US Stock MarketDetailed Quotes

HWC Hancock Whitney

Watchlist
  • 46.340
  • +0.950+2.09%
Close May 1 16:00 ET
  • 46.340
  • 0.0000.00%
Post 16:02 ET
4.01BMarket Cap10.80P/E (TTM)

Hancock Whitney Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
Assets
Cash cash equivalents and federal funds sold
----
33.74%1.19B
33.74%1.19B
59.68%1.36B
-21.13%1.24B
-24.86%2.88B
-79.00%888.52M
-79.00%888.52M
-76.29%851.25M
-41.99%1.57B
-Cash and cash equivalents
----
33.80%1.19B
33.80%1.19B
59.71%1.36B
-16.62%1.24B
-24.87%2.88B
-79.02%887.79M
-79.02%887.79M
-76.30%850.81M
-45.14%1.48B
-Money market investments
----
-40.11%436K
-40.11%436K
7.05%471K
-99.40%513K
54.90%711K
58.95%728K
58.95%728K
-3.51%440K
18,599.78%85.46M
Receivables
----
28.79%214.94M
28.79%214.94M
36.22%152.44M
39.80%141.44M
43.32%141.7M
-25.84%166.89M
-25.84%166.89M
12.68%111.91M
0.30%101.17M
-Accounts receivable
----
19.21%157.18M
19.21%157.18M
36.22%152.44M
39.80%141.44M
43.32%141.7M
36.01%131.85M
36.01%131.85M
12.68%111.91M
0.30%101.17M
-Other receivables
----
64.83%57.76M
64.83%57.76M
----
----
----
-72.64%35.04M
-72.64%35.04M
----
----
Prepaid assets
----
1.35%45.23M
1.35%45.23M
22.25%56.78M
17.30%58.76M
25.17%54.54M
15.05%44.63M
15.05%44.63M
15.18%46.45M
13.49%50.1M
Net loan
2.40%23.67B
3.54%23.64B
3.54%23.64B
6.19%23.69B
9.03%23.53B
9.75%23.12B
9.32%22.83B
9.32%22.83B
8.29%22.31B
3.57%21.58B
-Gross loan
2.39%23.99B
3.49%23.95B
3.49%23.95B
6.11%24B
8.93%23.85B
9.56%23.43B
9.01%23.14B
9.01%23.14B
7.83%22.62B
3.07%21.89B
-Allowance for loans and lease losses
1.40%313.73M
0.04%307.91M
0.04%307.91M
0.06%306.29M
2.05%314.5M
-2.66%309.39M
-10.02%307.79M
-10.02%307.79M
-17.60%306.12M
-22.89%308.18M
Securities and investments
-4.68%8B
-9.62%7.6B
-9.62%7.6B
-5.01%7.92B
-3.94%8.2B
-1.07%8.39B
-1.68%8.41B
-1.68%8.41B
0.30%8.33B
-1.18%8.53B
-Available for sale securities
--7.56B
----
----
----
----
----
----
----
----
----
-Held to maturity securities
----
-5.88%2.68B
-5.88%2.68B
-4.83%2.73B
1.05%2.78B
13.54%2.83B
82.18%2.85B
82.18%2.85B
119.19%2.87B
106.50%2.75B
-Short term investments
-92.11%439.02M
-11.53%4.92B
-11.53%4.92B
-5.10%5.19B
-6.31%5.41B
-7.13%5.57B
-20.48%5.56B
-20.48%5.56B
-21.91%5.47B
-20.83%5.78B
Long term equity investment
----
-0.71%90.27M
-0.71%90.27M
----
----
----
9.80%90.91M
9.80%90.91M
----
----
Federal home loan bank stock
----
112.31%138.99M
112.31%138.99M
----
----
----
24.12%65.47M
24.12%65.47M
----
----
Derivative assets
----
-17.16%90.71M
-17.16%90.71M
----
----
----
44.33%109.5M
44.33%109.5M
----
----
Bank owned life insurance
----
2.70%749.5M
2.70%749.5M
2.74%745.74M
2.06%740.63M
