US Stock MarketDetailed Quotes

DNKEY Danske Bank A/S Sponsored ADR

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  • 13.850
  • -0.340-2.40%
15min DelayClose May 8 16:00 ET
23.63BMarket Cap7.63P/E (TTM)

Danske Bank A/S Sponsored ADR Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
8.10%7.52B
1,672.30%26.68B
37.50%7.24B
150.43%6.48B
160.18%6.02B
94.90%6.95B
-110.24%-1.7B
16.93%5.26B
-400.70%-12.84B
-38.27%2.31B
Other non cashItems
----
2,367.86%3.81B
----
----
----
----
-327.03%-168M
----
----
----
Change in working capital
-98.81%1.12B
188.00%110.96B
55.95%-41.58B
1,533.50%70.37B
-14.76%-12.67B
479.91%94.84B
-122.82%-126.09B
-365.02%-94.4B
108.07%4.31B
62.36%-11.04B
-Change in loans
-83.72%10.51B
213.76%131.47B
-178.55%-18.01B
273.14%60.07B
176.41%24.83B
190.57%64.57B
-886.85%-115.56B
171.23%22.92B
-250.85%-34.69B
-3,422.60%-32.5B
-Change in other current assets
1.08%14.82B
-141.04%-25.31B
-45.15%-20.6B
-70.64%3.64B
-133.10%-23.01B
341.99%14.66B
45.45%61.65B
-113.75%-14.19B
760.10%12.39B
664.40%69.51B
Cash from discontinued operating activities
Operating cash flow
-102.92%-3B
229.39%141.5B
57.11%-37.17B
720.82%81.37B
42.71%-5.5B
546.77%102.8B
-191.14%-109.36B
-313.07%-86.66B
120.72%9.91B
60.87%-9.6B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale
67.80%-104M
-1.46%-834M
80.07%-118M
-409.43%-270M
-373.08%-123M
-113.91%-323M
-21.24%-822M
-30.68%-592M
39.08%-53M
60.61%-26M
Net intangibles purchase and sale
-1.52%-134M
3.57%-540M
-293.51%-149M
-24.32%-92M
13.02%-167M
64.42%-132M
36.72%-560M
122.92%77M
57.71%-74M
-4.92%-192M
Net business purchase and sale
--26M
-97.79%45M
--0
--45M
--0
--0
--2.03B
--718M
--0
--753M
Cash from discontinued investing activities
Investing cash flow
53.41%-212M
-304.46%-1.33B
-231.53%-267M
-149.61%-317M
-154.21%-290M
-1,266.67%-455M
141.59%650M
125.73%203M
51.53%-127M
314.86%535M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
-219.02%-6.94B
87.94%-1.27B
159.15%6.01B
---9.6B
-198.01%-3.5B
247.25%5.83B
-338.04%-10.54B
---10.15B
--0
-20.72%3.57B
Net commonstock issuance
---794M
----
----
----
----
--0
----
----
----
----
Cash dividends paid
---6.43B
-252.55%-6.01B
--0
----
----
----
0.18%-1.71B
--0
--0
--0
Net other financing activities
----
----
----
----
----
----
-80.63%-5.42B
---1M
--1M
----
Cash from discontinued financing activities
Financing cash flow
-351.84%-14.31B
57.22%-7.89B
156.80%5.85B
-10,343.05%-15.77B
-68.79%-3.65B
197.60%5.68B
-1,215.99%-18.44B
-206.91%-10.3B
97.42%-151M
-152.20%-2.16B
Net cash flow
Beginning cash position
57.23%365.61B
-35.94%232.53B
20.29%397.36B
3.11%331.91B
2.06%340.86B
-35.94%232.53B
-9.45%363B
1.49%330.33B
-15.25%321.92B
-16.57%333.96B
Current changes in cash
-116.23%-17.53B
204.04%132.28B
67.35%-31.59B
577.55%65.28B
15.92%-9.44B
475.18%108.03B
-213.73%-127.14B
-364.89%-96.76B
117.86%9.64B
45.60%-11.23B
Effect of exchange rate changes
38.18%409M
123.90%794M
84.64%-160M
113.36%163M
160.44%495M
222.82%296M
-226.12%-3.32B
-204.93%-1.04B
-188.42%-1.22B
-531.05%-819M
End cash position
2.24%348.49B
57.23%365.61B
57.23%365.61B
20.29%397.36B
3.11%331.91B
2.06%340.86B
-35.94%232.53B
-35.94%232.53B
1.49%330.33B
-15.25%321.92B
Free cash flow
-103.17%-3.24B
226.53%140.12B
57.05%-37.44B
727.86%81.01B
41.02%-5.79B
534.90%102.34B
