United Community Banks, Inc.

NASDAQ:UCBI

27.83 (USD) • At close August 5, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,003.875511.8532,291.511,608.619515.206327.265314.275217.348240.363192.655228.898191.149193.416207.895246.647493.421219.623171.284142.57134.84160.193106.345104.903102.293112.61155.768.83450.592
Kortetermijnbeleggingen 3,331.0843,614.3334,496.8243,224.7212,274.5812,628.4672,615.852,432.4382,291.5111,782.7341,832.2171,834.593185441.562129.72368.6091,356.8461,107.153990.687879.978659.891559.39000000
Liquide middelen en kortetermijnbeleggingen -200.7814,126.1866,788.3344,833.342,789.7872,955.7322,930.1252,649.7862,531.8741,975.3892,061.1152,085.742193.416207.895246.647124.812219.623171.284142.57134.84160.193106.345104.903102.293112.61155.768.83450.592
Nettovorderingen 87.78272.80742.99947.67232.6635.41332.45928.01825.78620.10319.59818.65920.69324.29933.86746.08862.82858.29137.19727.92320.96220.27522.54425.38417.86113.33210.9857.78
Voorraad 112.9990-2,361.509-1,656.291-547.86600000000000000000000000
Overige vlottende activa 1,091.657-3,479.3332,361.5091,656.291547.8666,148.9615,562.6834,922.414,086.6563,210.4622,865.6782,444.6514,465.5455,531.0935,782.1196,231.726,062.6125,457.7474,463.7643,820.0753,068.1672,441.819000000
Totaal vlottende activa 1,091.657719.666,831.3334,881.0122,822.4479,140.1068,525.2677,600.2146,644.3165,205.9544,946.3914,549.0524,679.6545,763.2876,062.6336,402.626,345.0635,687.3224,643.5313,982.8383,249.3222,568.43957.675127.677130.47269.03279.81958.372
Niet-vlottende activa:
Materiële vaste activa, netto 378.421298.456245.296218.489215.976206.14208.852189.938178.165159.39163.589168.92175.088178.239182.038179.16180.088139.716112.887103.67987.43970.74864.06656.9347.36538.53827.73718.65
Goodwill 919.914751.174452.007367.809327.425307.112220.591142.025130.6121.509000000000000000000
Immateriële activa 990.08728.07420.414.01414.82216.9623.80614.19716.8084.6833.485.518.428000000121.20772.18212.767000000
Goodwill en immateriële activa 990.087779.248472.407381.823342.247324.072244.397156.222147.423.6413.485.518.42811.446225.196321.798325.305167.058118.651121.20772.18212.767000000
Langetermijnbeleggingen 886.4546,227.9815,652.9223,645.0822,558.1142,902.8742,936.9442,762.2812,656.2072,198.0012,311.9592,078.7772,120.251,490.2241,530.0471,617.1871,356.8461,107.153990.687879.978659.891559.39494.274532.111534.503371.787213.453146.886
Belastingvorderingen 113.214129.31341.32238.41134.05964.22488.049154.336197.613215.503258.518174.430000000000000000
Overige niet-vlottende activa 23,837.418-6,227.981-41.322-38.411-34.059-64.224-88.049-154.336-197.613-215.503-258.518-174.430000000000-499.914-589.041-581.868-410.325-241.19-165.536
Totaal niet-vlottende activa 26,205.5941,207.0176,370.6254,245.3943,116.3373,433.0863,390.1933,108.4412,981.7922,361.0322,479.0282,253.2072,303.7661,679.9091,937.2812,118.1451,862.2391,413.9271,222.2251,104.864819.512642.90558.426589.041581.868410.325241.19165.536
Totaal activa 27,297.25124,008.88420,946.77117,794.37412,916.01612,573.19211,915.4610,708.6559,626.1087,566.9867,425.4196,802.2596,983.427,443.1967,999.9148,520.7658,207.3027,101.2495,865.7565,087.7024,068.8343,211.3442,749.2572,528.8792,131.441,498.5991,153.367828.03
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 0000000000000000000000000000
