Fulton Financial Corporation

NASDAQ:FULT

18.52 (USD) • At close July 1, 2025
Overview | Financials

Numbers are in millions (except for per share data and ratios) USD.

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Assets:
Current Assets:
Cash & Cash Equivalents 1,059.871532.31668.0211,638.6141,847.832517.791243.787263.696239.226240.32366.832289.428327.757347.134119.451203.699277.055312.313351.247399.447282.753305.525322.756363.507291.003247.4250.6210.9182.8144.5147.1118.4165.3130.4130.484.9
Short Term Investments 2,311.1742,398.3522,646.7673,187.393,062.1432,497.5372,080.2942,547.9562,559.2272,484.7732,323.3712,568.4342,720.792,673.4772,853.93,258.5432,715.5523,143.4342,865.9062,543.8870000000000000000
Cash and Short Term Investments 3,371.0452,930.6623,314.7884,826.0044,909.9753,015.3282,324.0812,811.6522,798.4532,725.0932,690.2032,857.8623,048.5473,020.6112,973.3513,462.2422,992.6073,455.7473,248.4532,943.334282.753305.525322.756363.507291.003247.4250.6210.9182.8144.5147.1118.4165.3130.4130.484.9
Net Receivables 465.192478.898410.494333.959350.688383.523370.745344.466292.998213.681169.38143.293121.307114.352114.858128.437143.398162.818172.536132.99940.63334.40742.67543.38844.74731.534.932.32723.720.113.612.614.714.711.6
Inventory 000000000000000000000000000000000000
Other Current Assets 000000000000000000000000000000000000
Total Current Assets 3,836.2373,409.563,725.2825,159.9635,260.6633,398.8512,694.8263,156.1183,091.4512,938.7742,859.5833,001.1553,169.8543,134.7843,088.0423,590.5223,135.6583,618.3983,389.4973,076.333323.386339.932365.431406.895335.75278.9285.5243.2209.8168.2167.2132177.9145.1145.196.5
Non-Current Assets:
Property, Plant & Equipment, Net 195.527222.881225.141220.357231.48240.046234.529222.802217.806225.535226.027226.021227.723212.274208.016204.203202.657193.296191.401170.254146.911120.777123.45125.617116.40779.275.77357.943.239.330.729.628.228.221.5
Goodwill 553.346553.346550.539534.266533.4535.303530.6530.6530.593530.593530.593530.607530.656536.005535.518534.862534.385624.072626.042418.735364.019127.20200000000000000
Intangible Assets 82.1117.34110.2853.7883.339.26738.5730.96338.49441.90743.35844.92140.96441.3241.61140.19930.93937.1444.33237.20225.303000000000000000
Goodwill and Intangible Assets 635.457560.687560.824538.053536.7535.303531.556531.556569.094572.5573.951575.528571.62577.325577.129575.061565.324661.212670.374455.937389.322127.20272.29773.286000000000000
Long Term Investments 25,838.51221,969.84421,019.78618,815.99318,707.67416,758.94816,327.17515,338.31114,312.58613,515.5212,817.53212,501.53511,915.73811,702.92311,689.7111,739.88811,889.31811,121.76310,418.2948,513.77910,103.6519,042.2057,731.9147,056.8666,769.1555,588.15,363.74,973.23,760.53,045.42,798.62,181.71,8611,740.81,740.81,238.9
Tax Assets 000176.5600000000000000000000000000000000
Other Non-Current Assets 1,566.0771,408.9431,400.6691,062.0311,170.216952.892894.066788.111753.31662.389647.674630.395648.162743.202712.357525.961392.149328.429249.398185.252196.878137.17294.686108.047143.492123.819113.888.383.177.977.561.1103.4127.6127.642.6
Total Non-Current Assets 28,235.57324,162.35523,206.4220,636.43520,646.0718,487.18917,987.32616,880.78715,852.79614,975.94414,265.18413,933.47913,363.24313,235.72413,187.21213,045.11313,049.44812,304.711,529.4679,325.22210,836.7629,427.3568,022.3477,363.8167,029.0545,791.1195,553.25,134.53,901.53,166.52,915.42,273.51,9941,896.61,896.61,303
Total Assets 32,071.8127,571.91526,931.70225,796.39825,906.73321,897.06220,682.15220,036.90518,944.24717,914.71817,124.76716,934.63416,528.15316,370.50816,275.25416,635.63516,185.10615,923.09814,918.96412,401.55511,158.3519,767.2888,387.7787,770.7117,364.8046,0705,838.75,377.74,111.33,334.73,082.62,405.52,171.92,041.72,041.71,399.5
Liabilities & Equity:
Current Liabilities:
Account Payables 31.6235.08310.185710.3658.83410.5299.3179.63210.72418.04515.21819.3325.68633.33346.59653.67869.23861.39238.60427.27924.57927.60835.92647.71332.334.333.220.719.112.48.69.613139.3
Short Term Debt 563.831851.3041,080.394833.528630.066939.948754.777617.524541.317497.663329.7191,258.629868.399597.033674.077868.941,762.772,383.9441,680.842,238.0581,194.5241,396.711632.194400.335601.429487.6235.5248.3209140.9196.581.231.924.624.658.6
