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EWBC - East West Bancorp, Inc.

NASDAQ -> Financial Services -> Banks—Diversified
Pasadena, United States
Type: Equity

EWBC price evolution
EWBC
(in millions $) 30 Jun 2024 31 Mar 2024 31 Dec 2023 30 Sep 2023
Current assets
Cash $4390.22 $4235.39 $4625.48 $4578.39
Short term investments
Net receivables
Inventory
Total current assets
Long term investments
Property, plant & equipment $163.62 $171.52 $180.39 $185.67
Goodwill & intangible assets $465.7 $465.7 $465.7 $465.7
Total noncurrent assets
Total investments $65406.23 $64102.8 $61591.57 $60162.05
Total assets $72468.27 $70875.67 $69612.88 $68289.46
Current liabilities
Accounts payable
Deferred revenue
Short long term debt
Total current liabilities
Long term debt
Total noncurrent liabilities
Total debt $3625.78 $3651.24 $4755.36 $4760.78
Total liabilities $65253.16 $63852.44 $62662.05 $61692.75
Shareholders' equity
Retained earnings $6873.65 $6662.92 $6465.23 $6294.75
Other shareholder equity -$654.17 -$662.73 -$620.6 -$875.38
Total shareholder equity $7215.11 $7023.23 $6950.83 $6596.71
(in millions $) 31 Dec 2023 31 Dec 2022 31 Dec 2021 31 Dec 2020
Current assets
Cash $4625.48 $3620.8 $4649.43 $4827.7
Short term investments
Net receivables
Inventory
Total current assets
Long term investments
Property, plant & equipment $180.39 $192.87 $195.93 $198.71
Goodwill & intangible assets $465.7 $465.7 $465.7 $465.7
Total noncurrent assets
Total investments $61591.57 $57432.55 $51823.89 $43880.54
Total assets $69612.88 $64112.15 $60870.7 $52156.91
Current liabilities
Accounts payable
Deferred revenue
Short long term debt
Total current liabilities
Long term debt
Total noncurrent liabilities
Total debt $4755.36 $264.33 $506.86 $928.19
Total liabilities $62662.05 $58127.54 $55033.48 $46887.74
Shareholders' equity
Retained earnings $6465.23 $5582.55 $4683.66 $4000.41
Other shareholder equity -$620.6 -$765.63 -$90.38 $44.33
Total shareholder equity $6950.83 $5984.61 $5837.22 $5269.18
(in millions $) 30 Jun 2024 31 Mar 2024 31 Dec 2023 30 Sep 2023
Revenue
Total revenue $600.9 $619.13 $617.74 $605.57
Cost of revenue
Gross Profit $600.9 $619.13 $617.74 $605.57
Operating activities
Research & development
Selling, general & administrative $197.62 $201.83 $218.93 $174.04
Total operating expenses $236.43 $246.88 $290.5 $252.01
Operating income $364.47 $372.25 $327.24 $353.55
Income from continuing operations
EBIT $364.47 $372.25 $327.24 $353.55
Income tax expense $76.24 $87.18 $88.29 $65.81
Interest expense
Net income
Net income $288.23 $285.07 $238.95 $287.74
Income (for common shares) $288.23 $285.07 $238.95 $287.74
(in millions $) 31 Dec 2023 31 Dec 2022 31 Dec 2021 31 Dec 2020
Revenue
Total revenue $2482.52 $2271.05 $1852.47 $1402.09
Cost of revenue
Gross Profit $2482.52 $2271.05 $1852.47 $1402.09
Operating activities
Research & development
Selling, general & administrative $756 $672.82 $609.32 $579.81
Total operating expenses $1022.75 $859.39 $796.09 $707.58
Operating income $1459.77 $1411.65 $1056.38 $694.5
Income from continuing operations
EBIT $1459.77 $1411.65 $1056.38 $685.76
Income tax expense $298.61 $283.57 $183.4 $117.97
Interest expense
Net income
Net income $1161.16 $1128.08 $872.98 $567.8
Income (for common shares) $1161.16 $1128.08 $872.98 $567.8
(in millions $) 30 Jun 2024 31 Mar 2024 31 Dec 2023 30 Sep 2023
Net income $288.23 $285.07 $238.95 $287.74
Operating activities
Depreciation $49.37 $51 -$11.4 $68.28
Business acquisitions & disposals
Stock-based compensation $10.67 $12.99 $9.93 $9.49
Total cash flows from operations $259.17 $266.24 $561.69 $381.85
Investing activities
Capital expenditures
Investments -$1421.49 -$1868.58 -$1370.26 -$1458.29
Total cash flows from investing -$1412.72 -$1871.58 -$1349.54 -$1557.38
Financing activities
Dividends paid -$76.56 -$79.3 -$67.71 -$67.93
Sale and purchase of stock -$39.2 -$82.44 -$80.53 $1.56
Net borrowings -$19.39 -$1097.63 -$0.25 -$0.22
Total cash flows from financing $1311.02 $1201.99 $835.81 -$644.85
Effect of exchange rate -$2.59 -$0.83 $5.85 $3.67
Change in cash and equivalents $154.89 -$404.18 $53.81 -$1816.71
(in millions $) 31 Dec 2023 31 Dec 2022 31 Dec 2021 31 Dec 2020
Net income $1161.16 $1128.08 $872.98 $567.8
Operating activities
Depreciation $163.46 $159.85 $156.79 $119.91
Business acquisitions & disposals
Stock-based compensation $39.87 $37.6 $32.57 $29.24
Total cash flows from operations $1424.91 $2066.02 $1168.42 $693.33
Investing activities
Capital expenditures $0.33 $5.15
Investments -$4162.62 -$4599.14 -$9037.24 -$6863.21
Total cash flows from investing -$4247.16 -$4582.89 -$9117.2 -$6848.72
Financing activities
Dividends paid -$274.55 -$228.38 -$188.76 -$158.22
Sale and purchase of stock -$78.97 -$96.81 $2.57 -$143.64
Net borrowings $4195.26 -$250.94 -$427.35 -$263.82
Total cash flows from financing $3962.45 $2114.21 $7835.05 $6908.79
Effect of exchange rate -$7 -$28.49 $8.7 $3.42
Change in cash and equivalents $1133.2 -$431.15 -$105.04 $756.82
Fundamentals
Market cap N/A
Enterprise value N/A
Shares outstanding N/A
Revenue $2.44B
EBITDA $1.57B
EBIT $1.42B
Net Income $1.10B
Revenue Q/Q -2.98%
Revenue Y/Y -2.46%
P/E ratio N/A
EV/Sales N/A
EV/EBITDA N/A
EV/EBIT N/A
P/S ratio N/A
P/B ratio N/A
Book/Share N/A
Cash/Share N/A
EPS N/A
ROA 1.56%
ROE 15.84%
Debt/Equity 9.02
Net debt/EBITDA 38.65
Current ratio N/A
Quick ratio N/A