Kortlopende schulden 11.415158.9338.1970016050516.64053.24152.574102.577101.067101.389108.411638.46265.884209.616382.447328.401492.13290.39448.6431.81226.5233.0110
Belastingschulden 0000000000000000000000000000
Uitgestelde opbrengsten 0000000000000000000000000000
Overige kortlopende verplichtingen 18,278.672011,209.198,736.7815,939.874000000000000000002,216.6062,280.36-31.812-26.52-33.0110
Totaal kortlopende verplichtingen 18,290.087158.93311,217.3878,736.7815,939.87416050516.6455.55553.24152.574102.577101.067101.389108.411638.46265.884209.616382.447328.401492.132,5072,32931.81226.5233.0110
Langlopende verplichtingen:
Langetermijnschulden 324.823874.663247.36326.956212.664267.189625.196884.287595.745399.99249.99164.93160.85205.271264.567621.628627.778602.235537.869469.379459.61574.91148.191298.468329.588202.63160.8949.027
Uitgestelde opbrengsten niet-vlottend -87.477-70.088205.9650173.093-176.945-149.423000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 87.47770.08841.395039.57123.00920.19000000000000000000000
Overige niet-vlottende verplichtingen 5,420.81620,274.614-247.36-326.956-212.664153.936129.2330000-164.93000-235.321000000-0.191-257.4680000
Totaal niet-vlottende verplichtingen 5,745.63921,149.277247.36326.956212.664267.189625.196884.287595.745399.99249.99164.93160.85205.271264.567386.307627.778602.235537.869469.379459.61574.9114841329.588202.63160.8949.027
Totaal passiva 24,035.72621,308.21247.36326.956212.66411,115.63810,612.1269,632.928,607.8236,827.4096,629.7046,216.8546,407.9346,807.6817,037.5937,531.3837,375.46,484.4825,393.074,690.6143,769.4612,989.7652,554.5922,370.4912,035.171,411.8491,078.254775.629
Eigen vermogen:
Preferente aandelen 88.26696.42296.42296.42200009.9920121.613195.387193.922175.928174.625173.4380.2580.3220.3220.4480.5591.7261.7262.8748.68000.075
Gewone aandelen 119.01106.22389.3586.67579.01479.23477.5870.89971.48460.25959.43157.74160.79498.57997.64351.71748.80942.89140.0238.40823.80421.80610.90310.5148.0347.3947.3856.439
Ingehouden winsten 581.219508.844330.654136.86940.152-90.419-211.929-251.857-330.879-387.568-448.091-705.153-730.861-335.56720.384265.405347.391306.261250.563204.709166.887135.709108.37185.71866.60653.2442.19830.696
Overige gereserveerde algehele resultaten -226.082-329.488-26.47637.718.394-41.589-23.214-26.483-25.452-18.79-19.844-23.64-3.30931.07947.63554.57916.361-3.09-11.5742.867.38911.2755.682-0.104-8.681.3080.831-0.075
Overige totale aandeelhoudersvermogen 2,699.1122,318.6731,732.2951,649.8541,508.1321,510.3281,460.8971,283.1761,293.141,085.6761,082.6061,061.071,054.94665.496622.034444.243419.083270.383193.355150.663100.73451.06367.98359.38621.6324.80824.69915.266
Totaal eigen vermogen van aandeelhouders 3,261.5252,700.6742,222.2452,007.531,635.6921,457.5541,303.3341,075.7351,018.285739.577795.715585.405575.486635.515962.321989.382831.902616.767472.686397.088299.373221.579194.665158.38896.2786.7575.11352.401
Totaal eigen vermogen 3,261.5252,700.6742,222.2452,007.531,635.6921,457.5541,303.3341,075.7351,018.285739.577795.715585.405575.486635.515962.321989.382831.902616.767472.686397.088299.373221.579194.665158.38896.2786.7575.11352.401
Totaal passiva en aandeelhoudersvermogen 27,297.25124,008.88420,946.77117,794.37412,916.01612,573.19211,915.4610,708.6559,626.1087,566.9867,425.4196,802.2596,983.427,443.1967,999.9148,520.7658,207.3027,101.2495,865.7565,087.7024,068.8343,211.3442,749.2572,528.8792,131.441,498.5991,153.367828.03