Zions Bancorporation, National Association

NASDAQ:ZION

51.16 (USD) • At close November 4, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989198819871986198519841983
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 2,2041,99710,8781,6171,4481,2331,3302,148.1796,906.4438,020.0399,350.1317,820.8858,245.2455,500.1342,023.1533,808.7352,581.6011,982.0131,728.769852.2491,120.2351,088.986981.3891,068.489915.7894.9688.7452452.7336.6328.8526.2580.7496445.3000000
Kortetermijnbeleggingen 10,32611,91524,04815,73113,72514,73715,16113,372.1947,643.1163,844.2483,701.8863,091.313,230.7954,205.7423,655.6192,676.2555,134.615,050.90700000000000000000000000
Liquide middelen en kortetermijnbeleggingen 66213,91234,92617,34815,17316,21216,67115,701.78914,549.55911,864.28713,052.01710,912.19511,476.049,705.8765,678.7726,484.997,716.2117,032.921,728.769852.2491,120.2351,088.986981.3891,068.489915.7894.9688.7452452.7336.6328.8526.2580.7496445.3000000
Nettovorderingen 383386327320334327364423442409388423422.431410.174466.4920502.601000000000000000000000000
Voorraad -1,0450-13,617-7,906-2,12200-0.031-0.334-0.026-0.071-0.48700000000000000000000000000000
Overige vlottende activa 3,559-8,12913,6177,9062,12234,11130,69529,833.04233,657.36137,638.10435,633.16837,671.4134,504.333,141.37437,489.91440,589.99335,018.57230,475.33332,342.15924,389.07521,489.26220,634.17123,322.77419,905.00218,411.615,251.3000000000000000
Totaal vlottende activa 3,5596,16935,25317,66815,50750,65047,73045,957.848,648.58649,911.36549,073.11449,006.11846,402.77143,257.42443,635.17847,074.98343,237.38437,508.25334,070.92825,241.32422,609.49721,723.15724,304.16320,973.49119,327.316,146.2688.7452452.7336.6328.8526.2580.7496445.3000000
Niet-vlottende activa:
Materiële vaste activa, netto 1,5721,4081,3191,2091,1421,1241,0941,019.508905.462829.809726.372708.882719.276720.985710.534687.096655.712609.472564.745409.21407.825393.63368.076324.512287.4231.11369382.676.265.164.350.351.751.8545455534041
Goodwill 1,0271,0271,0141,0141,0141,0141,0141,014.1291,014.1291,014.1291,014.1291,014.1291,015.1291,015.1611,015.1611,651.3772,009.5131,900.51700000000000000000000000
Immateriële activa 3238121128.4216.27225.5236.44450.81867.8387.898113.416125.935149.493162.13400000000000000000000000
Goodwill en immateriële activa 1,0591,0651,0151,0151,0141,0151,0161,022.5491,030.4011,039.6491,050.5731,064.9471,082.9591,103.0591,128.5771,777.3122,159.0062,062.6512,086.754698.085722.899812.951879.911641.44666.2271.6000000000000000
Langetermijnbeleggingen 1,97024,63625,71217,45015,39716,66317,10815,239.3089,085.0765,428.0515,181.0684,731.9714,944.1035,953.4185,648.7185,553.46,895.3126,789.856,057.2125,121.2154,818.0173,635.9513,466.3574,188.3094,437.13,680.43,061.41,809.81,540.51,663.41,145906788.2595.2466.9000000
Belastingvorderingen 76,28600360310325275455.936-56,297.089-53,098.956-52,787.9991,773.8290000000000-4,346.268-4,829.749-5,103.3-3,952000000000000000
Overige niet-vlottende activa 2,757-24,679-28,046-360-310-1,031-935-455.93656,297.08953,098.95652,787.999-1,773.8290000000000-368.075641.44666.2271.6-3,197.4-1,902.8-1,623.1-1,739.6-1,210.1-970.3-838.5-646.9-518.7-54-54-55-53-40-41
Totaal niet-vlottende activa 83,6442,43028,04619,67417,55318,09618,55817,281.36511,020.9397,297.5096,958.0136,505.86,746.3387,777.4627,487.8298,017.8089,710.039,461.9738,708.7116,228.515,948.7414,842.5320.001965.952953.6502.73,197.41,902.81,623.11,739.61,210.1970.3838.5646.9518.70000-10
Totaal activa 87,20389,54593,20081,47669,17268,74666,28863,239.16559,669.52557,204.84356,031.12755,511.91853,149.10951,034.88651,123.00755,092.79152,947.41446,970.22642,779.63931,469.83428,558.23826,565.68924,304.16421,939.44320,280.916,648.99,521.86,4855,620.64,934.14,365.63,779.33,645.83,559.12,975.42,8033,0203,2973,1812,7102,311
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 00000000000000000000000000000000000000000
