United Bankshares, Inc.

NASDAQ:UBSI

37.56 (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 2,290.9761,597.7731,175.5733,757.2432,208.245836.6731,019.5931,665.3781,433.802856.613752.343415.898431.056634.994460.671449.05205.082213.145240.444198.81153.465243.686175.363157.594143.685159.8141.319089.578.982.860.9122.777.870.765.8
Kortetermijnbeleggingen 261.4583,786.3774,541.9254,042.6992,953.3592,437.2962,337.0391,888.7561,259.2141,066.3341,180.386775.284625.625696.5180000000000000000000000
Liquide middelen en kortetermijnbeleggingen 2,552.4345,384.155,717.4987,799.9425,161.6043,273.9693,356.6323,554.1342,693.0161,922.9471,932.7291,191.1821,056.6811,331.512460.671449.05205.082213.145240.444198.81153.465243.686175.363157.594143.685159.8141.319089.578.982.860.9122.777.870.765.8
Nettovorderingen 102.412111.4294.8964.51266.83258.08560.59752.81539.435.80132.33426.66626.30226.46123.56427.15831.81638.23834.50832.02727.37126.67927.57732.0123636.430.423.913.51210.910.510.59.711.811.1
Voorraad 000000000000000000000000000000000000
Overige vlottende activa 000000000000000000000000000000000000
Totaal vlottende activa 2,654.8465,495.575,812.3887,865.3815,229.2593,332.8743,417.2293,606.9492,732.4161,958.7481,965.0631,217.8481,082.9831,357.973484.235476.208236.898251.383274.952230.837180.836270.365202.94189.606179.685196.2171.7213.910390.993.771.4133.287.582.576.9
Niet-vlottende activa:
Materiële vaste activa, netto 267.873277.506270.305279.162245.344154.42795.245104.89575.90973.08977.5269.89772.1776.44255.37857.52758.5661.6838.11139.62641.56444.10248.92348.39444.48148.754.955.433.630.630.831.125.520.921.420.4
Goodwill 1,888.8891,888.8891,888.8891,886.4941,796.8481,478.0141,478.0141,478.38863.767710.252709.794375.547375.583375.626311.765312.069312.263312.111167.421167.487166.926169.65590.4160000000000000
Immateriële activa 04.55421.02223.14420.9550000000000000000000000000000000
Goodwill en immateriële activa 1,888.8891,893.4431,928.8081,909.6381,817.8031,478.0141,478.0141,478.38863.767710.252709.794375.547375.583375.626314.705312.069312.263312.111167.421167.487166.926169.65500000000000000
Langetermijnbeleggingen 24,443.84721,495.48520,710.97818,565.09818,307.34514,255.08713,802.05313,383.63810,421.2359,456.8839,173.4576,748.6796,559.0546,288.5065,988.8776,641.167,245.3517,139.0626,040.6296,110.9815,889.3345,425.9535,393.9825,252.2674,601.1274,720.94,261.23,762.22,157.61,663.51,637.91,592.21,362.51,068.91,076.5987.3
Belastingvorderingen 000000000000000000000000000000000000
Overige niet-vlottende activa 768.09764.478785.798710.55585.319442.742457.957485.097415.565378.972402.977323.353330.223352.923315.464318.137249.019230.503196.485179.561157.311477.655146.174141.50879.254103.3680.163.332.730.425.225.526.411.813.414.1
Totaal niet-vlottende activa 27,368.69924,430.91223,676.99221,464.44820,955.81116,330.2715,833.26915,452.0111,776.47610,619.19610,363.7487,517.4767,337.037,093.4976,671.4847,328.8937,865.1937,743.3566,442.6466,497.6556,255.1356,117.3655,589.0795,442.1694,724.8624,872.964,396.23,880.92,223.91,724.51,693.91,648.81,414.41,101.61,111.31,021.8
Totaal activa 30,023.54529,926.48229,489.3829,328.90226,184.24719,662.32419,250.49819,058.95914,508.89212,577.94412,328.8118,735.3248,420.0138,451.477,155.7197,805.1018,102.0917,994.7396,717.5986,728.4926,435.9716,378.9995,792.0195,631.7754,904.5475,069.24,567.94,094.82,326.91,815.41,787.61,720.21,547.61,189.11,193.81,098.7
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 000000000000000000000000000000000000
Kortlopende schulden 176.09196.095160.698128.844142.3124.654176.327327.587259.551363.891487.995215.754214.962254.766193.214222.944566.32602.063562.266591.425681.958661.942568.453521.627329.069398.2354230.775.682.271.872.668.161.57358.7
Belastingschulden 000000000000000000000000000000000000
Uitgestelde opbrengsten 000000000000000000000000000000000000
