P

PacWest Bancorp
F:F8B

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PacWest Bancorp
F:F8B
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Price: 7.1 EUR 0.71%
Market Cap: €854.5m

Cash Flow Statement

Cash Flow Statement
PacWest Bancorp

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Cash Flow Statement
Currency: USD
Jun-2013 Sep-2013 Dec-2013 Mar-2014 Jun-2014 Sep-2014 Dec-2014 Mar-2015 Jun-2015 Sep-2015 Dec-2015 Mar-2016 Jun-2016 Sep-2016 Dec-2016 Mar-2017 Jun-2017 Sep-2017 Dec-2017 Mar-2018 Jun-2018 Sep-2018 Dec-2018 Mar-2019 Jun-2019 Sep-2019 Dec-2019 Mar-2020 Jun-2020 Sep-2020 Dec-2020 Mar-2021 Jun-2021 Sep-2021 Dec-2021 Mar-2022 Jun-2022 Sep-2022 Dec-2022 Mar-2023 Jun-2023
Operating Cash Flow
Net Income
54
62
45
57
63
101
169
217
292
299
300
317
314
338
352
340
352
360
358
397
420
434
465
460
472
466
469
(1 077)
(1 172)
(1 237)
(1 238)
346
493
588
607
577
519
510
424
(892)
(1 212)
Depreciation & Amortization
30
31
32
31
34
36
27
24
25
25
34
56
58
59
49
48
46
44
46
50
54
57
58
57
57
57
58
58
59
60
60
61
61
62
65
66
68
69
67
66
65
Change in Deffered Taxes
(15)
(6)
2
13
31
46
92
111
139
153
150
136
146
116
54
30
(7)
(11)
77
83
68
58
(0)
7
16
23
15
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Stock-Based Compensation
10
13
21
21
48
48
36
38
14
15
16
18
19
21
23
25
25
26
26
26
27
28
30
28
28
27
27
28
27
27
24
24
27
28
32
33
34
35
35
32
31
Other Non-Cash Items
14
3
16
13
44
51
53
55
28
32
40
30
39
45
61
67
68
71
67
66
64
59
52
55
59
63
71
1 652
1 771
1 870
1 880
254
54
(54)
(57)
(0)
105
130
170
1 540
1 538
Cash Taxes Paid
48
40
28
23
2
15
(1)
(3)
18
9
17
40
55
86
134
121
208
198
208
209
113
124
99
98
144
126
124
123
59
127
114
115
184
116
136
135
138
132
97
96
22
Cash Interest Paid
0
36
13
16
26
27
35
45
51
62
66
69
66
56
54
54
56
61
70
73
87
100
119
148
169
194
201
198
172
132
100
68
56
49
53
52
67
120
238
437
668
Change in Working Capital
27
21
(45)
(63)
(111)
(103)
(9)
18
68
73
71
61
32
62
65
107
35
46
(64)
(120)
1
(18)
33
46
(22)
(18)
(29)
(87)
(82)
(215)
(218)
(146)
(168)
(62)
(112)
(152)
(148)
(99)
41
(168)
123
Cash from Operating Activities
110
N/A
112
+2%
50
-55%
52
+3%
62
+19%
131
+113%
332
+153%
431
+30%
558
+29%
588
+5%
594
+1%
600
+1%
588
-2%
621
+6%
581
-6%
592
+2%
493
-17%
509
+3%
484
-5%
477
-1%
605
+27%
590
-3%
608
+3%
624
+3%
582
-7%
592
+2%
583
-2%
546
-6%
577
+6%
478
-17%
484
+1%
515
+6%
441
-14%
533
+21%
503
-6%
491
-2%
544
+11%
610
+12%
702
+15%
547
-22%
514
-6%
Investing Cash Flow
Capital Expenditures
(4)
(5)
(4)
(4)
(4)
(4)
(3)
(3)
(4)
(32)
(74)
(88)
(91)
(64)
(60)
(46)
(44)
(62)
(82)
(85)
(85)
(73)
(41)
(48)
(61)
(57)
(70)
(62)
(52)
(50)
(59)
(61)
(54)
(80)
(48)
(49)
