Glacier Bancorp, Inc.

NYSE:GBCI

50.45 (USD) • At close December 20, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,354.342401.995437.686633.142330.961203.79200.004152.541187.173441.384145.13187.04128.032104.859123.42128.775227.474166.892127.15792.30786.1479.37797.42651.78647.77736.726.527.116.111.716.41410.2
Kortetermijnbeleggingen 4,785.7195,307.3079,170.8495,337.8142,575.2522,571.6631,778.2432,425.4772,610.762,387.4283,222.8293,683.0053,126.7432,461.1190000001,050.311739.9610.3210000000000
Liquide middelen en kortetermijnbeleggingen 1,354.3425,709.3029,608.5355,970.9562,906.2132,775.4531,978.2472,578.0182,797.9332,828.8123,367.9593,870.045128.032104.859123.42128.775227.474166.892127.15792.30786.1479.37797.42651.78647.77736.726.527.116.111.716.41410.2
Nettovorderingen 083.53876.67375.49756.04754.40844.46245.83244.52440.58741.89837.7734.96130.24629.72928.77726.16825.72919.92315.63714.94113.42112.4096.6375.1124.13.83.52.621.61.81.5
Voorraad 0-485.565-514.377-710.383-392.150000000000000000000000000000
Overige vlottende activa 000005,807.8184,857.8573,364.4512,557.2252,156.034892.583269.9253,575.223,853.5554,231.1354,112.6123,585.3513,192.7722,424.2281,768.9231,492.1741,361.3591,975.519966.78802.799607.1537502.600000
Totaal vlottende activa 1,354.3425,792.849,685.2086,046.4532,962.268,637.6796,880.5665,988.3015,399.6825,025.4334,302.443,744.363,738.2133,988.664,384.2844,270.1643,838.9933,385.3932,571.3081,876.8671,593.2551,454.1572,085.3541,025.203855.688647.9567.3533.218.713.71815.811.7
Niet-vlottende activa:
Materiële vaste activa, netto 421.791398.1372.597325.335310.309241.528177.348176.198194.03179.175167.671158.989158.872152.492140.921133.949123.749112.24379.95255.73253.25147.21551.15925.01621.39416.211.711.37.56.86.15.73.2
Goodwill 985.393985.393985.393514.013456.418289.586177.811147.053140.638129.706129.706106.1106.1146.259146.2590000036.95133.1892.1660000000000
Immateriële activa 31.8741.60152.25955.50963.28649.24214.18412.34714.55510.99.5126.1748.28410.75713.937000005.8656.82239.6050000000000
Goodwill en immateriële activa 1,017.2631,026.9941,037.652569.522519.704338.828191.995159.4155.193140.606139.218112.274114.384157.016160.196159.765154.264144.46687.11442.31542.81640.01141.7716.4937.0352.61.41.500000
Langetermijnbeleggingen 8,300.8859,104.37410,380.0335,537.6732,811.4862,897.4492,456.443,126.7013,340.3272,961.2933,275.0213,731.8173,176.4372,461.1191,506.394990.092700.324825.637967.971,035.8231,050.311739.961508.578211.888191.38598.1104.3105.572.953.641.354.241.9
Belastingvorderingen -8,316.389193.18727.69382.0822.03723.56438.34467.12158.47541.73743.54920.39431.08140.2840000000000000000000
Overige niet-vlottende activa 16,614.844-193.187-27.693-82.082-2.037-23.564-38.344-67.121-58.475-41.737-43.549-20.394-31.081-40.28400000000-601.115-211.888-191.385-98.1-104.3-105.5-80.4-60.4-47.4-59.9-45.1
Totaal niet-vlottende activa 26,354.78310,529.46811,790.2826,432.533,641.4993,477.8052,825.7833,462.2993,689.553,281.0743,581.914,003.083,449.6932,770.6271,807.5111,283.806978.3371,082.3461,135.0361,133.871,146.378827.1870.39331.50928.42918.813.112.880.460.447.459.945.1
Totaal activa 27,742.62926,635.37525,940.64518,504.20613,683.99912,115.4849,706.3499,450.69,089.2328,306.5077,884.357,747.447,187.9066,759.2876,191.7955,553.974,817.334,467.7393,706.3443,010.7372,739.6332,281.3442,085.7471,056.712884.117666.7580.4546388.1339.8288268.1197.2
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 125.9074.3312.4093.3054.6864.2523.453.5843.5174.1553.5054.6755.8257.2457.9289.75113.28111.0417.4374.8644.3536.099.1794.5912.7172.2781.80.70.50.30.30.30.4
