Fulton Financial Corporation

NASDAQ:FULT

19 (USD) • At close September 19, 2024
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) USD.

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 532.31126.898172.276120.462132.283103.436108.291118.763101.12105.702218.54256.3292.598198.954284.508331.164312.313382.547399.447282.753305.525322.756363.507270.377247.4250.6173.4167144.5147.1118.4165.3130.4130.484.9
Kortetermijnbeleggingen 891.6391,042.7161,419.4771,655.5291,368.1571,563.781,954.0122,015.8142,484.7732,323.3712,568.4342,793.7252,673.4772,853.93,258.5432,715.5523,143.4342,865.90600000000000000000
Liquide middelen en kortetermijnbeleggingen 300.343126.8981,591.7531,775.9911,500.441,807.5672,231.7082,255.042,725.0932,690.2032,857.8623,121.4823,020.6112,973.3513,462.2422,992.6073,455.7473,248.453399.447282.753305.525322.756363.507270.377247.4250.6173.4167144.5147.1118.4165.3130.4130.484.9
Nettovorderingen 478.898351.722293.795352.06360.295346.88320.908277.27200.902161.024137.542131.18122.804117.671134.475145.725162.818172.53653.26140.63334.40742.67543.38840.41131.534.926.824.723.720.113.612.614.714.711.6
Voorraad -408.315-779.29-1,697.882-1,924.952-585.5223.86523.55815.72812.7798.3565.751-11.155-8.452-2.813-6.038-2.3270000000000000000000
Overige vlottende activa 658.578779.291,697.8821,924.952585.5215,012.20214,120.74713,050.08911,693.13611,141.83510,563.4969,693.2869,765.9799,540.4168,998.6069,556.2798,296.4737,757.9628,768.0267,848.8736,252.2275,410.3097,164.913000000000000
Totaal vlottende activa 658.578478.621,885.5482,128.0511,860.73517,190.51416,696.92115,598.12714,631.9114,001.41813,564.65112,934.79312,900.94212,628.62512,589.28512,692.28411,915.03811,178.9519,220.7348,172.2596,592.1595,775.747,571.808310.788278.9285.5200.2191.7168.2167.2132177.9145.1145.196.5
Niet-vlottende activa:
Materiële vaste activa, netto 311.069225.141220.357231.48240.046234.529222.802217.806225.535226.027226.021227.723212.274208.016204.203202.657193.296191.401170.254146.911120.777123.45125.61797.14779.275.761.651.143.239.330.729.628.228.221.5
Goodwill 553.346550.539534.3536.659535.303530.6530.6530.593530.593530.593530.607530.656536.005535.518534.862534.385624.072626.042418.735364.019127.20200000000000000
Immateriële activa 7.34110.28539.19328.24539.26739.53638.62638.49441.90743.35844.92140.96441.3241.61140.19930.93937.1444.33229.68725.303000000000000000
Goodwill en immateriële activa 560.687560.824538.053536.659535.303531.556531.556531.556531.556531.803533.076535.563544.209547.979552.563557.833661.212670.374448.422389.322127.20272.29773.286000000000000
Langetermijnbeleggingen 753.0644,653.2325,691.7475,159.9233,350.3083,108.5072,902.5222,850.4792,777.2892,746.4542,816.5952,967.2742,855.3032,894.7813,283.6772,746.5513,153.5522,878.2382,562.1452,449.8592,927.152,416.2911,737.3441,225.4081,223.31,382.7854.6710.8724668.2623.9476.8443.7443.7331.1
Belastingvorderingen 255.552272.099176.56172.149111.337110.31588.94132.6890000000000-448.422-389.322-127.202-72.297-1,810.63000000000000
Overige niet-vlottende activa 25,147.809-272.099-176.56-172.149-111.337-493.269-405.836-386.41-251.572-380.935-205.709-137.2-142.22-4.1475.907-14.21900448.422389.322127.20272.29773.286-1,322.555-1,302.5-1,458.4-916.2-761.9-767.2-707.5-654.6-506.4-471.9-471.9-352.6
Totaal niet-vlottende activa 27,028.1815,439.1976,450.1575,928.0624,125.6573,491.6383,339.9843,346.123,282.8083,123.3493,369.9833,593.363,469.5663,646.6294,046.353,492.8224,008.063,740.0133,180.8212,986.0923,175.1292,612.038198.9031,322.5551,302.51,458.4916.2761.9767.2707.5654.6506.4471.9471.9352.6
Totaal activa 27,686.75926,931.70225,796.39825,906.73321,897.06220,682.15220,036.90518,944.24717,914.71817,124.76716,934.63416,528.15316,370.50816,275.25416,635.63516,185.10615,923.09814,918.96412,401.55511,158.3519,767.2888,387.7787,770.7116,571.1556,0705,838.74,460.83,769.43,334.73,082.62,405.52,171.92,041.72,041.71,399.5
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 35.08310.185710.3658.83410.5299.3179.63210.72418.04515.21819.3325.68633.33346.59653.67869.23861.39238.60427.27924.57927.60835.92641.63732.334.325.619.719.112.48.69.613139.3