1.47%736.98M
9.82%729.77M
9.82%729.77M
9.68%725.82M
9.93%725.66M
Net PPE
----
-4.24%407.44M
-4.24%407.44M
-6.68%416.83M
-3.94%432.93M
-6.33%425.56M
-5.98%425.49M
-5.98%425.49M
-0.51%446.67M
-0.93%450.68M
-Gross PPE
----
1.05%782M
1.05%782M
-0.85%780.33M
1.39%792.7M
-0.14%776.8M
0.89%773.84M
0.89%773.84M
4.58%786.98M
4.29%781.87M
-Accumulated depreciation
----
-7.52%-374.56M
-7.52%-374.56M
-6.81%-363.5M
-8.63%-359.77M
-8.56%-351.24M
-10.77%-348.35M
-10.77%-348.35M
-12.10%-340.31M
-12.33%-331.19M
Foreclosed assets
----
79.87%3.63M
79.87%3.63M
117.12%4.53M
-37.29%2.17M
-68.86%1.98M
-73.22%2.02M
-73.22%2.02M
-75.25%2.09M
-66.01%3.47M
Goodwill and other intangible assets
-1.21%897.56M
-1.27%900.09M
-1.27%900.09M
-1.33%902.76M
-1.39%905.58M
-1.45%908.53M
-1.52%911.65M
-1.52%911.65M
-1.58%914.92M
-1.64%918.35M
-Goodwill
----
0.00%855.45M
0.00%855.45M
0.00%855.45M
0.00%855.45M
0.00%855.45M
0.00%855.45M
0.00%855.45M
0.00%855.45M
0.00%855.45M
-Other intangible assets
----
-20.56%44.64M
-20.56%44.64M
-20.44%47.31M
-20.30%50.12M
-20.16%53.08M
-19.98%56.19M
-19.98%56.19M
-19.80%59.46M
-19.60%62.89M
Defined pension benefit
----
0.01%216.85M
0.01%216.85M
-6.93%219.46M
-6.28%216.15M
-6.35%218.39M
-4.85%216.82M
-4.85%216.82M
7.12%235.8M
7.39%230.63M
Other assets
458.25%2.68B
74.88%139.15M
74.88%139.15M
48.75%586.34M
48.78%546.71M
22.92%479.65M
-26.49%79.57M
-26.49%79.57M
-2.76%394.18M
-26.90%367.46M
Total assets
-6.13%35.25B
1.12%35.58B
1.12%35.58B
5.01%36.3B
4.54%36.21B
3.39%37.55B
-3.69%35.18B
-3.69%35.18B
-2.13%34.57B
-1.31%34.64B
Liabilities
Total deposits
0.55%29.78B
2.13%29.69B
2.13%29.69B
4.73%30.32B
0.59%30.04B
-2.91%29.61B
-4.58%29.07B
-4.58%29.07B
-0.88%28.95B
2.03%29.87B
Payables
----
352.94%45M
352.94%45M
796.62%52.57M
1,677.51%35.64M
627.68%21.82M
220.17%9.94M
220.17%9.94M
91.60%5.86M
-39.26%2.01M
-Accounts payable
----
352.94%45M
352.94%45M
796.62%52.57M
1,677.51%35.64M
627.68%21.82M
220.17%9.94M
220.17%9.94M
91.60%5.86M
-39.26%2.01M
Current debt and capital lease obligation
-81.03%667.76M
-38.29%1.15B
-38.29%1.15B
-7.59%1.43B
158.65%1.63B
117.21%3.52B
12.38%1.87B
12.38%1.87B
-11.59%1.54B
-58.46%630.01M
-Current debt
-81.03%667.76M
-38.29%1.15B
-38.29%1.15B
-7.59%1.43B
158.65%1.63B
117.21%3.52B
12.38%1.87B
12.38%1.87B
-11.59%1.54B
-58.46%630.01M
Long term debt and capital lease obligation
-34.89%236.36M
0.96%361.94M
0.96%361.94M
1.89%362.95M
0.93%361.99M
0.48%362.99M
-2.13%358.5M
-2.13%358.5M
-3.00%356.23M
-3.32%358.66M
-Long term debt
-2.38%236.36M
-2.38%236.32M
-2.38%236.32M
-0.06%236.28M
-1.60%236.24M
0.69%242.12M
-0.88%242.08M
-0.88%242.08M
-4.68%236.41M
-3.21%240.09M
