RAYMOND JAMES FINANCIAL INCRJF

時価総額
$253.2億
PER
14.6倍
2010年
9月30日
2012年
9月30日
2013年
9月30日
2014年
9月30日
2015年
9月30日
2016年
9月30日
2017年
9月30日
2018年
9月30日
2019年
9月30日
2020年
9月30日
2021年
9月30日
2022年
9月30日
2023年
9月30日
Asset management and related administrative fees--------3,4513,8344,8685,5635,363
Securities commissions--------1,4501,4681,6511,5891,459
Account and service fees--------9098078241,2072,237
Investment banking--------5966501,1431,100648
Other----------229188187
Principal transactions--------357488561527462
Total brokerage revenues----------2,2122,1161,921
Interest income3714534744815436408021,0441,2811,0008231,5083,748
Total revenues2,9803,8984,5964,9655,3085,5206,5257,4768,0238,1689,91011,30812,992
Interest expense---1041081171542022831781503051,373
Net revenues---4,8615,2005,4036,3717,2747,7407,9909,76011,00311,619
Labor and Related Expense1,9942,6203,0543,3133,5253,6254,2284,7955,0875,4656,5837,3297,299
Communications and information processing122196257253266280311366373393429506599
Occupancy, Net105134157162163167191202218225232252271
Business development80119124140159148155181194134111186242
Investment sub-advisory fees272937526060799294101130152151
Professional fees--------8591112131145
Bank loan provision/(benefit) for credit losses-----------100132
Losses on extinguishment of debt-------46----98--
Other118116145173184234354308277243287325500
Total non-compensation expenses--------1,2781,4731,3861,6522,040
Total non-interest expenses2,5613,3393,8924,1454,4234,6265,4435,9696,3656,9387,9698,9819,339
Pre-tax income--------1,3751,0521,7912,0222,280
Provision for income taxes134176197268296271289454341234388513541
Net income2282963974805025296398571,0348181,4031,5091,739
Preferred stock dividends-----------46
Net income available to common shareholders, basic-----------1,5051,733
Net income available to common shareholders, diluted-----------1,5051,733
Earnings Per Share, Basic1.832.222.643.413.513.724.435.897.325.946.817.168.16
Earnings Per Share, Diluted1.832.22.583.323.433.654.335.757.175.836.636.987.97
Net income2282963974805025296398571,0348181,4031,5091,739
Available-for-sale securities--------7168-94-897-40
Currency translations, net of the impact of net investment hedges5----31216-3-2-16-11450
Cash flow hedges---------61-3426701
Total other comprehensive income/(loss), net of tax--------834-52-94111
Total comprehensive income2643153684684645146778451,0428521,3515681,750