Fulton Financial Cor (FULT)
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Fiscal Year End Date: 12/31
12-2008 | 12-2007 | 12-2006 | 12-2005 | 12-2004 | |
Cash Flows From Operating Activities | |||||
Net Income | -5,617 | 152,718 | 185,527 | 166,074 | 149,608 |
Depreciation Amortization | 117,145 | 30,156 | 30,785 | 26,734 | 27,041 |
Income taxes - deferred | -52,483 | -13,646 | -5,779 | 990 | 816 |
Other Working Capital | -30,314 | 118,543 | -5,828 | -42,647 | 6,438 |
Loans | -7,354 | 104,781 | 4,336 | -40,780 | -727 |
Other Operating Activity | 173,369 | -87,861 | -7,373 | 38,047 | -8,545 |
Operating Cash Flow | $194,746 | $304,691 | $201,668 | $148,418 | $174,631 |
Cash Flows From Investing Activities | |||||
Change In Deposits | -557 | 7,035 | 20,598 | 78,265 | -9,188 |
PPE Investments | -29,054 | -21,606 | -32,642 | -30,263 | -16,161 |
Net Acquisitions | 100,516 | N/A | -109,729 | -3,791 | 7,810 |
Purchase Of Investment | -989,751 | -1,113,490 | -869,574 | -866,300 | -281,178 |
Sale Of Investment | 1,378,321 | 859,002 | 751,228 | 820,712 | 1,061,036 |
Net Loans | -961,002 | -809,562 | -886,372 | -589,053 | -577,403 |
Investing Cash Flow | $-501,527 | $-1,078,621 | $-1,126,491 | $-590,430 | $184,916 |
Cash Flows From Financing Activities | |||||
Change In Short Term Borrowing | -621,174 | 703,104 | 197,795 | 104,438 | -338,845 |
Debt Issued | 344,690 | 1,463,633 | 550,166 | 319,606 | 45,000 |
Debt Repayment | -199,026 | -1,125,648 | -186,499 | -168,207 | -63,509 |
Common Stock Issued | 13,177 | 7,368 | 9,074 | 10,722 | 9,619 |
Common Stock Repurchased | N/A | -18,227 | -20,193 | -85,168 | -78,966 |
Dividend Paid | -103,976 | -103,122 | -98,022 | -85,495 | -74,802 |
Other Financing Activity | 376,500 | 111 | 783 | 269 | 177 |
Financing Cash Flow | $256,662 | $800,195 | $911,798 | $531,990 | $-382,448 |
Beginning Cash Position | 381,283 | 355,018 | 368,043 | 278,065 | 300,966 |
End Cash Position | 331,164 | 381,283 | 355,018 | 368,043 | 278,065 |
Net Cash Flow | $-50,119 | $26,265 | $-13,025 | $89,978 | $-22,901 |
Free Cash Flow | |||||
Operating Cash Flow | 194,746 | 304,691 | 201,668 | 148,418 | 174,631 |
Capital Expenditure | -29,054 | -21,606 | -32,642 | -30,263 | -16,161 |
Free Cash Flow | 165,692 | 283,085 | 169,026 | 118,155 | 158,470 |