Overige kortlopende verplichtingen 23,961.85923,031.77522,492.33423,545.89120,787.49514,022.73314,147.05513,976.18610,890.5249,426.0969,130.1676,684.9986,826.2186,880.6415,781.0296,046.5155,732.2655,415.0274,828.1924,617.4524,297.5634,138.4873,900.8483,787.7933,391.4493,2613,493.13,185.91,827.51,473.31,434.91,430.51,286.51,004.81,002.1934.8
Totaal kortlopende verplichtingen 24,137.94923,228.54822,653.59323,674.73520,929.79514,147.38714,323.38214,303.77311,150.0759,789.9879,618.1626,900.7527,041.187,135.4075,974.2436,269.4596,298.5856,017.095,390.4585,208.8774,979.5214,800.4294,469.3014,309.423,720.5183,659.23,847.13,416.61,903.11,555.51,506.71,503.11,354.61,066.31,075.1993.5
Langlopende verplichtingen:
Langetermijnschulden 627.1911,881.9882,273.405904.097937.5822,149.3711,674.1031,513.9771,122.0261,074.3861,052.971790.697384.926345.366386.458771.9351,064.6851,208.162619.2812.731758.755609.663713.669750.756711.159953.3240.9230.8132.633.98432.228.1000
Uitgestelde opbrengsten niet-vlottend 000000000000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 000000000000000000000000000000000000
Overige niet-vlottende verplichtingen 265.18244.70646.18931.44219.251.7331.3890.6791.0440.9361.5182.1431.6561.8532.0062.1572.1098.28873.84871.67966.188362.44767.5165.074260.7658.451.332.724.817.213.914.810.21210.2
Totaal niet-vlottende verplichtingen 892.3731,926.6942,319.594935.539956.8322,151.1041,674.1031,513.9771,122.0261,074.3861,052.971790.697384.926345.366386.458771.9351,064.6851,208.162693.048884.41824.943972.11781.179815.826753.1591,014.06299.3282.1165.358.7101.246.142.910.21210.2
Totaal passiva 25,030.32225,155.24224,973.18724,610.27421,886.62716,298.49115,998.87415,818.42912,273.14510,865.30910,672.6517,693.5927,427.7627,482.6266,362.7077,043.5517,365.3797,233.546,083.5066,093.2875,804.4645,763.8085,250.485,125.2464,473.6774,673.34,146.43,698.72,068.41,614.21,607.91,549.21,397.51,076.51,087.11,003.7
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000000000
Gewone aandelen 356.737355.644355.029353.402334.523263.736263.098262.675202.671174.067173.286127.169127.169127.169110.798110.798110.802110.802110.802110.802110.802110.802108.454108.454108.454108.50000000000
Ingehouden winsten 1,917.7261,745.6191,575.4261,390.7771,205.3951,132.5791,013.037891.816872.99824.603776.311734.945712.299692.043673.26653.613637.152602.185559.257515.227459.393405.859369.122320.577278.682255220.1204.8183.5135.6121.310991.576.170.163.1
Overige gereserveerde algehele resultaten -223.903-259.681-332.732-4.88822.37-34.869-57.019-42.025-44.717-38.212-35.764-43.047-65.748-66.758-60.656-68.383-76.151-12.48-15.791-10.5513.7396.51213.064.351-4.964-32.24.96.311.3-0.40-0.5-0.1-0.9-0.7
Overige totale aandeelhoudersvermogen 2,942.6632,929.6582,918.472,979.3372,735.3322,002.3872,032.5082,128.0641,204.803752.177742.327222.665218.531216.3969.6165.52264.90960.692-20.17619.72757.57392.01850.90373.14748.69864.6196.51857464.358.86259.136.637.532.6
Totaal eigen vermogen van aandeelhouders 4,993.2234,771.244,516.1934,718.6284,297.623,363.8333,251.6243,240.532,235.7471,712.6351,656.161,041.732992.251968.844793.012761.55736.712761.199634.092635.205631.507615.191541.539506.529430.87395.9421.5396.1258.5201.2179.7171150.1112.6106.795
Totaal eigen vermogen 4,993.2234,771.244,516.1934,718.6284,297.623,363.8333,251.6243,240.532,235.7471,712.6351,656.161,041.732992.251968.844793.012761.55736.712761.199634.092635.205631.507615.191541.539506.529430.87395.9421.5396.1258.5201.2179.7171150.1112.6106.795
Totaal passiva en aandeelhoudersvermogen 30,023.54529,926.48229,489.3829,328.90226,184.24719,662.32419,250.49819,058.95914,508.89212,577.94412,328.8118,735.3248,420.0138,451.477,155.7197,805.1018,102.0917,994.7396,717.5986,728.4926,435.9716,378.9995,792.0195,631.7754,904.5475,069.24,567.94,094.82,326.91,815.41,787.61,720.21,547.61,189.11,193.81,098.7