Kortlopende schulden 1,040.4731,100.978416.764630.066826.534636.278225.50767.013188.932165.106500.572119.691156.828201.433231.414359.3011,098.548319.282359.866517.6021,396.711632.194400.335253.1665.53.8000081.231.9000
Belastingschulden 00000000000000000000000000000000000
Uitgestelde opbrengsten -35.083-1,090.7930000-1,094.686-4,385.769000000000000000000000000000
Overige kortlopende verplichtingen 13,252.195-10.185-423.764-640.431-835.36874.9991,094.6864,385.769000000000000006,518.7396,334.1975,417.25,190.94,786.43,669.33,148.9-12.4-89.8-41.5-13-13-9.3
Totaal kortlopende verplichtingen 14,292.66810.185423.764640.431835.368721.806234.82476.645199.656183.151515.79139.021182.514234.766278.01412.9791,167.786380.674398.47544.8811,421.29659.8026,9556,6295,4555,2294,8123,6893,16812.489.841.513139.3
Langlopende verplichtingen:
Langetermijnschulden 1,467.4442,680.207621.3451,296.263881.769992.2791,038.346929.403949.5421,139.413883.584894.2531,040.1491,119.451,540.7731,787.7971,642.1331,304.148860.345684.236568.73541.055464.302441.973328.329647.749.234.727.38.111.810.210.211
Uitgestelde opbrengsten niet-vlottend 8,360.267-107.536488.5571,169.896801.516-458.272-555.097-516.971000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 114.844107.536132.788126.36780.25362.36962.6853.575000000000000000000000000000
Overige niet-vlottende verplichtingen 691.397-2,670.022-621.345-1,296.263-881.769395.903492.417463.396000-894.2530000000000-460.302-436.973-327.3-295-46.7-46.2-31.7000000
Totaal niet-vlottende verplichtingen 10,633.95210.185621.3451,296.263881.769992.2791,038.346929.403949.5421,139.413883.584894.2531,040.1491,119.451,540.7731,787.7971,642.1331,304.148860.345684.236568.73541.055451113327.38.111.810.210.211
Totaal passiva 24,926.6224,351.94523,083.71823,289.90519,548.58818,434.57917,807.04816,823.13215,872.82415,128.10214,871.44714,446.49714,377.96914,394.86514,699.15314,325.45914,348.17813,402.65411,118.5849,916.0618,820.3527,524.0366,959.2575,891.8195,455.75,230.43,985.53,383.72,994.82,781.42,150.81,973.81,8601,8601,273.3
Eigen vermogen:
Preferente aandelen 192.878192.878192.878192.8780000000000370.29368.9440000000011.80000000000
Gewone aandelen 564.402561.511559.766557.917556.11554.377552.232549.707547.141545.555544.568542.093540.3861,880.3891,566.192480.978479.559476.987430.827335.604284.48259.943207.962182.052173.40000000000
Ingehouden winsten 1,619.31,450.7581,282.3831,120.7811,079.391946.032821.619732.099641.588558.81463.843363.937264.059158.45371.99931.075141.99392.592138.52977.419117.373138.50165.64967.20175.5136.755.272.595111.377.871.955.855.823.6
Overige gereserveerde algehele resultaten -312.28-385.47627.41165.091-0.137-59.063-32.974-38.449-22.017-17.722-37.3415.6757.95512.4957.458-17.907-21.773-39.091-42.285-10.13312.26734.80112.972.358-11.8026.49.48.51.600000
Overige totale aandeelhoudersvermogen 695.839760.086650.242680.161713.11806.227888.98877.758875.182910.0221,092.1171,169.9511,180.139-170.948-79.457996.557975.141985.822755.9839.4532.816430.497524.873427.725365.4471.6393.7303.8236.4188.3176.9126.2125.9125.9102.6
Totaal eigen vermogen van aandeelhouders 2,760.1392,579.7572,712.682,616.8282,348.4742,247.5732,229.8572,121.1152,041.8941,996.6652,063.1872,081.6561,992.5391,880.3891,936.4821,859.6471,574.921,516.311,282.9711,242.29946.936863.742811.454679.336614.3608.3475.3385.7339.9301.2254.7198.1181.7181.7126.2
Totaal eigen vermogen 2,760.1392,579.7572,712.682,616.8282,348.4742,247.5732,229.8572,121.1152,041.8941,996.6652,063.1872,081.6561,992.5391,880.3891,936.4821,859.6471,574.921,516.311,282.9711,242.29946.936863.742811.454679.336614.3608.3475.3385.7339.9301.2254.7198.1181.7181.7126.2
Totaal passiva en aandeelhoudersvermogen 27,686.75926,931.70225,796.39825,906.73321,897.06220,682.15220,036.90518,944.24717,914.71817,124.76716,934.63416,528.15316,370.50816,275.25416,635.63516,185.10615,923.09814,918.96412,401.55511,158.3519,767.2888,387.7787,770.7116,571.1556,0705,838.74,460.83,769.43,334.73,082.62,405.52,171.92,041.72,041.71,399.5