Fulton Financial Corporation

NASDAQ:FULT

17.93 (USD) • At close November 4, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Operationele Activiteiten:
Nettowinst 284.28286.981275.497178.04226.339208.393171.753161.625149.502157.894161.84159.845145.573128.33273.924-5.617152.718185.527166.074152.917138.18132.948113.589103.80497.288.565.25245.64032.926.624.924.919.4
Afschrijvingen & Amortisatie 32.99931.93229.39129.33229.62728.15628.09627.40327.85225.81428.34925.60625.33825.71726.34826.85528.04524.81224.80727.04133.68118.59812.9912.09612.410.78.87.68.16.86.53.52.93.1-1.1
Uitgestelde Inkomstenbelasting 24.666-117.84912.41-21.591-0.165-16.55840.53111.05413.42418.52311.82517.0074.3785.544-20.432-52.483-13.646-5.7790.991.2324.7091.0961.52-1.281.4-0.31.60.62.1-0.3-1.3-2-0.5-0.5-1.2
Aandelen Gebaseerde Vergoedingen 12.54148.4027.5297.4137.9655.2096.5565.9385.8655.334.8344.2491.9961.7812.0582.6391.6871.0410000000000000000
Verandering in Werkkapitaal -22.693195.254-62.559-110.781-195.903-31.153-9.116-30.132-26.329-17.0515.52918.39110.054-42.701-34.175-22.9413.762-10.164-9.0429.247-17.498-8.673-17.5169.1649.5-29.21.4-5.4-0.8-5.40.4-5.40-32
Vorderingen 00000-5.969-6.616-3.527-0.9492.2191.7495.3122.7434.6740.05114.869-1.61-11.90800000000000000000
Voorraden 0000000000000-24.939000000000000000000000
Crediteuren 000001.212-0.315-1.092-7.3212.827-4.112-6.356-7.647-13.263-7.082-15.567.84621.74100000000000000000
Overig Werkkapitaal -22.693195.254-62.559-110.781-195.903-26.396-2.185-25.513-18.059-22.0977.89219.43514.958-9.173-27.144-22.2497.526-19.99700000000000000000
Overige Niet-Contante Posten 33.992187.94879.13171.95960.402100.01722.3538.9046.57519.32788.74470.599182.406165.921135.136246.873121.1733.22-37.379-7.58670.293-40.2016.3856.2167.1-0.484.73.211.74.33.8-3.81.514.8
Kasstroom uit Operationele Activiteiten 365.784598.266342.272154.488127.713296.82258.826185.41176.962210.372301.617296.282371.998284.809182.582194.746304.691199.303146.491145.877187.9394.776104.407119.364127.657.977.956.453.950.536.823.123.523.531.9
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -32.958-21.246-17.679-20.237-33.717-39.883-33.092-19.674-27.113-24.561-24.209-38.024-25.339-24.29-22.147-29.054-21.606-30.277-28.3360-4.73-10.619-22.2-24.343-13.4-11.6-10.8-9.1-6.7-4.8-4-5.1-5.7-5.7-6.8
Netto Overnames -1,097.835-21.811-1.982-1.884-5.17439.88333.09219.67427.11324.56124.20938.024000-100.5160-109.729-3.791-16.16117.22210.619-28.8224.34313.411.610.89.16.74.845.15.75.76.8
Aankoop van Beleggingen -79.053-905.774-1,770.914-1,149.639-1,156.83-615.682-648.235-782.765-683.839-339.691-779.554-1,130.059-1,126.354-971.621-2,006.416-990.308-1,113.49-869.574-866.3-290.366-2,454.106-1,534.784-977.979-160.614-309.7-750-414.9-240.4-259-271.1-307.8-264.4-184.6-184.6-165.2
Verkoop/verval van Beleggingen 422.32889.614980.45739.8181,028.562381.219602.407675.962636.58449.786904.9771,138.5061,109.5861,244.7981,488.0831,478.837866.037771.826898.9771,061.0362,083.658896.86727.34243.892410.4450.2373.2272.6256.6349.2352.8262152.4152.4177.6
Overige Investeringsactiviteiten -24.489-1,479.841596.158-2,067.538-726.187-506.254-1,120.613-893.613-770.768-385.543-724.17-328.562-189.669-102.938-42.408-860.486-809.562-886.372-589.053-538.755-467.89933.479-21.489-295.955-413.5-86.1-296.7-293.7-130.2-211.1-90.3-97.2-22.5-22.5-73
Kasstroom uit Investeringsactiviteiten -812.015-1,539.058-213.967-2,499.48-893.346-740.717-1,166.441-1,000.416-818.027-275.448-598.747-320.115-231.776145.949-582.888-501.527-1,078.621-1,124.126-588.503215.754-825.855-604.445-323.148-212.677-312.8-385.9-338.4-261.5-132.6-133-45.3-99.6-54.7-54.7-60.6
Financieringsactiviteiten:
Schuldaflossingen -384.431-81.496-710.633-289.59-596.056-100.165-115.153-20.756-539.497-6.284-10.669-151.596-181.654-664.086-247.024-199.026-1,125.648-186.499-168.207-63.509-157.36-21.653-102.701-88.277-10.9-20.6-17.6-13-1-10.5-6.7-3.4-0.5-0.5-0.4
Uitgifte van Gewone Aandelen 3.167.8767.437200.2536.3626.7358.53816.16710.6078.2019.9367.0056.835231.517.41913.1577.3689.07410.9917.7125.85200000000000000
Terugkoop van Gewone Aandelen -77.0560-43.909-39.748-111.457-95.3080-18.545-50-195.255-90.927-20.359000546.487-18.227-20.193-10.991-7.712-5.85200000000000000
Uitgekeerde Dividenden -115.738-116.009-112.028-90.957-92.33-89.654-80.368-69.382-65.361-64.028-46.525-71.972-33.917-35.003-58.913-103.976-103.122-98.022-85.495-74.802-64.628-58.954-51.486-43.14-39.6-33.9-25.8-21.1-18.2-15.4-12.7-10.5-9.4-9.4-6.3
Overige Financieringsactiviteiten 888.085173.728521.613,513.271,631.218765.881,084.126941.3321,280.734209.604397.555224.457162.158-48.733652.1680.022,039.8241,207.438785.692-246.221846.022548.594446.881246.336233.7421.7295.725289.9121.41.8116.9494930.7
Kasstroom uit Financieringsactiviteiten 314.02-15.901-337.5233,672.156837.737487.488897.143832.649636.483-47.762259.37-12.465-46.578-516.312353.65256.662800.195911.798531.99-384.532624.034467.987292.694114.919183.2367.2252.3217.970.795.5-17.610339.139.124
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -549.71000000000000000000000000328260.5205.178.782.58.576.531.231.228.7
Netto Kasstroomverandering -132.211-956.693-209.2181,330.04172.10443.591-10.47217.643-4.582-112.838-37.76-36.29893.644-85.554-46.656-50.11926.265-13.02589.978-22.901-13.891-41.68273.95321.606-2367.2252.3217.970.795.5-17.610339.139.124
Kaspositie aan het Einde van de Periode 549.71681.9211,638.6141,847.832517.791445.687108.291118.763101.12105.702218.54256.3292.598198.954284.508331.164381.283355.018368.043278.065300.966314.857356.539267.178245.6575.5433370218.9227.2122.3208.7136.9136.9102.3