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FULTON FINANCIAL CORP DEP SHS REP 1/40TH INT PERP NCUM PFD A (FULTP)

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  • 18.920
  • +0.114+0.61%
Close Jan 22 16:00 ET
3.78MMarket Cap0.00P/E (TTM)

FULTON FINANCIAL CORP DEP SHS REP 1/40TH INT PERP NCUM PFD A (FULTP) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
Assets
Cash cash equivalents and federal funds sold
-74.39%271.46M
-74.39%271.46M
-43.98%786.9M
-43.63%780.96M
193.06%1.01B
99.11%1.06B
99.11%1.06B
244.01%1.4B
180.90%1.39B
-37.63%346.33M
-Cash and cash equivalents
-74.39%271.46M
-74.39%271.46M
-43.98%786.9M
-43.63%780.96M
193.06%1.01B
99.11%1.06B
99.11%1.06B
244.01%1.4B
180.90%1.39B
-37.63%346.33M
Receivables
-3.03%451.11M
-3.03%451.11M
0.98%488.78M
4.90%500.56M
-6.55%450.96M
-2.86%465.19M
-2.86%465.19M
2.17%484.02M
10.45%477.17M
14.70%482.55M
-Accounts receivable
-2.85%113.7M
-2.85%113.7M
-1.64%114M
-3.00%117.13M
8.52%116.22M
8.39%117.03M
8.39%117.03M
14.05%115.9M
24.50%120.75M
18.64%107.09M
-Other receivables
-3.09%337.41M
-3.09%337.41M
1.81%374.77M
7.58%383.43M
-10.84%334.74M
-6.14%348.16M
-6.14%348.16M
-1.08%368.11M
6.38%356.42M
13.62%375.46M
Net loan
0.50%23.46B
0.50%23.46B
-0.59%23.31B
-0.54%23.28B
11.46%23.16B
12.76%23.34B
12.76%23.34B
14.20%23.45B
14.50%23.4B
3.56%20.78B
-Gross loan
0.29%23.82B
0.29%23.82B
-0.57%23.72B
-0.52%23.69B
11.66%23.58B
12.74%23.76B
12.74%23.76B
14.42%23.86B
14.77%23.81B
3.67%21.11B
-Allowance for loans and lease losses
-3.14%364.46M
-3.14%364.46M
0.84%376.26M
0.22%373.48M
27.99%376.61M
29.74%376.26M
29.74%376.26M
32.85%373.11M
34.79%372.65M
9.57%294.25M
-Unearned income
----
----
-2.72%-37.8M
-5.74%-38.7M
5.53%-35.9M
54.94%-35.6M
54.94%-35.6M
4.66%-36.8M
-14.79%-36.6M
-21.86%-38M
Securities and investments
19.52%5.74B
19.52%5.74B
11.00%5.05B
21.73%5.09B
34.04%5.07B
31.10%4.81B
31.10%4.81B
22.89%4.55B
8.19%4.18B
-4.22%3.78B
-Available for sale securities
422.39%5.74B
422.39%5.74B
-7.60%1.05B
-10.45%1.02B
-28.60%1.06B
--1.1B
--1.1B
-17.04%1.14B
-22.21%1.14B
-0.54%1.49B
-Held to maturity securities
----
----
17.79%1.45B
18.38%1.47B
19.09%1.5B
10.07%1.4B
10.07%1.4B
-3.73%1.23B
-3.88%1.24B
-3.92%1.26B
-Short term investments
----
----
16.89%2.54B
44.55%2.6B
141.86%2.51B
-3.63%2.31B
-3.63%2.31B
107.79%2.17B
62.94%1.8B
-9.37%1.04B
Federal home loan bank stock
----
----
-4.91%136.18M
12.94%141.52M
11.94%136.16M
12.19%139.57M
12.19%139.57M
34.64%143.21M
0.87%125.3M
13.04%121.64M
Net PPE
-10.38%175.24M
-10.38%175.24M
4.03%178.64M
2.02%184.29M
-12.49%186.87M
-12.27%195.53M
-12.27%195.53M
-20.36%171.73M
-16.49%180.64M
-1.17%213.54M
-Gross PPE
----
----
----
----
----
-9.24%525.52M
-9.24%525.52M
----
----
----
-Accumulated depreciation
----
----
----
----
----
7.35%-329.99M
