BOK FINANCIAL CORPBOKF

時価総額
$67.3億
PER
2010年
12月31日
2011年
12月31日
2012年
12月31日
2013年
12月31日
2014年
12月31日
2015年
12月31日
2016年
12月31日
2017年
12月31日
2018年
12月31日
2019年
12月31日
2020年
12月31日
2021年
12月31日
2022年
12月31日
2023年
12月31日
Net income248290354319295292232336446501435616520531
Provision for credit losses105-6-22-28-3465-7844223-1003046
Mortgage Servicing Rights (MSR) Impairment (Recovery)-4409-231652-0-55480-42-803
Change in fair value of mortgage servicing rights due to loan runoff------4134343942393227
Net unrealized losses (gains) from derivative contracts-19101-166-1-11-4-52659-3052-133
Share-based compensation89871012102441616101216
Depreciation and amortization5950555356664754619599102108110
Net amortization of discounts and premiums-112-88-62-57-55-42-29-3117-5-18-920
Net losses (gains) on financial instruments and other losses (gains), net1413613115133-1011667-126
Net loss (gain) on mortgage loans held for sale----627664473640115703-4
Mortgage loans originated for sale-2,2933,7084,0814,4846,3736,1173,2872,5873,0263,7642,8191,180666
Proceeds from Sale, Loan, Mortgage, Held-for-Sale2,2462,3703,7324,2544,4426,4476,1943,4062,6913,0363,8172,9401,296679
Capitalized mortgage servicing rights----54807139353531311812
Change in trading and fair value option securities-139-247-226-23824369-1508041,0234832,1044,358-4,420453
Change in receivables--24-9377604-32238741-945-3934317
Change in other assets9-16-11-76-7820506-28-19-213-13-90
Change in other liabilities59-50-3-14116-11182-1395891351-80
Net cash provided by (used in) operating activities365328592736-37295-93215-552-474-416-3,6935,12266
Proceeds from maturities or redemptions of investment securities11268112143637387112125604734158268
Proceeds from maturities or redemptions of available for sale securities3,1853,6514,4562,6501,6361,5431,7401,8411,1231,8412,6953,5002,1921,558
Purchases of investment securities21137172327452542334---103
Purchases of available for sale securities--------1,9555,2454,5754,6074,5342,951
Proceeds from sales of available for sale securities--------7461,212385623307835
Change in amount receivable on unsettled security transactions-13560-136194-573433-693825-6-1010-86
Loans originated, net of principal collected-4695981,0774411,3471,681622781,553441,104-2,8532,3491,350
Net payments or proceeds on derivative asset contracts--513-59248156104-479114-34121-1617-155
Net change in restricted equity securities------------217123
Sale of subsidiary-------------33
Net change in restricted equity securities----------28988--
Net change in restricted equity securities------------217123
Proceeds from disposition of assets39122171229273196199274309179731656140
Net change in restricted equity securities----------28988--
Purchases of assets34-5695212307265200251345385141204215166
Proceeds from disposition of assets39122171229273196199274309179731656140
Net cash provided by (used in) investing activities43-1,564-2,368437-434-2,001-286740-1,808-2,324-2,4592,603-4,603-1,791
Purchases of assets34-5695212307265200251345385141204215166
Net cash provided by (used in) investing activities43-1,564-2,368437-434-2,001-286740-1,808-2,324-2,4592,603-4,603-1,791
Net change in demand deposits, transaction deposits and savings accounts1,9201,7112,830-6389591501,277-563-142,2538,7735,361-6,519-2,011
Net change in time deposits-258-127-414-272-87-203-216-123-73104-251-263-2421,550
Net change in other borrowed funds------------1,2694,6101,803
Repayment of subordinated debentures------227----150--
Change in amount due on unsettled security purchases-52493-356-252245-274-10145-41-4264-117-18190
Proceeds from Issuance of Common Stock--151747124-0-0-5-5-5-5
Net change in derivative margin accounts70-102395284-43-29-1885-207-600-468520631
Net payments or proceeds on derivative liability contracts---65-257-149-106485-11434-127802166
Repurchase of common stock-2621-122306775312976118155177
Dividends paid6776167105111115113116127143144144144143
Net cash provided by (used in) financing activities-609532,077-1,3721,8591,874273-1,1751,1862,9132,7972,747-1,9551,672
Net increase (decrease) in cash and cash equivalents-----------781,657-1,436-53
Cash paid for interest1441229070666683128243417160691761,045
Cash paid for taxes1341561591326710280122928713613580174
Real Estate Owned, Transfer to Real Estate Owned--1348779133671011858121
Transfer of available for sale securities to investment securities, Fair Value------------2,454-
Increase in U.S. government guaranteed loans eligible for repurchase-15412112814512312014810092291873414
Conveyance of other real estate owned guaranteed by US govt---44451116941382911686
Right-of-Use Asset Obtained in Exchange for Operating Lease Liability---------6316412272