US Stock MarketDetailed Quotes

JBAXY JULIUS BAER GRUPPE AG UNSP ADR EACH REP 0.2 ORD SHS

Watchlist
  • 11.250
  • +0.090+0.81%
15min DelayClose Jul 1 16:00 ET
  • 11.280
  • +0.030+0.27%
Post 16:05 ET
11.52BMarket Cap22.96P/E (TTM)

JULIUS BAER GRUPPE AG UNSP ADR EACH REP 0.2 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
(FY)Dec 31, 2014
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
-52.23%453.4M
-12.34%949.1M
54.98%1.08B
50.24%698.6M
-36.76%465M
2.71%735.3M
15.08%715.9M
407.84%622.1M
-66.66%122.5M
95.64%367.4M
Deferred tax
-206.32%-10.1M
177.24%9.5M
-232.43%-12.3M
85.82%-3.7M
-188.18%-26.1M
-82.64%29.6M
30.75%170.5M
704.94%130.4M
-84.24%16.2M
53.89%102.8M
Other non cashItems
-0.68%87.6M
-5.47%88.2M
30.31%93.3M
-8.21%71.6M
-0.51%78M
-4.85%78.4M
16.38%82.4M
18.00%70.8M
12.15%60M
32.35%53.5M
Change in working capital
29.96%-2.2B
-638.53%-3.14B
-88.56%582.2M
152.19%5.09B
-220.03%-9.75B
164.60%8.12B
-234.14%-12.58B
407.63%9.38B
-188.60%-3.05B
21.25%-1.06B
-Change in loans
-759.49%-8.12B
-142.90%-945.1M
-63.66%2.2B
455.51%6.06B
-132.97%-1.71B
164.19%5.17B
-3,183.50%-8.06B
53.64%-245.4M
-115.84%-529.3M
381.80%3.34B
Cash from discontinued operating activities
Operating cash flow
48.20%-929.1M
-186.15%-1.79B
-67.10%2.08B
171.14%6.33B
-196.93%-8.89B
179.83%9.18B
-211.50%-11.49B
491.51%10.31B
-693.82%-2.63B
60.20%-331.7M
Investing cash flow
Cash flow from continuing investing activities
Net investment purchase and sale
66.60%-1.45B
-975.01%-4.35B
151.55%497.4M
-147.55%-964.8M
195.95%2.03B
-179.20%-2.11B
1,159.98%2.67B
89.57%-251.9M
-68.12%-2.42B
-489.77%-1.44B
Net PPE purchase and sale
-23.68%-239.2M
1.63%-193.4M
-6.27%-196.6M
-12.53%-185M
7.07%-164.4M
-3.33%-176.9M
0.81%-171.2M
-64.07%-172.6M
-29.08%-105.2M
38.42%-81.5M
Net business purchase and sale
-103.59%-1.5M
196.09%41.8M
-239.84%-43.5M
72.71%-12.8M
29.15%-46.9M
-218.27%-66.2M
-103.82%-20.8M
-41.96%544.9M
-31.89%938.8M
-78.60%1.38B
Net other investing changes
----
200.00%100K
---100K
----
----
---100K
----
--100K
----
--100K
Cash from discontinued investing activities
Investing cash flow
62.38%-1.69B
-1,851.09%-4.5B
122.12%257.2M
-163.94%-1.16B
177.18%1.82B
-195.00%-2.36B
1,797.48%2.48B
108.29%130.7M
-1,081.35%-1.58B
-102.00%-133.5M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
474.44%847.3M
-87.72%147.5M
443.38%1.2B
-189.08%-349.9M
244.89%392.8M
-151.20%-271.1M
795.94%529.5M
-45.18%59.1M
159.43%107.8M
-111.18%-181.4M
Net commonstock issuance
-2.52%-232M
48.92%-226.3M
-256.97%-443M