7.35%-329.99M
----
----
----
Goodwill and other intangible assets
-3.53%613M
-3.53%613M
-3.64%618.36M
-3.75%623.73M
12.33%629.19M
13.34%635.46M
13.34%635.46M
14.33%641.74M
15.33%648.03M
-0.60%560.11M
-Goodwill
----
----
----
----
----
0.00%553.35M
0.00%553.35M
----
----
----
-Other intangible assets
----
----
----
----
----
1,018.53%82.11M
1,018.53%82.11M
----
----
----
Other assets
-1.62%1.4B
-1.62%1.4B
6.34%1.43B
5.32%1.44B
9.22%1.48B
11.05%1.43B
11.05%1.43B
-2.39%1.35B
7.65%1.37B
9.93%1.35B
Total assets
0.15%32.12B
0.15%32.12B
-0.59%32B
0.85%32.04B
16.24%32.13B
16.32%32.07B
16.32%32.07B
17.57%32.19B
15.93%31.77B
1.96%27.64B
Liabilities
Total deposits
1.76%26.59B
1.76%26.59B
0.69%26.33B
2.26%26.14B
21.10%26.33B
21.32%26.13B
21.32%26.13B
22.08%26.15B
20.53%25.56B
2.00%21.74B
Federal funds purchased and securities sold under agreement to repurchase
----
----
----
----
----
-33.77%563.83M
-33.77%563.83M
----
----
----
Payables
----
----
-38.50%22.58M
-43.45%27.57M
2.47%27.01M
-9.87%31.62M
-9.87%31.62M
36.78%36.72M
102.30%48.76M
121.68%26.36M
-Accounts payable
----
----
-38.50%22.58M
-43.45%27.57M
2.47%27.01M
-9.87%31.62M
-9.87%31.62M
36.78%36.72M
102.30%48.76M
121.68%26.36M
Long term debt and capital lease obligation
6.50%1.3B
6.50%1.3B
-28.27%1.47B
-18.58%1.77B
-27.82%1.66B
-25.55%1.22B
-25.55%1.22B
12.38%2.05B
0.67%2.18B
19.48%2.3B
-Long term debt
6.50%1.3B
6.50%1.3B
-28.27%1.47B
-18.58%1.77B
-27.82%1.66B
-25.55%1.22B
-25.55%1.22B
12.38%2.05B
0.67%2.18B
19.48%2.3B
Other liabilities
-20.42%741.17M
-20.42%741.17M
1.86%754.45M
-12.43%771.67M
2.87%844.52M
23.93%931.38M
23.93%931.38M
-25.18%740.69M
8.62%881.2M
14.35%820.93M
Total liabilities
-0.85%28.63B
-0.85%28.63B
-1.38%28.58B
0.15%28.71B
15.96%28.86B
16.37%28.87B
16.37%28.87B
16.82%28.98B
15.78%28.67B
1.60%24.89B
Shareholders'equity
Share capital
----
----
0.38%810.59M
0.37%810.38M
6.65%808M
6.66%807.74M
6.66%807.74M
6.66%807.55M
6.66%807.4M
0.38%757.63M
-common stock
----
----
0.49%617.71M
0.48%617.5M
8.92%615.12M
8.94%614.87M
8.94%614.87M
8.93%614.67M
8.93%614.52M
0.52%564.75M
-Preferred stock
----
----
0.00%192.88M
0.00%192.88M
0.00%192.88M
0.00%192.88M
0.00%192.88M
0.00%192.88M
0.00%192.88M
0.00%192.88M
Paid-in capital
----
----
0.74%1.8B
0.72%1.79B
15.28%1.79B
15.22%1.79B
15.22%1.79B
15.25%1.79B
15.23%1.78B
0.64%1.55B
Retained earnings
----
----
12.63%1.96B
10.77%1.9B
11.03%1.83B
9.65%1.78B
9.65%1.78B
9.90%1.74B
11.05%1.71B
10.69%1.65B
Less: Treasury stock
----
----
4.77%930.52M
1.29%900.43M
0.14%887.48M
3.55%887.43M
3.55%887.43M
4.19%888.13M
7.96%888.99M
7.92%886.24M
Gains losses not affecting retained earnings
----
----
6.48%-227.54M
12.52%-271.67M
15.00%-271.55M
7.83%-287.82M
7.83%-287.82M
48.54%-243.3M
18.13%-310.53M
8.98%-319.47M
Total stockholders'equity