Tax Payables 000000000000000000000000000000000000
Deferred Revenue 000000000000000000000000000000000000
Other Current Liabilities 26,129.43321,537.62320,649.53821,573.49920,839.20717,402.74716,376.15915,806.84915,022.49614,132.31713,367.50612,491.18612,484.16312,525.73912,388.58112,097.91410,551.91610,105.44510,232.4698,804.8397,895.5246,751.7836,245.5285,986.8045,502.7024,546.84,5934,418.63,367.92,730.32,502.72,004.91,8971,792.81,792.81,178.9
Total Current Liabilities 26,724.88422,424.0121,740.11722,414.02721,479.63818,342.69517,141.46516,424.37315,563.81314,640.70413,715.2713,765.03313,371.89213,148.45813,095.99113,013.4512,368.36412,558.62711,974.70111,081.5019,117.3278,173.0736,905.336,423.0656,151.8445,066.74,862.84,700.13,597.62,890.32,711.62,094.71,938.51,830.41,830.41,246.8
Non-Current Liabilities:
Long Term Debt 1,218.2171,636.2221,790.813621.3451,296.263881.769992.2791,038.346929.403949.5421,139.413883.584894.2531,040.1491,119.451,540.7731,787.7971,642.1331,304.148860.345684.236568.73541.055464.302567.003328.32965351.634.727.38.111.810.210.211
Deferred Revenue Non-Current 000000000000000000000000000000000000
Deferred Tax Liabilities Non-Current 000000000000000000000000000000000000
Other Non-Current Liabilities 931.384751.544821.01548.346514.004319.4300.835344.329329.916282.578273.419222.83185.296189.362179.424144.93169.298147.418123.805-823.262114.49878.54977.65171.89-85.21460.71971.660.142.569.842.54823.519.419.415.5
Total Non-Current Liabilities 2,149.6012,387.7662,611.828669.6911,810.2671,201.1691,293.1141,382.6751,259.3191,232.121,412.8321,106.4141,079.5491,229.5111,298.8741,685.7031,957.0951,789.5511,427.95337.083798.734647.279618.706536.192481.789389.019367.6113.194.1104.569.856.135.329.629.626.5
Total Liabilities 28,874.48524,811.77624,351.94523,083.71823,289.90519,548.58818,434.57917,807.04816,823.13215,872.82415,128.10214,871.44714,446.49714,377.96914,394.86514,699.15314,325.45914,348.17813,402.65411,118.5849,916.0618,820.3527,524.0366,959.2576,633.6335,455.75,230.44,813.23,691.72,994.82,781.42,150.81,973.81,8601,8601,273.3
Equity:
Preferred Stock 192.878192.878192.878192.878192.8780000000000370.29368.9440000000000000000000
Common Stock 614.866564.402561.511559.766557.917556.11554.377552.232549.707547.141545.555544.568542.093540.386538.492482.491480.978479.559476.987430.827335.604284.48259.943207.962198.612173.4157.6000000000
Retained Earnings 1,775.621,619.31,450.7581,282.3831,120.7811,079.391946.032821.619732.099641.588558.81463.843363.937264.059158.45371.99931.075141.99392.592138.52960.924117.373138.50165.64976.61575.5136.784.6100.295111.377.871.955.855.823.6
Accumulated Other Comprehensive Income/Loss -287.819-312.28-385.47627.41165.091-0.137-59.063-32.974-38.449-22.017-17.722-37.3415.6757.95512.4957.458-17.907-21.773-39.091-42.285-10.13312.26734.80112.971.149-11.823.626.49.48.51.600000
Other Total Stockholders Equity 901.78695.839760.086650.242680.161706.812806.227888.98877.758875.182910.0221,092.1171,169.9511,180.1391,170.9491,004.244996.557975.141985.822755.9857.692532.816430.497524.873454.795377.2290.4453.5310236.4188.3176.9126.2125.9125.9102.6
Total Shareholders Equity 3,197.3252,760.1392,579.7572,712.682,616.8282,348.4742,247.5732,229.8572,121.1152,041.8941,996.6652,063.1872,081.6561,992.5391,880.3891,936.4821,859.6471,574.921,516.311,282.9711,242.29946.936863.742811.454731.171614.3608.3564.5419.6339.9301.2254.7198.1181.7181.7126.2
Total Equity 3,197.3252,760.1392,579.7572,712.682,616.8282,348.4742,247.5732,229.8572,121.1152,041.8941,996.6652,063.1872,081.6561,992.5391,880.3891,936.4821,859.6471,574.921,516.311,282.9711,242.29946.936863.742811.454731.171614.3608.3564.5419.6339.9301.2254.7198.1181.7181.7126.2
Total Liabilities & Shareholders Equity 32,071.8127,571.91526,931.70225,796.39825,906.73321,897.06220,682.15220,036.90518,944.24717,914.71817,124.76716,934.63416,528.15316,370.50816,275.25416,635.63516,185.10615,923.09814,918.96412,401.55511,158.3519,767.2888,387.7787,770.7117,364.8046,0705,838.75,377.74,111.33,334.73,082.62,405.52,171.92,041.72,041.71,399.5