Old National Bancorp

NASDAQ:ONB

22.16 (USD) • At close July 1, 2025
Overzicht | Financiële gegevens

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,227.9681,174.758728.412822.019589.712276.337317.165290.432255.519219.818239.963206.723264.06222.872251.552144.156162.893255.192210.303245.364204.678222.385236.226224.663202.6210.255181.8168.7187.1261.1248.5237.1261.8227.5226.6214.5
Kortetermijnbeleggingen 7,458.4596,713.0556,773.7127,382.0665,970.1155,385.0914,123.4163,196.2072,797.1742,418.2212,627.8312,372.2012,500.7842,071.2760000000000000000000000
Liquide middelen en kortetermijnbeleggingen 8,686.4277,888.1137,502.1248,204.0856,559.8275,619.8574,440.5813,486.6393,052.6932,638.0392,867.7942,562.8072,764.8442,294.148251.552144.156162.893255.192210.303245.364204.678222.385236.226224.663202.6210.255181.8168.7187.1261.1248.5237.1261.8227.5226.6214.5
Nettovorderingen 00190.52184.10985.30685.12389.46487.10281.38169.09860.96650.20546.97944.80142.97149.3449.0350.27753.34455.65857.087350.65859.10164.70571.495450.348.647.145.133.528.326.524.627.926
Voorraad 000000000000000000000000000000000000
Overige vlottende activa 000000000000000000000000000000000000
Totaal vlottende activa 8,686.4277,888.1137,692.6458,288.1946,645.1335,746.5514,530.0453,573.7413,134.0742,707.1372,928.762,629.1292,811.8232,338.949294.523193.496211.923305.469263.647301.022261.765573.043295.327289.368274.09264.255232.1215.7234.2306.2282265.4288.3252.1254.5240.5
Niet-vlottende activa:
Materiële vaste activa, netto 588.97565.396557.307545.746540.605586.402485.912458.074429.622196.676135.892108.30689.86871.8748.77552.39944.62548.652122.865199.878212.787181.398134.914120.873131.79393.384.678.378.272.461.955.837.528.328.322.1
Goodwill 2,175.2511,998.7161,998.7161,036.9941,036.9941,036.9941,036.258828.051655.018584.634530.845352.729338.82253.177167.884167.884159.198159.198113.35113.275129.947000000000000000
Immateriële activa 120.847102.25126.40534.67846.01460.105101.51377.75763.23845.77638.69425.95729.2233.62426.17832.30727.62831.77820.81323.0653.734000000000000000
Goodwill en immateriële activa 2,296.0982,100.9662,125.1211,071.6721,083.0081,097.0991,137.771905.808718.256630.41569.539378.686368.04286.801194.062200.191186.826190.976134.163136.335168.815171.163137.690000000000000
Langetermijnbeleggingen 38,974.72535,810.18833,973.5513,529.96313,718.34112,109.80312,712.92911,776.9139,802.4467,787.7727,337.0235,815.3145,572.2975,215.1226,273.3936,720.9566,937.1066,914.2726,990.2267,358.7587,877.1068,422.9698,759.6918,306.9988,099.5927,487.1275,9395,2514,993.84,388.13,754.72,158.91,820.22,3861,605.81,269.4
Belastingvorderingen 0000029.70587.048110.857181.863109.98400000000000000000000000000
Overige niet-vlottende activa 3,006.0522,725.1732,414.7491,017.989973.535842.107774.73692.899593.976559.548674.837650.309701.595696.941453.139838.293493.41386.757638.614496.029377.83114.659284.934363.234262.273241.33160.9143.560.455.953.51,234.41,046.429.3755.3652
Totaal niet-vlottende activa 44,865.84541,201.72339,070.72716,165.3716,315.48914,665.11615,198.3913,944.55111,726.1639,284.398,717.2916,952.6156,731.86,270.7346,969.3697,811.8397,661.9677,540.6577,885.8688,1918,615.8888,790.1899,317.2298,791.1058,493.6587,821.7576,184.55,472.55,132.44,516.43,870.13,449.12,904.12,443.62,389.41,943.5
Totaal activa 53,552.27249,089.83646,763.37224,453.56422,960.62220,411.66719,728.43517,518.29214,860.23711,991.52711,647.69,581.7449,543.6238,609.6837,263.8928,005.3357,873.897,846.1268,149.5158,492.0228,898.3049,363.2329,612.5569,080.4738,767.7488,086.0126,416.65,686.45,366.64,822.64,152.13,714.53,192.42,695.72,643.92,184
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 000000000000000000000000000000000000
Kortlopende schulden 269.36285.5961,014.293392.551432.332678.196632.429719.843580.055728.499601.309512.332639.815474.849298.232331.144649.623638.247312.911302.765347.353414.588918.349685.312559.823679.459506.3442.7499.7280.3411.9243.2248.5262.6234.4200.6