-19.44%-124.1M
6.98%-103.9M
-68.99%-111.7M
28.31%-66.1M
-2.56%-92.2M
-77.32%-89.9M
2.69%-50.7M
Cash dividends paid
3.34%-535.6M
-43.62%-554.1M
-16.27%-385.8M
1.16%-331.8M
-7.15%-335.7M
-16.64%-313.3M
-9.10%-268.6M
-10.01%-246.2M
-68.02%-223.8M
-2.44%-133.2M
Net other financing activities
-33.33%-400K
---300K
----
0.00%-100K
99.91%-100K
---107.6M
----
-9,500.00%-9.6M
-200.00%-100K
103.47%100K
Cash from discontinued financing activities
Financing cash flow
112.50%79.3M
-271.39%-634.3M
145.77%370.1M
-1,563.79%-808.6M
93.95%-48.6M
-525.69%-803.7M
164.88%188.8M
-40.38%-291M
43.24%-207.3M
-125.42%-365.2M
Net cash flow
Beginning cash position
-26.70%18.91B
11.87%25.8B
24.22%23.06B
-27.56%18.57B
30.63%25.63B
-30.60%19.62B
55.95%28.27B
-18.68%18.13B
-4.47%22.29B
46.14%23.34B
Current changes in cash
63.30%-2.54B
-355.85%-6.93B
-37.81%2.71B
161.14%4.36B
-218.42%-7.12B
168.17%6.02B
-186.97%-8.83B
329.74%10.15B
-431.97%-4.42B
-111.40%-830.4M
Effect of exchange rate changes
-434.39%-147.8M
60.14%44.2M
-80.37%27.6M
126.77%140.6M
894.87%62M
-104.46%-7.8M
2,831.25%174.8M
-102.53%-6.4M
219.01%252.9M
-358.62%-212.5M
End cash position
-14.23%16.22B
-26.70%18.91B
11.87%25.8B
24.22%23.06B
-27.56%18.57B
30.63%25.63B
-30.60%19.62B
55.95%28.27B
-18.68%18.13B
-4.47%22.29B
Free cash flow
41.28%-1.17B
-205.58%-1.99B
-69.31%1.89B
167.80%6.14B
-200.67%-9.06B
177.14%9B
-215.09%-11.67B
470.06%10.14B
-561.27%-2.74B
57.12%-414.2M
Currency Unit
CHF
CHF
CHF
CHF
CHF
CHF
CHF
CHF
CHF
CHF
(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 -52.23%453.4M-12.34%949.1M54.98%1.08B50.24%698.6M-36.76%465M2.71%735.3M15.08%715.9M407.84%622.1M-66.66%122.5M95.64%367.4M
Deferred tax -206.32%-10.1M177.24%9.5M-232.43%-12.3M85.82%-3.7M-188.18%-26.1M-82.64%29.6M30.75%170.5M704.94%130.4M-84.24%16.2M53.89%102.8M
Other non cashItems -0.68%87.6M-5.47%88.2M30.31%93.3M-8.21%71.6M-0.51%78M-4.85%78.4M16.38%82.4M18.00%70.8M12.15%60M32.35%53.5M
Change in working capital 29.96%-2.2B-638.53%-3.14B-88.56%582.2M152.19%5.09B-220.03%-9.75B164.60%8.12B-234.14%-12.58B407.63%9.38B-188.60%-3.05B21.25%-1.06B
-Change in loans -759.49%-8.12B-142.90%-945.1M-63.66%2.2B455.51%6.06B-132.97%-1.71B164.19%5.17B-3,183.50%-8.06B53.64%-245.4M-115.84%-529.3M381.80%3.34B
Cash from discontinued operating activities
Operating cash flow 48.20%-929.1M-186.15%-1.79B-67.10%2.08B171.14%6.33B-196.93%-8.89B179.83%9.18B-211.50%-11.49B491.51%10.31B-693.82%-2.63B60.20%-331.7M
Investing cash flow
Cash flow from continuing investing activities