9.17%3.49B
9.17%3.49B
6.54%3.41B
7.34%3.33B
18.73%3.27B
15.84%3.2B
15.84%3.2B
24.83%3.2B
17.39%3.1B
5.30%2.76B
Total equity
9.17%3.49B
9.17%3.49B
6.54%3.41B
7.34%3.33B
18.73%3.27B
15.84%3.2B
15.84%3.2B
24.83%3.2B
17.39%3.1B
5.30%2.76B
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
--
--
--
--
(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024
Assets
Cash cash equivalents and federal funds sold -74.39%271.46M-74.39%271.46M-43.98%786.9M-43.63%780.96M193.06%1.01B99.11%1.06B99.11%1.06B244.01%1.4B180.90%1.39B-37.63%346.33M
-Cash and cash equivalents -74.39%271.46M-74.39%271.46M-43.98%786.9M-43.63%780.96M193.06%1.01B99.11%1.06B99.11%1.06B244.01%1.4B180.90%1.39B-37.63%346.33M
Receivables -3.03%451.11M-3.03%451.11M0.98%488.78M4.90%500.56M-6.55%450.96M-2.86%465.19M-2.86%465.19M2.17%484.02M10.45%477.17M14.70%482.55M
-Accounts receivable -2.85%113.7M-2.85%113.7M-1.64%114M-3.00%117.13M8.52%116.22M8.39%117.03M8.39%117.03M14.05%115.9M24.50%120.75M18.64%107.09M
-Other receivables -3.09%337.41M-3.09%337.41M1.81%374.77M7.58%383.43M-10.84%334.74M-6.14%348.16M-6.14%348.16M-1.08%368.11M6.38%356.42M13.62%375.46M
Net loan 0.50%23.46B0.50%23.46B-0.59%23.31B-0.54%23.28B11.46%23.16B12.76%23.34B12.76%23.34B14.20%23.45B14.50%23.4B3.56%20.78B
-Gross loan 0.29%23.82B0.29%23.82B-0.57%23.72B-0.52%23.69B11.66%23.58B12.74%23.76B12.74%23.76B14.42%23.86B14.77%23.81B3.67%21.11B
-Allowance for loans and lease losses -3.14%364.46M-3.14%364.46M0.84%376.26M0.22%373.48M27.99%376.61M29.74%376.26M29.74%376.26M32.85%373.11M34.79%372.65M9.57%294.25M
-Unearned income ---------2.72%-37.8M-5.74%-38.7M5.53%-35.9M54.94%-35.6M54.94%-35.6M4.66%-36.8M-14.79%-36.6M-21.86%-38M
Securities and investments 19.52%5.74B19.52%5.74B11.00%5.05B21.73%5.09B34.04%5.07B31.10%4.81B31.10%4.81B22.89%4.55B8.19%4.18B-4.22%3.78B
-Available for sale securities 422.39%5.74B422.39%5.74B-7.60%1.05B-10.45%1.02B-28.60%1.06B--1.1B--1.1B-17.04%1.14B-22.21%1.14B-0.54%1.49B
-Held to maturity securities --------17.79%1.45B18.38%1.47B19.09%1.5B10.07%1.4B10.07%1.4B-3.73%1.23B-3.88%1.24B-3.92%1.26B
-Short term investments --------16.89%2.54B44.55%2.6B141.86%2.51B-3.63%2.31B-3.63%2.31B107.79%2.17B62.94%1.8B-9.37%1.04B
Federal home loan bank stock ---------4.91%136.18M12.94%141.52M11.94%136.16M12.19%139.57M12.19%139.57M34.64%143.21M0.87%125.3M13.04%121.64M
Net PPE -10.38%175.24M-10.38%175.24M4.03%178.64M2.02%184.29M-12.49%186.87M-12.27%195.53M-12.27%195.53M-20.36%171.73M-16.49%180.64M-1.17%213.54M
-Gross PPE ---------------------9.24%525.52M-9.24%525.52M------------
-Accumulated depreciation --------------------7.35%-329.99M7.35%-329.99M------------
Goodwill and other intangible assets -3.53%613M-3.53%613M-3.64%618.36M-3.75%623.73M12.33%629.19M13.34%635.46M13.34%635.46M14.33%641.74M15.33%648.03M-0.60%560.11M
