United Bankshares, Inc.

NASDAQ:UBSI

37.57 (USD) • At close September 18, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,597.7731,176.6523,758.172,209.068837.4931,020.3961,666.1671,434.527857.335753.064416.617432.077636.003461.389449.767205.082213.145240.444198.81153.465249.509175.363157.594143.685159.8141.390.289.578.982.860.9122.777.870.765.8
Kortetermijnbeleggingen 3,786.3774,541.9254,042.6992,953.3592,437.2962,337.0391,888.7561,259.2141,066.3341,180.386775.284625.625696.51874.40377.7221,097.0431,156.5611,063.1741,274.6211,277.161,266.6351,022.3140000000000000
Liquide middelen en kortetermijnbeleggingen -1,598.9435,718.5777,800.8695,162.4273,274.7893,356.6323,554.1342,693.0161,922.9471,932.7291,191.1821,056.681634.994535.074526.772205.082213.145240.444198.81153.465249.509175.363157.594143.685159.8141.390.289.578.982.860.9122.777.870.765.8
Nettovorderingen 111.4294.8964.51266.83258.08560.59752.81539.435.80132.33426.66626.30226.46123.56427.15831.81638.23834.50832.02727.37127.09827.57732.0123636.430.41613.51210.910.510.59.711.811.1
Voorraad 1,487.5230-3,837.505-2,298.495-911.093000000000000000000000000000000
Overige vlottende activa 1,712.978-1.0793,837.5052,298.495911.09311,716.28311,797.099,433.1628,631.6738,260.3946,182.696,159.8756,517.6615,435.2235,914.6556,202.5485,974.8014,961.6444,788.5764,536.2034,375.77300000000000000
Totaal vlottende activa 1,712.9785,812.3887,865.3815,229.2593,332.87415,133.51215,404.03912,165.57810,590.42110,225.4577,400.5387,242.8587,179.1165,993.8616,468.5856,439.4466,226.1845,236.5965,019.4134,717.0394,652.381,212.152189.606179.685196.2171.7106.210390.993.771.4133.287.582.576.9
Niet-vlottende activa:
Materiële vaste activa, netto 277.50671.14481.94269.5257.78395.245104.89575.90973.08977.5269.89772.1776.44255.37857.52758.5661.6838.11139.62641.56446.35448.92348.39444.48148.754.939.533.630.630.831.125.520.921.420.4
Goodwill 1,888.8891,888.8891,886.4941,796.8481,478.0141,478.0141,478.38863.767710.252709.794375.547375.583371.693311.765312.069312.263312.111167.421167.487166.926169.65590.4160000000000000
Immateriële activa 4.55439.91947.55747.87829.93136.94744.98622.95417.8421.268.13810.10712.952.944.82300000000000000000000
Goodwill en immateriële activa 1,893.4431,928.8081,934.0511,844.7261,507.9451,514.9611,523.366886.721728.092731.054383.685385.69384.643314.705316.892312.263312.111167.421167.487166.926169.65590.4160000000000000
Langetermijnbeleggingen 1,728.1584,872.6044,295.7493,186.1842,669.7972,543.7272,071.6451,403.6381,204.1821,316.04889.342729.402824.219794.715966.921,291.8221,394.7641,275.471,501.9661,510.4421,510.611,285.491,428.7161,245.3341,472.6927.4453.2332.3309.5360.8430.4340.4241269265.7
Belastingvorderingen 200.88214.901102.839100.0358.81461.21468.258100.23000000000000000000000000000
Overige niet-vlottende activa 24,169.398-4,928.263-102.839-100.03-58.814-98.161-113.244-123.184-17.84-21.26-8.138-10.107-12.95-2.94-4.823000000-1,285.49-1,477.11-1,289.815-1,521.3-982.3-492.7-365.9-340.1-391.6-461.5-365.9-261.9-290.4-286.1
Totaal niet-vlottende activa 28,269.3852,159.1946,311.7425,100.434,235.5254,116.9863,654.922,343.3141,987.5232,103.3541,334.7861,177.1551,272.3541,161.8581,336.5161,662.6451,768.5551,481.0021,709.0791,718.9321,726.619139.3391,477.111,289.8151,521.3982.3492.7365.9340.1391.6461.5365.9261.9290.4286.1
Totaal activa 29,982.36329,489.3829,328.90226,184.24719,662.32419,250.49819,058.95914,508.89212,577.94412,328.8118,735.3248,420.0138,451.477,155.7197,805.1018,102.0917,994.7396,717.5986,728.4926,435.9716,378.9995,792.0195,631.7754,904.5475,069.24,567.92,699.82,326.91,815.41,787.61,720.21,547.61,189.11,193.81,098.7
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 00000000000000000000000000000000000
