US Stock MarketDetailed Quotes

FULT Fulton Financial

Watchlist
  • 15.400
  • +0.400+2.67%
Close 02/29 16:00 ET
  • 15.400
  • 0.0000.00%
Post 17:26 ET
2.52BMarket Cap9.39P/E (TTM)

Fulton Financial Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)2023/09/30
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
(Q2)2022/06/30
(Q1)2022/03/31
(FY)2021/12/31
(Q4)2021/12/31
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
-61.76%203.48M
85.62%170.95M
142.64%45.96M
74.79%598.27M
307.47%81.9M
500.59%532.05M
205.23%92.09M
-152.99%-107.78M
117.50%342.27M
-83.92%20.1M
Net income from continuing operations
1.73%72.1M
13.74%79.61M
6.26%68.31M
4.17%286.98M
32.23%81.83M
-6.24%70.87M
7.74%69.99M
-12.01%64.29M
54.74%275.5M
21.76%61.89M
Operating gains losses
20.40%-1.87M
36.59%-1.62M
77.70%-679K
64.34%-8.79M
77.10%-841K
60.41%-2.35M
49.62%-2.55M
69.45%-3.05M
54.17%-24.65M
67.77%-3.67M
Depreciation and amortization
-2.59%8.14M
10.46%8.43M
3.99%7.99M
8.65%31.93M
-0.47%8.26M
18.97%8.35M
7.72%7.63M
10.04%7.69M
0.20%29.39M
13.99%8.3M
Other non cashItems
-163.94%-3.64M
-149.49%-6.37M
-85.93%1.59M
-48.83%38.04M
-31.62%8.16M
14.49%5.7M
694.87%12.86M
-81.00%11.33M
757.57%74.34M
-44.28%11.93M
Change in working capital
-73.52%112.27M
1,695.28%75.73M
67.69%-60.45M
981.67%195.25M
38.33%-36.86M
38,829.29%423.94M
87.20%-4.75M
-354.12%-187.08M
78.20%-22.15M
-188.06%-59.77M
-Change in payables and accrued expense
113.43%931K
-28.64%12.27M
-53.45%-24.44M
----
----
---6.93M
102.42%17.2M
-324.64%-15.92M
----
----
-Change in deferred charges
42.57%-30.01M
78.45%-8.94M
151.04%28.17M
-28,161.15%-117.85M
191.72%31.1M
-694.54%-52.25M
-665.20%-41.5M
-365.98%-55.2M
98.57%-417K
--10.66M
-Change in other working capital
-70.74%141.34M
270.17%72.4M
44.64%-64.19M
1,540.95%313.1M
-4.53%-73.62M
3,792.68%483.12M
136.96%19.56M
-229.97%-115.95M
69.99%-21.73M
-172.58%-70.44M
Cash from discontinued operating activities
Operating cash flow
-61.76%203.48M
85.62%170.95M
142.64%45.96M
74.79%598.27M
307.46%81.9M
500.59%532.05M
205.23%92.09M
-152.99%-107.78M
117.50%342.27M
-83.92%20.1M
Investing cash flow
Cash flow from continuing investing activities
63.17%-94.33M
3.78%-366.15M
-16.99%-338.01M
-619.30%-1.54B
-155.95%-613.52M
-205.38%-256.09M
-384.65%-380.53M
17.68%-288.92M
91.44%-213.97M
-123.73%-239.7M
Net investment purchase and sale
306.72%32.52M
-63.17%35.47M
134.92%46.68M
97.96%-16.16M
120.33%36.97M
77.93%-15.73M
136.86%96.31M
51.57%-133.7M
-92.88%-790.46M
23.13%-181.84M
Net proceeds payment for loan
39.61%-137.92M
14.65%-376.47M
-170.41%-404.84M
-350.56%-1.41B
-898.19%-588.13M
-171.44%-228.37M
-211.03%-441.08M
-55.39%-149.72M
127.10%561.66M
-144.93%-58.92M
Net PPE purchase and sale
-81.07%-6.84M
-927.78%-8.58M
54.95%-2.44M
-20.18%-21.25M
-3,270.27%-11.22M
43.60%-3.78M
86.58%-835K
-22.26%-5.41M
12.64%-17.68M
80.26%-333K
Net business purchase and sale
----
----
----
-1,000.45%-21.81M
99.34%-15K
----
----
----
-5.20%-1.98M
-20.70%-2.27M
Net other investing changes
205.88%17.91M
-275.10%-16.57M
24,122.34%22.58M
-310.33%-72.55M
-1,497.65%-51.13M
-1,364.20%-16.92M
-223.45%-4.42M
-100.36%-94K
551.69%34.49M
99.35%3.66M
Cash from discontinued investing activities
Investing cash flow
63.17%-94.33M
3.78%-366.15M
-16.99%-338.01M
-619.30%-1.54B
-155.95%-613.52M
-205.38%-256.09M
-384.65%-380.53M
17.68%-288.92M
91.44%-213.97M
-123.73%-239.7M
Financing cash flow
Cash flow from continuing financing activities
