Fulton Financial Corporation

NASDAQ:FULT

18.52 (USD) • At close July 1, 2025
Overview | Financials

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Operationele Activiteiten:
Nettowinst 288.743284.28286.981275.497178.04226.339208.393171.753161.625149.502157.894161.84159.845145.573128.33273.924-5.617152.718185.527166.074149.608138.18132.948113.589106.834104.62788.51176.465.951.64032.926.624.924.919.4
Afschrijvingen & Amortisatie 56.99432.99931.93229.39129.33229.62728.15628.09627.40327.85225.81428.34925.60625.33825.71726.34826.85528.04527.17721.57617.13533.68118.59812.9911.57411.17810.711.510.39.16.86.53.52.93.1-1.1
Uitgestelde Inkomstenbelasting 00012.41-21.591-0.165-16.55840.53111.05413.42418.52311.82517.0074.3785.544-20.432-52.483-13.646-5.7790.990.8164.7091.0961.52-2.6381.237-0.30.80.51.3-0.3-1.3-2-0.5-0.5-1.2
Aandelen Gebaseerde Vergoedingen 10.51612.54148.4027.5297.4137.9655.2096.5565.9385.8655.334.8344.2491.9961.7812.0582.6391.6871.0413.9000000000000000
Verandering in Werkkapitaal 73.419-25.691191.778-26.027-101.572-195.903-31.153-17.369-13.451-26.329-17.0515.52911.2399.25-42.701-100.142-22.9613.762-10.164-1.8677.165-17.498-8.673-17.5161.4668.067-29.210.1-8.2-2.2-5.40.4-5.40-32
Vorderingen 000000-5.969-6.616-3.527-0.9492.2191.7495.3122.7434.6740.05114.869-1.61-11.908-10.5010.022000000000000000
Voorraden 000000000000000000000000000000000000
Crediteuren 0000001.212-0.315-1.092-7.3212.827-4.112-6.356-7.647-13.263-7.082-15.567.84621.74111.008-0.759000000000000000
Overig Werkkapitaal 73.419-25.691191.778-26.027-101.572-195.903-26.396-10.438-8.832-18.059-22.0977.89212.28314.154-34.112-93.111-22.2697.526-19.997-2.3747.902-17.498-8.673-17.5161.4668.067-29.210.1-8.2-2.2-5.40.4-5.40-32
Overige Niet-Contante Posten -13.10758.85670.138.71865.62760.402100.01759.53832.8867.15719.66488.74475.981182.406165.921201.103246.893121.1733.22-39.396-3.99328.858-49.193-6.1764.45412.18-11.8116.3-2.80.49.4-1.70.4-3.8-112.8
Kasstroom uit Operationele Activiteiten 416.565362.984594.791338.391157.365127.713296.82287.758226.073177.544210.709301.617294.512371.194284.809182.582194.746304.691201.668148.418174.631187.9394.776104.407121.69137.28957.9105.165.760.250.536.823.123.523.531.9
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -42.453-32.958-21.246-17.679-20.237-33.717-39.883-33.092-19.674-27.113-24.561-24.209-38.024-25.339-24.29-22.147-29.054-21.606-32.642-30.263-16.161-4.73-10.619-22.2-28.198-15.568-11.6-14-14.3-7.7-4.8-4-5.1-5.7-5.7-6.8
Netto Overnames 1,018.3710-21.811-1.982-1.884-5.174000000000000-109.729-3.7917.8117.2220-28.82000000000000
Aankoop van Beleggingen -1,965.424-105.806-905.774-1,770.914-1,149.639-1,156.83-615.682-613.853-823.428-683.839-339.691-779.554-1,127.394-1,112.307-971.621-2,006.416-990.308-1,113.49-869.574-866.3-290.366-2,454.106-1,534.784-977.979-225.072-414.669-750-498.3-366.3-333.3-271.1-307.8-264.4-184.6-184.6-165.2
Verkoop/verval van Beleggingen 2,691.347422.32889.614980.45739.8181,028.562381.219602.407675.962636.58449.786904.9771,138.5061,095.5591,244.7981,488.0831,478.837866.037771.826898.9771,061.0362,083.658896.86727.34295.64456.14450.2457.5402.6307.2349.2352.8262152.4152.4177.6
Overige Investeringsactiviteiten -72.509-1,092.771-1,476.366600.039-2,067.538-726.187-466.371-1,090.793-869.212-743.655-360.982-699.961-290.652-190.101-102.938-42.408-961.002-809.562-886.372-589.053-577.403-467.89944.098-21.489-329.766-471.861-74.5-377.3-380.7-167.2-206.3-86.3-92.1-16.8-16.8-66.2
Kasstroom uit Investeringsactiviteiten 1,629.332-809.215-1,535.583-210.086-2,499.48-893.346-740.717-1,135.331-1,037.616-818.027-275.448-598.747-320.14-232.188145.949-582.888-501.527-1,078.621-1,126.491-590.43184.916-825.855-604.445-323.148-287.396-445.958-385.9-432.1-358.7-201-133-45.3-99.6-54.7-54.7-60.6
Financieringsactiviteiten:
Schuldaflossingen -2,119.939-384.4311,548.374-923.315157.31317.40887.088184.30522.898-24.357-673.418379.561125.47-156.654-616.186-1,140.854-475.511,041.089561.462255.837-357.354690.604310.612-148.79532.674355.793230.37.4107.4-50.6104.844.78.9-39.9-39.913.1
Uitgifte van Gewone Aandelen 270.5823.167.8767.4377.3756.3626.7358.53816.16710.6078.2019.9367.0056.835231.517.41913.1777.3689.07410.7229.619000000000000000
Terugkoop van Gewone Aandelen -30.348-77.0560-43.909-39.748-111.457-95.3080-18.545-50-195.255-90.927-20.3590000-18.227-20.193-85.168-78.966-5.85200000000000000
Uitgekeerde Dividenden -131.698-115.738-116.009-112.028-90.956-92.33-89.654-80.368-69.382-65.361-64.028-46.525-71.972-33.917-35.003-58.913-103.976-103.122-98.022-85.495-74.802-64.628-58.954-51.486-45.741-41.856-33.9-29.8-26.6-19.8-15.4-12.7-10.5-9.4-9.4-6.3
Overige Financieringsactiviteiten 479.667888.085-1,456.142734.2923,638.1721,017.754578.627784.668881.511764.43876.7387.325-50.814138.374-96.6331,545.998822.971-126.913459.477436.094119.05551.905258.724476.18190.09-15.196174.4346.2226.8210.18.2-50.3104.283.983.917.1
Kasstroom uit Financieringsactiviteiten -1,531.736314.02-15.901-337.5233,672.156837.737487.488897.143832.649635.901-48.099259.37-10.67-45.362-516.312353.65256.662800.195911.798531.99-382.448624.034467.987292.694182.123303.041367.2324.3306.2137.495.5-17.610339.139.124
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 000000000000000000000000000000000000
Netto Kasstroomverandering 514.161-132.211-956.693-209.2181,330.04172.10443.59149.5721.106-4.582-112.838-37.76-36.29893.644-85.554-46.656-50.11926.265-13.02589.978-22.901-13.891-41.68273.95316.417-5.62839.3-2.7-197.9-169.2-131.7-139.9-105.7-97.8-97.8-78.3
Kaspositie aan het Einde van de Periode 1,063.871549.71681.9211,638.6141,847.832517.791445.687402.096352.526101.12105.702218.54256.3292.598198.954284.508331.164381.283355.018368.043278.065300.966314.857356.539282.586266.169247.6208.3370218.9227.2122.3208.7136.9136.9102.3