Kortlopende schulden 1,712.406160.698128.844142.3374.654351.327477.587209.551423.028435.652430.754314.962254.766193.214222.9443.7153.6884.4514.42722.2390005110.200000003.51
Belastingschulden 00000000000000000000000000000000000
Uitgestelde opbrengsten 00000000000000000000000000000000000
Overige kortlopende verplichtingen 18,146.668-84.949-128.844-142.3-374.6540000000-254.766-191.639-219.49400000005,1164,474000001,524000-3.5-1
Totaal kortlopende verplichtingen 19,859.07475.749128.844142.3374.654351.327477.587209.551423.028435.652430.754314.962254.7661.5753.453.7153.6884.4514.42722.23905,1164,4745110.20001,5240003.51
Langlopende verplichtingen:
Langetermijnschulden 290.7132,273.405904.097937.5821,899.3711,499.1031,363.9771,172.0261,015.2491,105.314575.697284.926345.366386.458771.9351,064.6851,208.162619.2812.731758.755858.174713.669750.756711.159953.3240.9142.7132.633.98432.228.1000
Uitgestelde opbrengsten niet-vlottend 4,747.615-50.851858.572893.0871,877.5-4.313-4.621-21.356000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 55.88150.85145.52544.49521.8714.3134.62121.356000000000000000000000000000
Overige niet-vlottende verplichtingen 257.8422,624.033-904.097-937.582-1,899.371175150-5059.137-52.3432151000000000000-741.756000000000000
Totaal niet-vlottende verplichtingen 5,352.04924,897.438904.097937.5821,899.3711,674.1031,513.9771,122.0261,074.3861,052.971790.697384.926345.366386.458771.9351,064.6851,208.162619.2812.731758.755858.174713.6699711.159953.3240.9142.7132.633.98432.228.1000
Totaal passiva 25,211.12324,973.18724,610.27421,886.62716,298.49115,998.87415,818.42912,273.14510,865.30910,672.6517,693.5927,427.7627,482.6266,362.7077,043.5517,365.3797,233.546,083.5066,093.2875,804.4645,763.8085,250.485,125.2464,473.6774,673.34,146.42,420.42,068.41,614.21,607.91,549.21,397.51,076.51,087.11,003.7
Eigen vermogen:
Preferente aandelen 000000000000000000000004.96432.20000000000
Gewone aandelen 355.644355.029353.402334.523263.7363,251.6243,240.532,235.7471,712.6351,656.161,041.732992.251968.844793.012761.55110.802110.802110.802110.802110.802110.802108.454108.454108.454108.50000000000
Ingehouden winsten 1,745.6191,575.4261,390.7771,205.3951,132.5791,013.037891.816872.99824.603776.311734.945712.299692.043673.26653.613637.152602.185559.257515.227459.393405.859369.122320.577278.682255220.1165.9183.5135.6121.310991.576.170.163.1
Overige gereserveerde algehele resultaten -259.681-332.732-4.88822.37-34.869-57.019-42.025-44.717-38.212-35.764-43.047-65.748-66.758-60.656-68.383-76.151-12.48-15.791-10.5513.7396.51213.064.351-4.964-32.24.95.511.3-0.40-0.5-0.1-0.9-0.7
Overige totale aandeelhoudersvermogen 2,929.6582,918.472,979.3372,735.3322,002.387-956.018-849.791-828.273-786.391-740.547-691.898-646.551-625.285-612.604-585.2364.90960.692-20.17619.72757.57392.01850.90373.14743.73432.4196.51087464.358.86259.136.637.532.6
Totaal eigen vermogen van aandeelhouders 4,771.244,516.1934,718.6284,297.623,363.8333,251.6243,240.532,235.7471,712.6351,656.161,041.732992.251968.844793.012761.55736.712761.199634.092635.205631.507615.191541.539506.529430.87395.9421.5279.4258.5201.2179.7171150.1112.6106.795
Totaal eigen vermogen 4,771.244,516.1934,718.6284,297.623,363.8333,251.6243,240.532,235.7471,712.6351,656.161,041.732992.251968.844793.012761.55736.712761.199634.092635.205631.507615.191541.539506.529430.87395.9421.5279.4258.5201.2179.7171150.1112.6106.795
Totaal passiva en aandeelhoudersvermogen 29,982.36329,489.3829,328.90226,184.24719,662.32419,250.49819,058.95914,508.89212,577.94412,328.8118,735.3248,420.0138,451.477,155.7197,805.1018,102.0917,994.7396,717.5986,728.4926,435.9716,378.9995,792.0195,631.7754,904.5475,069.24,567.92,699.82,326.91,815.41,787.61,720.21,547.61,189.11,193.81,098.7