1.79%-193.39M
131.71%133.15M
310.71%176.88M
95.29%-15.9M
211.75%684.82M
-183.67%-196.92M
-636.02%-419.86M
-118.53%-83.95M
-109.19%-337.52M
-309.71%-612.79M
Increase decrease in deposit
171.80%215.05M
72.30%-110.05M
2,163.59%667.06M
-298.31%-1.46B
-45.25%-727.02M
-185.64%-299.49M
-539.14%-397.31M
-104.07%-32.33M
-78.69%734.29M
-558.56%-500.54M
Net issuance payments of debt
-374.52%-349.18M
6,367.78%272.16M
-1,345.21%-424.62M
267.70%1.55B
2,545.02%1.45B
296.17%127.2M
-67.43%4.21M
96.38%-29.38M
-686.93%-923.32M
-483.63%-59.16M
Net commonstock issuance
-1,485.34%-29.01M
-1,569.47%-1.59M
-1,455.32%-37.85M
121.59%7.88M
120.52%3.08M
108.67%2.09M
-138.46%-95K
13.17%2.79M
-12.66%-36.47M
-745.26%-15.03M
Net preferred stock issuance
----
----
----
--0
----
----
----
----
--0
----
Cash dividends paid
-13.21%-30.25M
-2.66%-27.37M
-10.67%-27.7M
-3.55%-116.01M
1.23%-37.6M
-5.29%-26.72M
-5.32%-26.66M
-7.57%-25.03M
-23.17%-112.03M
-38.08%-38.07M
Cash from discontinued financing activities
Financing cash flow
1.79%-193.39M
131.71%133.15M
310.71%176.88M
95.29%-15.9M
211.75%684.82M
-183.67%-196.92M
-636.02%-419.86M
-118.53%-83.95M
-109.19%-337.52M
-309.71%-612.79M
Net cash flow
Beginning cash position
12.24%504.7M
-51.06%566.75M
-58.38%681.92M
-11.32%1.64B
-78.60%528.72M
-76.38%449.67M
-30.32%1.16B
-11.32%1.64B
256.87%1.85B
60.69%2.47B
Current changes in cash
-206.58%-84.24M
91.24%-62.05M
76.04%-115.17M
-357.27%-956.69M
118.41%153.21M
-86.06%79.04M
-392.46%-708.29M
-158.47%-480.65M
-115.73%-209.22M
-368.46%-832.4M
End cash position
-20.48%420.46M
12.24%504.7M
-51.06%566.75M
-58.38%681.92M
-58.38%681.92M
-78.60%528.72M
-76.38%449.67M
-30.32%1.16B
-11.32%1.64B
-11.32%1.64B
Free cash flow
-62.78%196.64M
77.92%162.37M
138.45%43.53M
77.77%577.02M
257.55%70.68M
545.10%528.28M
281.06%91.26M
-156.88%-113.19M
136.71%324.59M
-83.97%19.77M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
(Q3)2023/09/30(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30(Q2)2022/06/30(Q1)2022/03/31(FY)2021/12/31(Q4)2021/12/31
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities -61.76%203.48M85.62%170.95M142.64%45.96M74.79%598.27M307.47%81.9M500.59%532.05M205.23%92.09M-152.99%-107.78M117.50%342.27M-83.92%20.1M
Net income from continuing operations 1.73%72.1M13.74%79.61M6.26%68.31M4.17%286.98M32.23%81.83M-6.24%70.87M7.74%69.99M-12.01%64.29M54.74%275.5M21.76%61.89M
Operating gains losses 20.40%-1.87M36.59%-1.62M77.70%-679K64.34%-8.79M77.10%-841K60.41%-2.35M49.62%-2.55M69.45%-3.05M54.17%-24.65M67.77%-3.67M
Depreciation and amortization -2.59%8.14M10.46%8.43M3.99%7.99M8.65%31.93M-0.47%8.26M18.97%8.35M7.72%7.63M10.04%7.69M0.20%29.39M13.99%8.3M
Other non cashItems -163.94%-3.64M-149.49%-6.37M-85.93%1.59M-48.83%38.04M-31.62%8.16M14.49%5.7M694.87%12.86M-81.00%11.33M757.57%74.34M-44.28%11.93M
Change in working capital -73.52%112.27M1,695.28%75.73M67.69%-60.45M981.67%195.25M38.33%-36.86M38,829.29%423.94M87.20%-4.75M-354.12%-187.08M78.20%-22.15M-188.06%-59.77M
-Change in payables and accrued expense 113.43%931K-28.64%12.27M-53.45%-24.44M-----------6.93M102.42%17.2M-324.64%-15.92M--------
-Change in deferred charges 42.57%-30.01M78.45%-8.94M151.04%28.17M-28,161.15%-117.85M191.72%31.1M-694.54%-52.25M-665.20%-41.5M-365.98%-55.2M98.57%-417K--10.66M
-Change in other working capital -70.74%141.34M270.17%72.4M44.64%-64.19M1,540.95%313.1M-4.53%-73.62M3,792.68%483.12M136.96%19.56M-229.97%-115.95M69.99%-21.73M-172.58%-70.44M