-182.99%-110.74B
-318.58%-87.18B
120.34%9.79B
60.38%-9.82B
Currency Unit
DKK
DKK
DKK
DKK
DKK
DKK
DKK
DKK
DKK
DKK
(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(Q3)Sep 30, 2022(Q2)Jun 30, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations 8.10%7.52B1,672.30%26.68B37.50%7.24B150.43%6.48B160.18%6.02B94.90%6.95B-110.24%-1.7B16.93%5.26B-400.70%-12.84B-38.27%2.31B
Other non cashItems ----2,367.86%3.81B-----------------327.03%-168M------------
Change in working capital -98.81%1.12B188.00%110.96B55.95%-41.58B1,533.50%70.37B-14.76%-12.67B479.91%94.84B-122.82%-126.09B-365.02%-94.4B108.07%4.31B62.36%-11.04B
-Change in loans -83.72%10.51B213.76%131.47B-178.55%-18.01B273.14%60.07B176.41%24.83B190.57%64.57B-886.85%-115.56B171.23%22.92B-250.85%-34.69B-3,422.60%-32.5B
-Change in other current assets 1.08%14.82B-141.04%-25.31B-45.15%-20.6B-70.64%3.64B-133.10%-23.01B341.99%14.66B45.45%61.65B-113.75%-14.19B760.10%12.39B664.40%69.51B
Cash from discontinued operating activities
Operating cash flow -102.92%-3B229.39%141.5B57.11%-37.17B720.82%81.37B42.71%-5.5B546.77%102.8B-191.14%-109.36B-313.07%-86.66B120.72%9.91B60.87%-9.6B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale 67.80%-104M-1.46%-834M80.07%-118M-409.43%-270M-373.08%-123M-113.91%-323M-21.24%-822M-30.68%-592M39.08%-53M60.61%-26M
Net intangibles purchase and sale -1.52%-134M3.57%-540M-293.51%-149M-24.32%-92M13.02%-167M64.42%-132M36.72%-560M122.92%77M57.71%-74M-4.92%-192M
Net business purchase and sale --26M-97.79%45M--0--45M--0--0--2.03B--718M--0--753M
Cash from discontinued investing activities
Investing cash flow 53.41%-212M-304.46%-1.33B-231.53%-267M-149.61%-317M-154.21%-290M-1,266.67%-455M141.59%650M125.73%203M51.53%-127M314.86%535M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt -219.02%-6.94B87.94%-1.27B159.15%6.01B---9.6B-198.01%-3.5B247.25%5.83B-338.04%-10.54B---10.15B--0-20.72%3.57B
Net commonstock issuance ---794M------------------0----------------
Cash dividends paid ---6.43B-252.55%-6.01B--0------------0.18%-1.71B--0--0--0
Net other financing activities -------------------------80.63%-5.42B---1M--1M----
Cash from discontinued financing activities
Financing cash flow -351.84%-14.31B57.22%-7.89B156.80%5.85B-10,343.05%-15.77B-68.79%-3.65B197.60%5.68B-1,215.99%-18.44B-206.91%-10.3B97.42%-151M-152.20%-2.16B
Net cash flow
Beginning cash position 57.23%365.61B-35.94%232.53B20.29%397.36B3.11%331.91B2.06%340.86B-35.94%232.53B-9.45%363B1.49%330.33B-15.25%321.92B-16.57%333.96B
Current changes in cash -116.23%-17.53B204.04%132.28B67.35%-31.59B577.55%65.28B15.92%-9.44B475.18%108.03B-213.73%-127.14B-364.89%-96.76B117.86%9.64B45.60%-11.23B
Effect of exchange rate changes 38.18%409M123.90%794M84.64%-160M113.36%163M160.44%495M222.82%296M-226.12%-3.32B-204.93%-1.04B-188.42%-1.22B-531.05%-819M
End cash position 2.24%348.49B57.23%365.61B57.23%365.61B20.29%397.36B3.11%331.91B2.06%340.86B-35.94%232.53B-35.94%232.53B1.49%330.33B-15.25%321.92B
Free cash flow -103.17%-3.24B226.53%140.12B57.05%-37.44B727.86%81.01B41.02%-5.79B534.90%102.34B-182.99%-110.74B-318.58%-87.18B120.34%9.79B60.38%-9.82B
Currency Unit DKKDKKDKKDKKDKKDKKDKKDKKDKKDKK

Analysis

Analyst Rating

No Data

Price Target

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