-Long term capital lease obligation
----
7.90%125.62M
7.90%125.62M
5.72%126.67M
6.05%125.75M
0.07%120.87M
-4.63%116.42M
-4.63%116.42M
0.48%119.82M
-3.55%118.57M
Other liabilities
43.17%713.66M
-1.52%523.09M
-1.52%523.09M
19.80%635.51M
35.83%585M
30.46%498.48M
55.73%531.14M
55.73%531.14M
59.02%530.46M
31.50%430.69M
Total liabilities
-7.71%31.39B
-0.21%31.77B
-0.21%31.77B
4.49%32.8B
4.37%32.66B
3.50%34.02B
-3.10%31.84B
-3.10%31.84B
-0.95%31.39B
-0.79%31.29B
Shareholders'equity
Share capital
562.08%2.05B
0.00%309.51M
0.00%309.51M
0.00%309.51M
0.00%309.51M
0.00%309.51M
0.00%309.51M
0.00%309.51M
0.00%309.51M
0.00%309.51M
-common stock
562.08%2.05B
0.00%309.51M
0.00%309.51M
0.00%309.51M
0.00%309.51M
0.00%309.51M
0.00%309.51M
0.00%309.51M
0.00%309.51M
0.00%309.51M
Paid-in capital
----
1.33%1.74B
1.33%1.74B
1.15%1.74B
0.98%1.73B
-1.23%1.72B
-2.21%1.72B
-2.21%1.72B
-3.35%1.72B
-3.39%1.71B
Retained earnings
12.30%2.46B
13.75%2.38B
13.75%2.38B
19.47%2.35B
22.81%2.28B
24.44%2.19B
25.88%2.09B
25.88%2.09B
27.38%1.97B
28.96%1.86B
Gains losses not affecting retained earnings
4.94%-653.52M
19.56%-621.13M
19.56%-621.13M
-10.12%-894.99M
-44.69%-762.79M
-91.35%-687.47M
-1,331.69%-772.18M
-1,331.69%-772.18M
-410,595.45%-812.78M
-1,329.94%-527.18M
Total stockholders'equity
9.12%3.85B
13.79%3.8B
13.79%3.8B
10.08%3.5B
6.11%3.55B
2.33%3.53B
-8.93%3.34B
-8.93%3.34B
-12.38%3.18B
-5.98%3.35B
Total equity
9.12%3.85B
13.79%3.8B
13.79%3.8B
10.08%3.5B
6.11%3.55B
2.33%3.53B
-8.93%3.34B
-8.93%3.34B
-12.38%3.18B
-5.98%3.35B
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
--
--
--
(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022
Assets
Cash cash equivalents and federal funds sold ----33.74%1.19B33.74%1.19B59.68%1.36B-21.13%1.24B-24.86%2.88B-79.00%888.52M-79.00%888.52M-76.29%851.25M-41.99%1.57B
-Cash and cash equivalents ----33.80%1.19B33.80%1.19B59.71%1.36B-16.62%1.24B-24.87%2.88B-79.02%887.79M-79.02%887.79M-76.30%850.81M-45.14%1.48B
-Money market investments -----40.11%436K-40.11%436K7.05%471K-99.40%513K54.90%711K58.95%728K58.95%728K-3.51%440K18,599.78%85.46M
Receivables ----28.79%214.94M28.79%214.94M36.22%152.44M39.80%141.44M43.32%141.7M-25.84%166.89M-25.84%166.89M12.68%111.91M0.30%101.17M
-Accounts receivable ----19.21%157.18M19.21%157.18M36.22%152.44M39.80%141.44M43.32%141.7M36.01%131.85M36.01%131.85M12.68%111.91M0.30%101.17M
-Other receivables ----64.83%57.76M64.83%57.76M-------------72.64%35.04M-72.64%35.04M--------
Prepaid assets ----1.35%45.23M1.35%45.23M22.25%56.78M17.30%58.76M25.17%54.54M15.05%44.63M15.05%44.63M15.18%46.45M13.49%50.1M