-Goodwill --------------------0.00%553.35M0.00%553.35M------------
-Other intangible assets --------------------1,018.53%82.11M1,018.53%82.11M------------
Other assets -1.62%1.4B-1.62%1.4B6.34%1.43B5.32%1.44B9.22%1.48B11.05%1.43B11.05%1.43B-2.39%1.35B7.65%1.37B9.93%1.35B
Total assets 0.15%32.12B0.15%32.12B-0.59%32B0.85%32.04B16.24%32.13B16.32%32.07B16.32%32.07B17.57%32.19B15.93%31.77B1.96%27.64B
Liabilities
Total deposits 1.76%26.59B1.76%26.59B0.69%26.33B2.26%26.14B21.10%26.33B21.32%26.13B21.32%26.13B22.08%26.15B20.53%25.56B2.00%21.74B
Federal funds purchased and securities sold under agreement to repurchase ---------------------33.77%563.83M-33.77%563.83M------------
Payables ---------38.50%22.58M-43.45%27.57M2.47%27.01M-9.87%31.62M-9.87%31.62M36.78%36.72M102.30%48.76M121.68%26.36M
-Accounts payable ---------38.50%22.58M-43.45%27.57M2.47%27.01M-9.87%31.62M-9.87%31.62M36.78%36.72M102.30%48.76M121.68%26.36M
Long term debt and capital lease obligation 6.50%1.3B6.50%1.3B-28.27%1.47B-18.58%1.77B-27.82%1.66B-25.55%1.22B-25.55%1.22B12.38%2.05B0.67%2.18B19.48%2.3B
-Long term debt 6.50%1.3B6.50%1.3B-28.27%1.47B-18.58%1.77B-27.82%1.66B-25.55%1.22B-25.55%1.22B12.38%2.05B0.67%2.18B19.48%2.3B
Other liabilities -20.42%741.17M-20.42%741.17M1.86%754.45M-12.43%771.67M2.87%844.52M23.93%931.38M23.93%931.38M-25.18%740.69M8.62%881.2M14.35%820.93M
Total liabilities -0.85%28.63B-0.85%28.63B-1.38%28.58B0.15%28.71B15.96%28.86B16.37%28.87B16.37%28.87B16.82%28.98B15.78%28.67B1.60%24.89B
Shareholders'equity
Share capital --------0.38%810.59M0.37%810.38M6.65%808M6.66%807.74M6.66%807.74M6.66%807.55M6.66%807.4M0.38%757.63M
-common stock --------0.49%617.71M0.48%617.5M8.92%615.12M8.94%614.87M8.94%614.87M8.93%614.67M8.93%614.52M0.52%564.75M
-Preferred stock --------0.00%192.88M0.00%192.88M0.00%192.88M0.00%192.88M0.00%192.88M0.00%192.88M0.00%192.88M0.00%192.88M
Paid-in capital --------0.74%1.8B0.72%1.79B15.28%1.79B15.22%1.79B15.22%1.79B15.25%1.79B15.23%1.78B0.64%1.55B
Retained earnings --------12.63%1.96B10.77%1.9B11.03%1.83B9.65%1.78B9.65%1.78B9.90%1.74B11.05%1.71B10.69%1.65B
Less: Treasury stock --------4.77%930.52M1.29%900.43M0.14%887.48M3.55%887.43M3.55%887.43M4.19%888.13M7.96%888.99M7.92%886.24M
Gains losses not affecting retained earnings --------6.48%-227.54M12.52%-271.67M15.00%-271.55M7.83%-287.82M7.83%-287.82M48.54%-243.3M18.13%-310.53M8.98%-319.47M
Total stockholders'equity 9.17%3.49B9.17%3.49B6.54%3.41B7.34%3.33B18.73%3.27B15.84%3.2B15.84%3.2B24.83%3.2B17.39%3.1B5.30%2.76B
Total equity 9.17%3.49B9.17%3.49B6.54%3.41B7.34%3.33B18.73%3.27B15.84%3.2B15.84%3.2B24.83%3.2B17.39%3.1B5.30%2.76B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------Unqualified Opinion--------
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