Bank Hapoalim Net Cash Flow 2011-2023 | BKHYY
- Bank Hapoalim net cash flow for the quarter ending September 30, 2023 was $-11.026B, a 14.73% decline year-over-year.
- Bank Hapoalim net cash flow for the twelve months ending September 30, 2023 was $-48.610B, a 460.56% increase year-over-year.
- Bank Hapoalim annual net cash flow for 2022 was $-16.646B, a 206.09% decline from 2021.
- Bank Hapoalim annual net cash flow for 2021 was $15.69B, a 3.63% increase from 2020.
- Bank Hapoalim annual net cash flow for 2020 was $15.141B, a 1370.19% increase from 2019.
Bank Hapoalim Annual Net Cash Flow (Millions of US $) |
|
---|---|
2022 | $-16,646 |
2021 | $15,690 |
2020 | $15,141 |
2019 | $1,030 |
2018 | $-178 |
2017 | $1,265 |
2016 | $3,957 |
2015 | $2,910 |
2014 | $2,213 |
2013 | $-2,775 |
2012 | $-10 |
2011 | $1,317 |
2010 | $-630 |
Sector | Industry | Market Cap | Revenue |
---|---|---|---|
Finance | Banks - Foreign | $11.875B | $7.055B |
Bank Hapoalim B.M. offers banking, financial products and services primarily in Israel and internationally, through its subsidiaries. Its operating segment consists of Households, Private Banking, Small Business, Commercial, Corporate and Financial Management. The company offers current-account management services, deposits and saving plans, credit cards, capital-market and housing loans products and services, investment products, check discounting, foreign currency, foreign trade and other financing transactions services. It also provides factoring services which consist of financial and strategic consulting for mergers and acquisitions, privatization processes, public and private issues, guidance of companies, consulting, underwriting and management services, brokerage services, research, custody and other related services. Bank Hapoalim B.M. is based in Tel Aviv, Israel. |