Net loan 2.40%23.67B3.54%23.64B3.54%23.64B6.19%23.69B9.03%23.53B9.75%23.12B9.32%22.83B9.32%22.83B8.29%22.31B3.57%21.58B
-Gross loan 2.39%23.99B3.49%23.95B3.49%23.95B6.11%24B8.93%23.85B9.56%23.43B9.01%23.14B9.01%23.14B7.83%22.62B3.07%21.89B
-Allowance for loans and lease losses 1.40%313.73M0.04%307.91M0.04%307.91M0.06%306.29M2.05%314.5M-2.66%309.39M-10.02%307.79M-10.02%307.79M-17.60%306.12M-22.89%308.18M
Securities and investments -4.68%8B-9.62%7.6B-9.62%7.6B-5.01%7.92B-3.94%8.2B-1.07%8.39B-1.68%8.41B-1.68%8.41B0.30%8.33B-1.18%8.53B
-Available for sale securities --7.56B------------------------------------
-Held to maturity securities -----5.88%2.68B-5.88%2.68B-4.83%2.73B1.05%2.78B13.54%2.83B82.18%2.85B82.18%2.85B119.19%2.87B106.50%2.75B
-Short term investments -92.11%439.02M-11.53%4.92B-11.53%4.92B-5.10%5.19B-6.31%5.41B-7.13%5.57B-20.48%5.56B-20.48%5.56B-21.91%5.47B-20.83%5.78B
Long term equity investment -----0.71%90.27M-0.71%90.27M------------9.80%90.91M9.80%90.91M--------
Federal home loan bank stock ----112.31%138.99M112.31%138.99M------------24.12%65.47M24.12%65.47M--------
Derivative assets -----17.16%90.71M-17.16%90.71M------------44.33%109.5M44.33%109.5M--------
Bank owned life insurance ----2.70%749.5M2.70%749.5M2.74%745.74M2.06%740.63M1.47%736.98M9.82%729.77M9.82%729.77M9.68%725.82M9.93%725.66M
Net PPE -----4.24%407.44M-4.24%407.44M-6.68%416.83M-3.94%432.93M-6.33%425.56M-5.98%425.49M-5.98%425.49M-0.51%446.67M-0.93%450.68M
-Gross PPE ----1.05%782M1.05%782M-0.85%780.33M1.39%792.7M-0.14%776.8M0.89%773.84M0.89%773.84M4.58%786.98M4.29%781.87M
-Accumulated depreciation -----7.52%-374.56M-7.52%-374.56M-6.81%-363.5M-8.63%-359.77M-8.56%-351.24M-10.77%-348.35M-10.77%-348.35M-12.10%-340.31M-12.33%-331.19M
Foreclosed assets ----79.87%3.63M79.87%3.63M117.12%4.53M-37.29%2.17M-68.86%1.98M-73.22%2.02M-73.22%2.02M-75.25%2.09M-66.01%3.47M
Goodwill and other intangible assets -1.21%897.56M-1.27%900.09M-1.27%900.09M-1.33%902.76M-1.39%905.58M-1.45%908.53M-1.52%911.65M-1.52%911.65M-1.58%914.92M-1.64%918.35M
-Goodwill ----0.00%855.45M0.00%855.45M0.00%855.45M0.00%855.45M0.00%855.45M0.00%855.45M0.00%855.45M0.00%855.45M0.00%855.45M
-Other intangible assets -----20.56%44.64M-20.56%44.64M-20.44%47.31M-20.30%50.12M-20.16%53.08M-19.98%56.19M-19.98%56.19M-19.80%59.46M-19.60%62.89M
Defined pension benefit ----0.01%216.85M0.01%216.85M-6.93%219.46M-6.28%216.15M-6.35%218.39M-4.85%216.82M-4.85%216.82M7.12%235.8M7.39%230.63M
Other assets 458.25%2.68B74.88%139.15M74.88%139.15M48.75%586.34M48.78%546.71M22.92%479.65M-26.49%79.57M-26.49%79.57M-2.76%394.18M-26.90%367.46M
Total assets -6.13%35.25B1.12%35.58B1.12%35.58B5.01%36.3B4.54%36.21B3.39%37.55B-3.69%35.18B-3.69%35.18B-2.13%34.57B-1.31%34.64B
