Glacier Bancorp, Inc.

NYSE:GBCI

46.37 (USD) • At close July 2, 2025
Overview | Financials

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

2024202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991
Operationele Activiteiten:
Nettowinst 190.144222.927303.202284.757266.4210.544181.878116.377121.131116.127112.75595.64475.51617.47142.3334.37465.65768.60361.13152.37344.61638.00832.40221.68914.00312.35211.37510.2368.285.15.14.12.9
Afschrijvingen & Amortisatie 41.66437.14336.48832.03930.7927.07722.28917.25218.26417.32914.91912.88612.72512.91613.98813.56614.26514.44713.62315.66516.90419.88611.25710.1293.0192.3841.5651.3611.11.30.90.80.30.2
Uitgestelde Inkomstenbelasting 2.6080.5072.177-9.095-6.863-0.3566.86125.887-0.082-4.085.9314.6330.837-13.3080.138-29.755-11.0321.569-0.931-2.2040.2840.7211.4660.593-0.139-0.207-0.099-0.317-0.10-0.30.60.6-0.1
Aandelen Gebaseerde Vergoedingen 5.6945.9295.3664.3493.6297.4753.1222.9521.8441.6950.8591.0110.2540.0450.9321.8631.68600000000000000000
Verandering in Werkkapitaal -86.97192.333-19.88112.672-34.2567.5439.619-1.088-1.1932.0761.0349.1654.05310.5456.714-32.611-3.15711.569-1.4098.2731.1081.379-7.262-20.540.667-1.0011.9-7.432.92.7-0.4-0.4-0.30.1
Vorderingen 0.877-10.989-6.8655.118-17.6631.899-2.7412.466-1.144-2.3772.648-0.265-2.809-4.71500000000000000000000
Voorraden 0000000000000000000000000000000000
Crediteuren -93.693121.5761.922-1.222-1.5070.3120.357-0.1350.06-0.8280.567-1.354-1.15-1.42-0.683-2.241-5.79100000000000000000
Overig Werkkapitaal 5.845-18.254-14.9388.776-15.0865.33212.003-3.419-0.1095.281-2.18110.7848.01716.687.397-30.372.63411.569-1.4098.2731.1081.379-7.262-20.540.667-1.0011.9-7.432.92.7-0.4-0.4-0.30.1
Overige Niet-Contante Posten 104.898141.716143.308247.327-70.155-25.63456.94293.36153.12343.62447.236210.75690.403159.174129.841109.37319.796-7.728-4.6922.8776.87835.292-21.247-39.85520.69623.2413.75512.23-100.2-0.4-1.11
Kasstroom uit Operationele Activiteiten 258.037500.715470.66572.049189.545226.649280.711254.741193.087176.771182.734334.095183.793186.843193.94396.73787.06688.4667.72276.98469.7995.28616.616-27.98438.24636.76918.49616.0811.1125.55.73.64.1
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -48.277-49.534-33.763-9.436-11.717-16.398-18.637-10.128-8.306-18.224-14.389-8.977-10.73-17.492-22.652-11.859-15.336-18.033-22.241-17.359-7.032-7.579-0.828-53.131-3.307-5.799-4.791-2.135-2.2-1.3-1.3-0.8-0.5-0.3
Netto Overnames 107.684001,622.71743.71362.985101.268-4.0916.70121.427-2.11226.155000002.10743.0866.26514.524-0.2430109.0420-4.739-0.2360.371000000
Aankoop van Beleggingen -352.892-585.323-1,474.006-6,560.501-3,338.399-1,321.828-946.264-122.149-660.524-1,180.191-331.023-1,426.262-2,638.054-1,730.244-1,666.17-768.045-591.191-92.569-59.462-166.896-318.417-716.427-433.283-299.355-27.81-144.64-38.925-40.944-74-49.5-36.8-13.5-13.421.9
Verkoop/verval van Beleggingen 1,201.1381,492.3432,005.8891,506.222868.2321,601.217748.771788.24823.836860.209807.3411,864.9172,042.3041,039.865700.182352.525280.051273.323223.064419.524317.273389.4206.554183.75234.04251.17747.91742.60159.328.218.624.912.2-36.7
Overige Investeringsactiviteiten -414.512-1,064.978-1,849.902-465.703-1,125.525-368.658-757.558-628.217-583.02-364.535-300.924-306.59626.834178.775166.13463.696-380.682-376.749-416.186-406.05-278.092-119.03140.51278.415-107.881-117.186-50.304-52.344-43.3-36-37-28.6-180
Kasstroom uit Investeringsactiviteiten 493.141-207.492-1,351.782-3,906.701-3,563.696-42.682-872.4223.655-421.313-681.314158.893149.237-579.646-529.096-822.506-363.683-707.158-211.921-231.739-164.516-271.744-453.88-187.04518.723-104.956-221.187-46.339-52.451-60.2-58.6-56.5-18-19.7-15.1
Financieringsactiviteiten:
Schuldaflossingen -997.203943.3271,809.123.526-38.025-392.05178.74382.792-146.08894.486-544.171-163.8-71.853103.905174.774451.345-216.45294.062-53.72-203.539102.868297.327144.0121.733-8.94490.498-33.0277.55617.824.327.8183.413
Uitgifte van Gewone Aandelen 000.140.2650.9932.896046.67310.4650.01715.12700002.554103.7496.15436.4035.1585.4390000000000000
Terugkoop van Gewone Aandelen 0-1.795-1.704-1.553-1.082-1.293-1.214-1.531308.0780524.97500000000000000000000000
Uitgekeerde Dividenden -150.034-146.69-157.54-145.557-131.263-124.468-85.493-111.72-84.04-79.456-50.944-44.232-47.472-37.395-37.396-32.021-29.079-26.694-22.563-19.059-16.627-14.587-11.532-9.915-6.904-5.923-4.237-3.369-2.3-2-1.6-1.4-1-1
Overige Financieringsactiviteiten -109.875-137.513-806.1493,281.2273,815.62459.723603.459-202.005417.642240.902540.24-306.683574.186298.684385.701-77.058669.369-95.469244.305346.569116.94377.94313.85953.54181.87899.26359.58633.235.933.220-2.317.21.7
Kasstroom uit Financieringsactiviteiten -1,257.112659.124845.4313,139.1963,676.332-56.796595.495-230.933187.514255.387-54.875-514.715454.861365.194523.079342.266527.589178.053204.425129.137206.818365.357152.3854.90166.131184.91123.89538.94151.95546.314.720.113.7
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0000000000000000000000000000000000
Netto Kasstroomverandering -505.934952.347-35.691-195.456302.181127.1713.78647.463-40.712-249.156286.752-31.38359.00822.941-105.48475.32-92.35454.59240.40841.6054.8646.763-18.04945.64-0.5790.493-3.9482.57-28.6-16.9-16.4-14-10-7.4
Kaspositie aan het Einde van de Periode 848.4081,354.342401.995437.686633.142330.961203.79200.004152.541193.253442.409155.657187.04128.032104.859210.575135.255227.609173.017132.60991.00486.1479.37797.42651.78652.36551.30438.68527.116.111.716.41410.1