Kortlopende schulden 000000000000020.00513.7458.368223.58168.77402.191818.933777.294483.66367.295196.791208.6526.4141.973.465.682.554.736.80
Belastingschulden 0810.0090000000000000000000000000000001.1
Uitgestelde opbrengsten 0-2,748.565-1,023.858-1,006.026-599.221-677.838-560.084-511.3370000000000000000000000000
Overige kortlopende verplichtingen -125.907-814.34-2.409-3.305-4.686-4.252-3.45-3.584-3.517-4.155-3.505-4.675-5.825-27.25-21.673-18.119-236.861-179.811-409.628-823.797-781.647-489.75-376.474-201.382-33.749-28.678-3-74.1-66.1-82.800-1.1
Totaal kortlopende verplichtingen 04.3312.4093.3054.6864.2523.453.5843.5174.1553.5054.67515.8227.2521.6739.751236.861179.811409.628823.797781.647489.751,874959177.61828.7140.774.166.182.85537.10.4
Langlopende verplichtingen:
Langetermijnschulden 252.0322,010.075176.714173.027207.345588.934488.354382.18526.581335.981974.1311,132.4631,204.3161,090.273915.355459.493657.508426.081272.69285.0578.01815.0871.064.6526.8481007.975.155.10000.6
Uitgestelde opbrengsten niet-vlottend 0-59.323111.6560140.884-157.42-97.577-130.003000000000000766.26466.03400000000000
Uitgestelde belastingverplichtingen niet-vlottend 059.32365.05823.8666.46136.64220.95924.3810000000000007.3698.62900000000000
Overige niet-vlottende verplichtingen 24,344.40921,781.99500010,010.6968,018.9387,951.551093.9790-1,132.463-1,204.316-1,090.273-915.355-459.493-657.508-426.081-272.692-85.057-8.018-15.087-1.06-4.652-6.848-100-7.9-75.1-55.1000-0.6
Totaal niet-vlottende verplichtingen 24,596.4414.331176.714196.887207.345588.934488.354382.18526.581429.96974.1311,132.4631,194.3211,090.273915.355467.861657.508422.522272.69285.0578.01815.087354.65226.52695.37.775.155.182.85537.10.6
Totaal passiva 24,722.34823,792.0722,763.02316,197.16511,723.26610,599.638,507.2928,333.7318,012.5827,278.466,921.16,846.4916,337.6795,921.0835,505.9054,877.034,288.7544,011.5963,373.1052,740.5532,501.7942,069.0951,908.764958.261804.996591.5520.3493.7349.8306.1257.5241.6174.8
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000000
Gewone aandelen 1.1091.1081.1070.9540.9230.8450.780.7650.7610.750.7440.7190.7190.7190.6160.6130.5360.5230.3220.2450.1940.1730.1690.1140.09600000000
Ingehouden winsten 1,043.181966.984810.342667.944541.05473.183402.259374.379337.532301.197261.943210.531173.139193.063188.129185.776150.195108.28669.71336.3918.39328.5577.687-4.0872.62216.12418.415.416.817.718.418.3
Overige gereserveerde algehele resultaten -374.113-468.79227.359143.0940.226-9.427-1.979-7.3821.98917.7449.64547.96233.4870.528-0.348-1.2433.1173.0690.8215.9346.61610.1111.7560.258-5.0980000.7-0.5000
Overige totale aandeelhoudersvermogen 2,350.1042,344.0052,338.8141,495.0531,378.5341,051.253797.997749.107736.368708.356690.918641.737642.882643.894497.493491.794374.728344.265262.383227.552222.636173.408167.371101.82881.14457.19435.633.521.716.912.37.54.1
Totaal eigen vermogen van aandeelhouders 3,020.2812,843.3053,177.6222,307.0411,960.7331,515.8541,199.0571,116.8691,076.651,028.047963.25900.949850.227838.204685.89676.94528.576456.143333.239270.184237.839212.249176.98398.11378.81374.959.651.937.833.23025.922.4
Totaal eigen vermogen 3,020.2812,843.3053,177.6222,307.0411,960.7331,515.8541,199.0571,116.8691,076.651,028.047963.25900.949850.227838.204685.89676.94528.576456.143333.239270.184237.839212.249176.98398.45179.12175.260.152.338.333.730.526.522.4
Totaal passiva en aandeelhoudersvermogen 27,742.62926,635.37525,940.64518,504.20613,683.99912,115.4849,706.3499,450.69,089.2328,306.5077,884.357,747.447,187.9066,759.2876,191.7955,553.974,817.334,467.7393,706.3443,010.7372,739.6332,281.3442,085.7471,056.712884.117666.7580.4546388.1339.8288268.1197.2