Belastingschulden 000000000000000000000000000000000000
Uitgestelde opbrengsten 000000000000000000000000000000000000
Overige kortlopende verplichtingen 40,823.5638,195.78936,048.46318,790.0717,224.81414,714.98614,545.07212,785.69110,893.7348,580.1118,710.3767,400.3847,521.756,860.5045,664.9446,131.3065,658.5355,898.2766,321.4946,465.6366,418.7096,493.0926,439.286,616.446,583.9065,962.0694,668.94,298.84,2683,973.73,268.83,045.52,601.52,1482,128.21,732.5
Totaal kortlopende verplichtingen 41,092.9238,481.38537,062.75619,182.62117,657.14615,393.18215,177.50113,505.53411,473.7899,308.619,311.6857,912.7168,161.5657,335.3535,963.1766,462.456,308.1586,536.5236,634.4056,768.4016,766.0626,907.687,357.6297,301.7527,143.7296,641.5285,175.24,741.54,767.74,2543,680.73,288.72,8502,410.62,362.61,933.1
Langlopende verplichtingen:
Langetermijnschulden 5,142.1775,045.5514,572.0212,258.9252,330.822,166.0321,861.3641,858.3611,572.0311,241.747868.602506.388187.493240.774421.911699.059828.827656.722747.545954.9251,312.6611,624.0921,247.8571,000.046863.165768.055629.9388.874.681.57076.651.854.554.755.1
Uitgestelde opbrengsten niet-vlottend 000000000000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 000000000000000000000000000000000000
Overige niet-vlottende verplichtingen 976.82500000000-5000000000125.196118.798120.819115.97116.3689.4484.51391.43491.980.765.85935.533.629.925.928.621.5
Totaal niet-vlottende verplichtingen 6,119.0025,045.5514,572.0212,258.9252,330.822,166.0321,861.3641,858.3611,572.0311,191.747868.602506.388187.493240.774421.911699.059834.867656.722872.7411,073.7231,433.481,740.0621,364.2171,089.486947.678859.489721.8469.5140.4140.5105.5110.281.780.483.376.6
Totaal passiva 47,211.92243,526.93641,634.77721,441.54619,987.96617,559.21417,038.86515,363.89513,045.8210,500.35710,181.7878,419.1048,349.0587,576.1276,385.0877,161.5097,143.0257,193.2457,507.1467,842.1248,195.0968,647.7428,721.8468,391.2388,091.4077,501.0175,8975,2114,908.14,394.53,786.23,398.92,931.72,4912,445.92,009.7
Eigen vermogen:
Preferente aandelen 230.5230.5230.5000000000000097.3580000000000000000000
Gewone aandelen 318.98292.655292.903165.838165.367169.616175.141152.04135.159114.297116.84799.859101.17994.65487.18387.18266.32166.20566.50367.64969.28766.57563.85661.17460.31156.51830.4000000000
Ingehouden winsten 1,966.0481,618.631,217.349968.01783.892682.185527.684413.13390.292323.759262.18206.993146.66789.86544.01830.23550.81534.34635.87312.074053.10796.65291.062106.809162.384119.9133.2158.3147.4130.3105.395.273.775.764.6
Overige gereserveerde algehele resultaten -746.043-738.809-786.422-2.375147.77156.207-44.95-50.272-59.372-34.797-31.555-44.46629.80115.004-1.269-20.366-53.504-11.345-25.113-21.7554.34414.58451.82314.5321.954-29.32119.116.57.910.3-6.5000-0.8-0.8
Overige totale aandeelhoudersvermogen 4,570.8654,159.9244,174.2651,880.5451,875.6261,944.4452,031.6951,639.4991,348.3381,087.9111,118.292900.254916.918834.033748.873746.775569.875563.675565.106591.93629.577581.224528.379472.467457.267395.414350.2327.5292.3270.4242.1210.3165.5131123.1110.5
Totaal eigen vermogen van aandeelhouders 6,340.355,562.95,128.5953,012.0182,972.6562,852.4532,689.572,154.3971,814.4171,491.171,465.7641,162.641,194.5651,033.556878.805843.826730.865652.881642.369649.898703.208715.49740.71639.235626.341584.995519.6477.2458.5428.1365.9315.6260.7204.7198174.3
Totaal eigen vermogen 6,340.355,562.95,128.5953,012.0182,972.6562,852.4532,689.572,154.3971,814.4171,491.171,465.7641,162.641,194.5651,033.556878.805843.826730.865652.881642.369649.898703.208715.49890.71689.235676.341584.995519.6477.2458.5428.1365.9315.6260.7204.7198174.3
Totaal passiva en aandeelhoudersvermogen 53,552.27249,089.83646,763.37224,453.56422,960.62220,411.66719,728.43517,518.29214,860.23711,991.52711,647.69,581.7449,543.6238,609.6837,263.8928,005.3357,873.897,846.1268,149.5158,492.0228,898.3049,363.2329,612.5569,080.4738,767.7488,086.0126,416.65,686.45,366.64,822.64,152.13,714.53,192.42,695.72,643.92,184