(57)
(56)
(121)
(128)
(116)
Other Items
300
382
417
507
1 360
978
559
(49)
(987)
(1 141)
(568)
196
(153)
259
(899)
(1 472)
(1 538)
(1 459)
114
1 227
986
671
(876)
(2 069)
(1 447)
(1 322)
(561)
(1 135)
(1 162)
(974)
(1 622)
(1 536)
(3 294)
(6 421)
(5 666)
(6 179)
(6 108)
(3 529)
(3 449)
(2 004)
5 347
Cash from Investing Activities
296
N/A
377
+28%
413
+10%
503
+22%
1 356
+170%
974
-28%
557
-43%
(52)
N/A
(991)
-1 810%
(1 173)
-18%
(643)
+45%
108
N/A
(244)
N/A
195
N/A
(959)
N/A
(1 519)
-58%
(1 582)
-4%
(1 521)
+4%
33
N/A
1 142
+3 393%
902
-21%
598
-34%
(917)
N/A
(2 117)
-131%
(1 509)
+29%
(1 379)
+9%
(631)
+54%
(1 198)
-90%
(1 214)
-1%
(1 024)
+16%
(1 681)
-64%
(1 597)
+5%
(3 349)
-110%
(6 501)
-94%
(5 715)
+12%
(6 228)
-9%
(6 165)
+1%
(3 586)
+42%
(3 570)
+0%
(2 132)
+40%
5 231
N/A
Financing Cash Flow
Net Issuance of Common Stock
(2)
(3)
(14)
(13)
(34)
(33)
(22)
(20)
(8)
(8)
(8)
(9)
(5)
(5)
(33)
(35)
(36)
(36)
(109)
(230)
(351)
(415)
(316)
(317)
(228)
(164)
(163)
(112)
(76)
(76)
(75)
(4)
(8)
(9)
(9)
(11)
489
489
489
489
(6)
Net Issuance of Debt
(11)
(10)
101
(5)
(997)
(637)
(722)
(380)
(2)
189
239
(65)
918
(10)
286
(91)
(701)
(291)
(461)
80
935
1 228
891
906
726
(260)
388
814
(1 853)
(1 193)
(1 754)
(2 326)
291
284
339
1 366
1 585
1 865
1 763
10 892
4 770
Cash Paid for Dividends
(34)
(39)
(41)
(43)
(60)
(74)
(114)
(154)
(180)
(206)
(215)
(225)
(234)
(244)
(243)
(243)
(243)
(243)
(247)
(250)
(265)
(279)
(288)
(298)
(294)
(291)
(289)
(287)
(245)
(202)
(160)
(118)
(119)
(119)
(119)
(120)
(120)
(129)
(140)
(149)
(130)
Other
(263)
(454)
(527)
(282)
(183)
(244)
136
225
901
586
117
(282)
(1 218)
(254)
391
1 073
1 911
1 311
280
(967)
(1 661)
(1 609)
9
1 211
879
1 856
365
292
4 125
4 235
5 709
8 612
6 681
6 557
5 897
878
198
(487)
(1 061)
(5 037)
(6 071)
Cash from Financing Activities
(310)
N/A
(505)
-63%
(480)
+5%
(344)
+28%
(1 273)
-270%
(988)
+22%
(723)
+27%
(330)
+54%
711
N/A
561
-21%
132
-76%
(580)
N/A
(539)
+7%
(512)
+5%
401
N/A
704
+76%
931
+32%
741
-20%
(538)
N/A
(1 368)
-154%
(1 343)
+2%
(1 076)
+20%
297
N/A
1 502
+407%
1 083
-28%
1 141
+5%
301
-74%
707
+135%
1 951
+176%
2 763
+42%
3 720
+35%
6 165
+66%
6 845
+11%
6 713
-2%
6 108
-9%
2 113
-65%
2 153
+2%
1 737
-19%
1 051
-40%
6 195
+489%
(1 437)
N/A
Change in Cash
Net Change in Cash
95
N/A
(16)
N/A
(17)
-4%
210
N/A
145
-31%
117
-19%
166
+42%
50
-70%
277
+456%
(25)
N/A
83
N/A
128
+53%
(195)
N/A
304
N/A
23
-92%
(223)
N/A
(158)
+29%
(271)
-71%
(21)
+92%
251
N/A
164
-35%
112
-32%
(13)
N/A
9
N/A
156
+1 636%
354
+127%
252
-29%
55
-78%
1 313
+2 271%
2 217
+69%
2 523
+14%
5 083
+101%
3 937
-23%
746
-81%
897
+20%
(3 624)
N/A
(3 468)
+4%
(1 238)
+64%
(1 817)
-47%
4 609
N/A
4 308
-7%