Kortlopende schulden 4,0017,1008021,8881,0004,5003,6005000.2351.20.2785.40970.273166.3941.08415.451297.85220.507185.989181.396215.35415.554181.2661,290.961,03815059.913.514.925.7136.1153.5203.72901.4000000
Belastingschulden 00000000000000000000000000000000000000000
Uitgestelde opbrengsten 00000000000000000000000000000000000000000
Overige kortlopende verplichtingen 9,798-5,83700-1,0000000000000000000021,062.73418,453.0417,13315,9979,787.16,298.55,037.14,382.34,139.93,284.53,154.32,9932,713.62,5342,7372,9912,9332,4822,097
Totaal kortlopende verplichtingen 13,7991,2638021,8881,0004,5003,6005000.2351.20.2785.40970.273166.3941.08415.451297.85220.507185.989181.396215.35415.55421,24419,74418,17116,1479,8476,3125,0524,4084,2763,4383,3583,2832,7152,5342,7372,9912,9332,4822,097
Langlopende verplichtingen:
Langetermijnschulden 5386511,0121,3361,723724383534.85817.3481,092.2822,273.5752,337.1131,954.4621,942.6222,017.222,493.3072,463.2542,357.7212,745.8541,918.7411,969.2021,601.7691,330.8761.565804.8510.5469.2325.3142.4159.8207.7150.981.192.895.7102103106444447
Uitgestelde opbrengsten niet-vlottend 000000-811-1,212.382000000000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 000000182205.472000000000000000000000000000000000
Overige niet-vlottende verplichtingen 66,79781,849-1,012-1,336-1,72306291,006.9100000000.061000000-551.8-344.565-354.8-60.5-189.2-75.3-2.40.24.3-51.9-0.10.20.3000000
Totaal niet-vlottende verplichtingen 67,33582,5001,0121,3361,723724383534.85817.3481,092.2822,273.5752,337.1131,954.4621,942.6222,017.222,493.3682,463.2542,357.7212,745.8541,918.7411,969.2021,601.76977941745045028025014016021299819396102103106444447
Totaal passiva 81,13484,6521,0121,33661,81961,16858,60955,604.85952,162.00649,828.86849,566.56449,463.27746,165.88144,387.67245,412.7548,563.77547,623.67541,940.41238,514.82428,656.49625,998.43924,169.16922,006.97320,120.74218,581.915,600.48,866.35,977.55,192.14,568.34,075.23,536.83,439.23,375.62,811.12,6362,8403,0972,9772,5262,144
Eigen vermogen:
Preferente aandelen 440440440566566566566709.601828.491,004.0111,003.971,128.3022,377.562,056.6721,502.7841,294.88524024000000000000000000000000
Gewone aandelen 1,7311,7541,9282,6862,73504,4454,724.7154,766.7314,723.8554,179.0244,166.1094,163.2424,163.6193,318.4172,599.9162,212.2372,230.3032,156.732972.065985.9041,034.8881,111.214907.604888.20000000000454541414140
Ingehouden winsten 6,2125,8115,1754,3094,0093,4562,7822,321.5711,966.911,776.151,473.671,203.8151,036.59889.2841,324.5162,433.3632,910.6922,602.1892,179.8851,830.0641,538.6771,292.7411,109.704874.884775.8693.8530.6429.5353.2292.4233.3190155.8135.4117.4121135158147128111
Overige gereserveerde algehele resultaten -2,838-3,112-8032543-250-114-121.581-54.612-128.041-192.101-446.157-592.084-461.296-436.899-98.958-58.835-75.849-99.353-12.1515.44246.21459.951-3.644-4.202.7-1.81.9-5.90.40000000000
Overige totale aandeelhoudersvermogen 000003,80600000000-16.16272.49-11.294-9.620000000319.9122.279.873.479.356.752.550.848.146.9101161516
Totaal eigen vermogen van aandeelhouders 5,5454,8937,4637,8867,3537,5787,6797,634.3067,507.5197,375.9756,464.5636,052.0696,985.3086,648.2795,692.6586,501.6965,292.84,987.0234,237.2642,789.9792,540.0232,373.8432,280.8691,778.8441,659.81,013.7655.5507.5428.5365.8290.4242.5206.6183.5164.3167180200204184167
Totaal eigen vermogen 5,5454,8937,4637,8867,3537,5787,6797,634.3067,507.5197,375.9756,464.5616,048.6416,983.2286,647.2145,710.2576,529.0165,323.7395,029.8144,264.8152,813.3382,559.7992,396.522,297.1911,818.7011,6991,048.5655.5507.5428.5365.8290.4242.5206.6183.5164.3167180200204184167
Totaal passiva en aandeelhoudersvermogen 86,82589,54593,20081,47669,17268,74666,28863,239.16559,669.52557,204.84356,031.12755,511.91853,149.10951,034.88651,123.00755,092.79152,947.41446,970.22642,779.63931,469.83428,558.23826,565.68924,304.16421,939.44320,280.916,648.99,521.86,4855,620.64,934.14,365.63,779.33,645.83,559.12,975.42,8033,0203,2973,1812,7102,311