UMB FINANCIAL CORPUMBF

時価総額
$52.8億
PER
2010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
Loans4,5845,6876,5217,4669,43110,54011,28112,17813,43216,10417,17121,031
Allowance for credit losses on loans747175768192101104102216195192
Net loans4,5105,6156,4467,3909,35010,44911,18012,07513,33015,88816,97620,839
Loans held for sale----15138712
Available For Sale Securities Debt Securities-------6,5437,4479,30011,9777,006
Held To Maturity Securities Net Of Allowance For Credit Losses---------1,0121,4785,859
Trading securities425628273040546146353218
Other securities----65686674108296327350
Total securities5,7427,1347,0517,2867,5697,6907,6407,8488,71810,64313,81413,233
Federal funds sold and securities purchased under agreements to resell23590871181743241926271,5781,6501,216959
Interest-bearing due from banks8497212,0931,5395237161,3521,0481,2253,1108,8421,179
Cash and due from banks356668521444458422393645473431414501
Premises and equipment, net220245250258281289276284300293271264
Accrued income77707879909999110125140131189
Goodwill211210210210228228181181181181175207
Other intangibles, net-6956444734201528211479
Other assets991031191323744254395155967648391,060
Total assets12,40514,92716,91217,50119,09420,68321,77223,35126,56133,12842,69338,512
Noninterest-bearing demand2,8894,9215,1905,6446,3076,6556,8396,6806,9449,88016,34313,260
Interest-bearing demand and savings4,4465,4507,0016,7097,5308,7809,90411,45413,43216,29518,40618,462
Time deposits under $250,000-----614548594612478404379
Time Deposits250000 Or More-----522732553615398448538
Total deposits9,02911,65313,64113,61715,09316,57118,02319,28121,60327,05135,60032,639
Federal funds purchased and repurchase agreements2,0841,7871,5832,0251,8181,8571,2611,5191,8972,3153,2382,222
Long-term debt96598677798397270272381
Accrued expenses and taxes145182153180161173191178232320249240
Other liabilities4119232637433662125155189363
Total liabilities11,34413,64815,40615,85717,20118,72019,59021,12323,95530,11139,54835,845
Common Stock Value555555555555555555555555
Capital surplus---8951,0201,0331,0461,0551,0741,0901,1111,126
Retained earnings6237878859641,0341,1431,3381,4881,6721,8912,1772,536
Accumulated other comprehensive (loss) income, net2586-3311-4-58-46-9683318126-703
Treasury stock, 6,737,326 and 6,625,925 shares, at cost, respectively361380283281212211212274278338323347
Total shareholders' equity1,0611,2791,5061,6441,8941,9622,1822,2282,6063,0173,1452,667
Total liabilities and shareholders' equity12,40514,92716,91217,50119,09420,68321,77223,35126,56133,12842,69338,512