Cash from discontinued operating activities
Operating cash flow -61.76%203.48M85.62%170.95M142.64%45.96M74.79%598.27M307.46%81.9M500.59%532.05M205.23%92.09M-152.99%-107.78M117.50%342.27M-83.92%20.1M
Investing cash flow
Cash flow from continuing investing activities 63.17%-94.33M3.78%-366.15M-16.99%-338.01M-619.30%-1.54B-155.95%-613.52M-205.38%-256.09M-384.65%-380.53M17.68%-288.92M91.44%-213.97M-123.73%-239.7M
Net investment purchase and sale 306.72%32.52M-63.17%35.47M134.92%46.68M97.96%-16.16M120.33%36.97M77.93%-15.73M136.86%96.31M51.57%-133.7M-92.88%-790.46M23.13%-181.84M
Net proceeds payment for loan 39.61%-137.92M14.65%-376.47M-170.41%-404.84M-350.56%-1.41B-898.19%-588.13M-171.44%-228.37M-211.03%-441.08M-55.39%-149.72M127.10%561.66M-144.93%-58.92M
Net PPE purchase and sale -81.07%-6.84M-927.78%-8.58M54.95%-2.44M-20.18%-21.25M-3,270.27%-11.22M43.60%-3.78M86.58%-835K-22.26%-5.41M12.64%-17.68M80.26%-333K
Net business purchase and sale -------------1,000.45%-21.81M99.34%-15K-------------5.20%-1.98M-20.70%-2.27M
Net other investing changes 205.88%17.91M-275.10%-16.57M24,122.34%22.58M-310.33%-72.55M-1,497.65%-51.13M-1,364.20%-16.92M-223.45%-4.42M-100.36%-94K551.69%34.49M99.35%3.66M
Cash from discontinued investing activities
Investing cash flow 63.17%-94.33M3.78%-366.15M-16.99%-338.01M-619.30%-1.54B-155.95%-613.52M-205.38%-256.09M-384.65%-380.53M17.68%-288.92M91.44%-213.97M-123.73%-239.7M
Financing cash flow
Cash flow from continuing financing activities 1.79%-193.39M131.71%133.15M310.71%176.88M95.29%-15.9M211.75%684.82M-183.67%-196.92M-636.02%-419.86M-118.53%-83.95M-109.19%-337.52M-309.71%-612.79M
Increase decrease in deposit 171.80%215.05M72.30%-110.05M2,163.59%667.06M-298.31%-1.46B-45.25%-727.02M-185.64%-299.49M-539.14%-397.31M-104.07%-32.33M-78.69%734.29M-558.56%-500.54M
Net issuance payments of debt -374.52%-349.18M6,367.78%272.16M-1,345.21%-424.62M267.70%1.55B2,545.02%1.45B296.17%127.2M-67.43%4.21M96.38%-29.38M-686.93%-923.32M-483.63%-59.16M
Net commonstock issuance -1,485.34%-29.01M-1,569.47%-1.59M-1,455.32%-37.85M121.59%7.88M120.52%3.08M108.67%2.09M-138.46%-95K13.17%2.79M-12.66%-36.47M-745.26%-15.03M
Net preferred stock issuance --------------0------------------0----
Cash dividends paid -13.21%-30.25M-2.66%-27.37M-10.67%-27.7M-3.55%-116.01M1.23%-37.6M-5.29%-26.72M-5.32%-26.66M-7.57%-25.03M-23.17%-112.03M-38.08%-38.07M
Cash from discontinued financing activities
Financing cash flow 1.79%-193.39M131.71%133.15M310.71%176.88M95.29%-15.9M211.75%684.82M-183.67%-196.92M-636.02%-419.86M-118.53%-83.95M-109.19%-337.52M-309.71%-612.79M
Net cash flow
Beginning cash position 12.24%504.7M-51.06%566.75M-58.38%681.92M-11.32%1.64B-78.60%528.72M-76.38%449.67M-30.32%1.16B-11.32%1.64B256.87%1.85B60.69%2.47B
Current changes in cash -206.58%-84.24M91.24%-62.05M76.04%-115.17M-357.27%-956.69M118.41%153.21M-86.06%79.04M-392.46%-708.29M-158.47%-480.65M-115.73%-209.22M-368.46%-832.4M
End cash position -20.48%420.46M12.24%504.7M-51.06%566.75M-58.38%681.92M-58.38%681.92M-78.60%528.72M-76.38%449.67M-30.32%1.16B-11.32%1.64B-11.32%1.64B
Free cash flow -62.78%196.64M77.92%162.37M138.45%43.53M77.77%577.02M257.55%70.68M545.10%528.28M281.06%91.26M-156.88%-113.19M136.71%324.59M-83.97%19.77M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion with Explanatory Notes--

Analysis

Analyst Rating

No Data

Price Target

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