Net investment purchase and sale 66.60%-1.45B-975.01%-4.35B151.55%497.4M-147.55%-964.8M195.95%2.03B-179.20%-2.11B1,159.98%2.67B89.57%-251.9M-68.12%-2.42B-489.77%-1.44B
Net PPE purchase and sale -23.68%-239.2M1.63%-193.4M-6.27%-196.6M-12.53%-185M7.07%-164.4M-3.33%-176.9M0.81%-171.2M-64.07%-172.6M-29.08%-105.2M38.42%-81.5M
Net business purchase and sale -103.59%-1.5M196.09%41.8M-239.84%-43.5M72.71%-12.8M29.15%-46.9M-218.27%-66.2M-103.82%-20.8M-41.96%544.9M-31.89%938.8M-78.60%1.38B
Net other investing changes ----200.00%100K---100K-----------100K------100K------100K
Cash from discontinued investing activities
Investing cash flow 62.38%-1.69B-1,851.09%-4.5B122.12%257.2M-163.94%-1.16B177.18%1.82B-195.00%-2.36B1,797.48%2.48B108.29%130.7M-1,081.35%-1.58B-102.00%-133.5M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt 474.44%847.3M-87.72%147.5M443.38%1.2B-189.08%-349.9M244.89%392.8M-151.20%-271.1M795.94%529.5M-45.18%59.1M159.43%107.8M-111.18%-181.4M
Net commonstock issuance -2.52%-232M48.92%-226.3M-256.97%-443M-19.44%-124.1M6.98%-103.9M-68.99%-111.7M28.31%-66.1M-2.56%-92.2M-77.32%-89.9M2.69%-50.7M
Cash dividends paid 3.34%-535.6M-43.62%-554.1M-16.27%-385.8M1.16%-331.8M-7.15%-335.7M-16.64%-313.3M-9.10%-268.6M-10.01%-246.2M-68.02%-223.8M-2.44%-133.2M
Net other financing activities -33.33%-400K---300K----0.00%-100K99.91%-100K---107.6M-----9,500.00%-9.6M-200.00%-100K103.47%100K
Cash from discontinued financing activities
Financing cash flow 112.50%79.3M-271.39%-634.3M145.77%370.1M-1,563.79%-808.6M93.95%-48.6M-525.69%-803.7M164.88%188.8M-40.38%-291M43.24%-207.3M-125.42%-365.2M
Net cash flow
Beginning cash position -26.70%18.91B11.87%25.8B24.22%23.06B-27.56%18.57B30.63%25.63B-30.60%19.62B55.95%28.27B-18.68%18.13B-4.47%22.29B46.14%23.34B
Current changes in cash 63.30%-2.54B-355.85%-6.93B-37.81%2.71B161.14%4.36B-218.42%-7.12B168.17%6.02B-186.97%-8.83B329.74%10.15B-431.97%-4.42B-111.40%-830.4M
Effect of exchange rate changes -434.39%-147.8M60.14%44.2M-80.37%27.6M126.77%140.6M894.87%62M-104.46%-7.8M2,831.25%174.8M-102.53%-6.4M219.01%252.9M-358.62%-212.5M
End cash position -14.23%16.22B-26.70%18.91B11.87%25.8B24.22%23.06B-27.56%18.57B30.63%25.63B-30.60%19.62B55.95%28.27B-18.68%18.13B-4.47%22.29B
Free cash flow 41.28%-1.17B-205.58%-1.99B-69.31%1.89B167.80%6.14B-200.67%-9.06B177.14%9B-215.09%-11.67B470.06%10.14B-561.27%-2.74B57.12%-414.2M
Currency Unit CHFCHFCHFCHFCHFCHFCHFCHFCHFCHF

Analysis

Analyst Rating

No Data

Price Target

No Data

Heat List
US
Overall
Symbol
Latest Price
%Chg