Liabilities
Total deposits 0.55%29.78B2.13%29.69B2.13%29.69B4.73%30.32B0.59%30.04B-2.91%29.61B-4.58%29.07B-4.58%29.07B-0.88%28.95B2.03%29.87B
Payables ----352.94%45M352.94%45M796.62%52.57M1,677.51%35.64M627.68%21.82M220.17%9.94M220.17%9.94M91.60%5.86M-39.26%2.01M
-Accounts payable ----352.94%45M352.94%45M796.62%52.57M1,677.51%35.64M627.68%21.82M220.17%9.94M220.17%9.94M91.60%5.86M-39.26%2.01M
Current debt and capital lease obligation -81.03%667.76M-38.29%1.15B-38.29%1.15B-7.59%1.43B158.65%1.63B117.21%3.52B12.38%1.87B12.38%1.87B-11.59%1.54B-58.46%630.01M
-Current debt -81.03%667.76M-38.29%1.15B-38.29%1.15B-7.59%1.43B158.65%1.63B117.21%3.52B12.38%1.87B12.38%1.87B-11.59%1.54B-58.46%630.01M
Long term debt and capital lease obligation -34.89%236.36M0.96%361.94M0.96%361.94M1.89%362.95M0.93%361.99M0.48%362.99M-2.13%358.5M-2.13%358.5M-3.00%356.23M-3.32%358.66M
-Long term debt -2.38%236.36M-2.38%236.32M-2.38%236.32M-0.06%236.28M-1.60%236.24M0.69%242.12M-0.88%242.08M-0.88%242.08M-4.68%236.41M-3.21%240.09M
-Long term capital lease obligation ----7.90%125.62M7.90%125.62M5.72%126.67M6.05%125.75M0.07%120.87M-4.63%116.42M-4.63%116.42M0.48%119.82M-3.55%118.57M
Other liabilities 43.17%713.66M-1.52%523.09M-1.52%523.09M19.80%635.51M35.83%585M30.46%498.48M55.73%531.14M55.73%531.14M59.02%530.46M31.50%430.69M
Total liabilities -7.71%31.39B-0.21%31.77B-0.21%31.77B4.49%32.8B4.37%32.66B3.50%34.02B-3.10%31.84B-3.10%31.84B-0.95%31.39B-0.79%31.29B
Shareholders'equity
Share capital 562.08%2.05B0.00%309.51M0.00%309.51M0.00%309.51M0.00%309.51M0.00%309.51M0.00%309.51M0.00%309.51M0.00%309.51M0.00%309.51M
-common stock 562.08%2.05B0.00%309.51M0.00%309.51M0.00%309.51M0.00%309.51M0.00%309.51M0.00%309.51M0.00%309.51M0.00%309.51M0.00%309.51M
Paid-in capital ----1.33%1.74B1.33%1.74B1.15%1.74B0.98%1.73B-1.23%1.72B-2.21%1.72B-2.21%1.72B-3.35%1.72B-3.39%1.71B
Retained earnings 12.30%2.46B13.75%2.38B13.75%2.38B19.47%2.35B22.81%2.28B24.44%2.19B25.88%2.09B25.88%2.09B27.38%1.97B28.96%1.86B
Gains losses not affecting retained earnings 4.94%-653.52M19.56%-621.13M19.56%-621.13M-10.12%-894.99M-44.69%-762.79M-91.35%-687.47M-1,331.69%-772.18M-1,331.69%-772.18M-410,595.45%-812.78M-1,329.94%-527.18M
Total stockholders'equity 9.12%3.85B13.79%3.8B13.79%3.8B10.08%3.5B6.11%3.55B2.33%3.53B-8.93%3.34B-8.93%3.34B-12.38%3.18B-5.98%3.35B
Total equity 9.12%3.85B13.79%3.8B13.79%3.8B10.08%3.5B6.11%3.55B2.33%3.53B-8.93%3.34B-8.93%3.34B-12.38%3.18B-5.98%3.35B
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------

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