37.59%-342M---548M----281.79%1.89B83.80%-1.04B-15,157.14%-6.41B
Cash from discontinued investing activities
Investing cash flow -36.67%-3.59B-28.10%-2.63B57.44%-2.05B57.60%-4.82B-65.92%-11.36B-11.91%-6.85B-103.70%-6.12B-204.78%-3B130.32%2.87B-117.81%-9.46B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt 33.72%-4.23B-283.60%-6.39B-1,210.00%-1.67B-96.38%150M3.42%4.15B860.72%4.01B-107.44%-527M-24.17%7.09B294.26%9.34B-20.20%2.37B
Net commonstock issuance ---5.04B---------25.68%437M140.92%588M-333.28%-1.44B29.41%616M112.50%476M-51.72%224M35.28%464M
Net preferred stock issuance -----------3.14B----------------------------
Cash dividends paid -9.90%-8.73B-234.46%-7.94B36.71%-2.37B49.58%-3.75B-5.26%-7.44B-10.11%-7.07B-7.90%-6.42B-3.16%-5.95B-16.11%-5.77B-20.74%-4.97B
Net other financing activities -72.22%250M-39.88%900M1,443.30%1.5B-97.23%97M366.67%3.5B25.00%750M-70.00%600M--2B--------
Cash from discontinued financing activities
Financing cash flow -30.58%-19.9B-105.57%-15.24B-54.84%-7.41B-659.84%-4.79B84.30%-630M32.53%-4.01B-268.16%-5.95B-7.00%3.54B278.33%3.8B-166.50%-2.13B
Net cash flow
Beginning cash position 2.31%45.62B7.74%44.59B9.96%41.38B8.17%37.64B-3.68%34.79B-19.88%36.12B15.39%45.08B38.31%39.07B-17.09%28.25B25.63%34.07B
Current changes in cash 521.49%6.16B-62.98%991M-28.19%2.68B33.81%3.73B396.70%2.79B89.39%-939M-283.59%-8.85B-56.65%4.82B292.79%11.12B-182.24%-5.77B
Effect of exchange rate changes 643.90%305M-92.22%41M2,673.68%527M-67.24%19M114.80%58M-253.15%-392M-109.32%-111M497.00%1.19B-455.56%-300M15.63%-54M
End cash position 14.17%52.08B2.31%45.62B7.74%44.59B9.96%41.38B8.17%37.64B-3.68%34.79B-19.88%36.12B15.39%45.08B38.31%39.07B-17.09%28.25B
Free cash flow 64.38%25.77B80.54%15.68B-3.71%8.68B-10.59%9.02B77.87%10.09B6,771.76%5.67B-119.19%-85M-72.07%443M-52.44%1.59B-67.99%3.34B
Currency Unit ZARZARZARZARZARZARZARZARZARZAR
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