STIFEL FINANCIAL CORP (SF)

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CIK 0000720672 · NYSE · Security Brokers, Dealers & Flotation Companies

  • Sector Finance & Real Estate
  • Incorporated DE
  • Fiscal year ends Dec 31

In fiscal 2025, STIFEL FINANCIAL CORP reported revenue of $6.35B, up 6.7% from the prior year. The company was profitable, with a net margin of 10.8%. It held $41.27B in total assets against $35.29B in total liabilities.

Key ratios (FY2025)

10.8%
Net margin
11.4%
Return on equity
+6.7%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$6.35B$5.95B$5.16B$4.59B$4.78B$3.82B$3.51B$3.19B$3.00B$2.64B
Operating Income$928.44M$706.69M$885.12M
Net Income$683.78M$731.38M$522.54M$662.15M$824.86M$503.47M$448.40M$393.97M$182.87M$81.52M
EPS (Diluted)$5.87$6.25$4.28$5.32$6.66$4.16$3.66$3.15$2.14$1.00
Total Assets$41.27B$39.90B$37.73B$37.20B$34.05B$26.60B$24.61B$24.52B$21.38B$19.13B
Total Liabilities$35.29B$34.21B$32.43B$31.87B$29.01B$22.37B$20.94B$21.32B$18.52B$16.39B
Shareholders' Equity$5.98B$5.69B$5.29B$5.33B$5.03B$4.24B$3.67B$3.20B$2.86B$2.74B
Cash & Equivalents$2.25B$2.65B$3.36B$2.20B$1.96B$2.28B$1.14B$1.94B$696.28M$912.93M
Operating Cash Flow$1.12B$490.44M$499.33M$1.16B$872.09M$1.66B$626.86M$529.53M$679.92M-$441.41M
Capital Expenditures$62.09M$73.79M$51.98M$82.33M$188.18M$73.36M$157.90M$108.21M$28.22M$28.21M
Shares Outstanding110.05M110.97M113.45M117.54M118.53M114.57M117.88M121.98M81.03M77.56M
Dividends Per Share$1.84$1.68$1.44$1.20$0.60$0.45$0.40$0.32$0.20$0.20