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CFR - Cullen/Frost Bankers...

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Cullen/Frost Bankers, Inc.

CFR

NYSE

Cullen/Frost Bankers, Inc. operates as the bank holding company for Frost Bank that offers commercial and consumer banking services in Texas. It operates in two segments, Banking and Frost Wealth Advisors. The company offers commercial banking services to corporations and other business clients, including financing for industrial and commercial properties, interim construction related to industrial and commercial properties, equipment, inventories and accounts receivables, and acquisitions; commercial leasing; and treasury management services. It also provides consumer banking services, such as checking accounts, savings programs, automated-teller machines (ATMs), overdraft facilities, installment and real estate loans, home equity loans and lines of credit, drive-in and night deposit services, safe deposit facilities, and brokerage services. In addition, the company offers international banking services comprising deposits, loans, letters of credit, foreign collections, funds, and foreign exchange services. Further, it acts as a correspondent for approximately 171 financial institutions; offers trust, investment, agency, and custodial services for individual and corporate clients; provides capital market services that include sales and trading, new issue underwriting, money market trading, advisory, and securities safekeeping and clearance; and supports international business activities. Additionally, the company offers insurance and securities brokerage services; and holds securities for investment purposes, as well as investment management services to Frost-managed mutual funds, institutions, and individuals. It operates approximately 157 financial centers and 1,650 ATMs. The company serves energy, manufacturing, services, construction, retail, telecommunications, healthcare, military, and transportation industries. Cullen/Frost Bankers, Inc. was founded in 1868 and is headquartered in San Antonio, Texas.

122.62 USD

2.75 (2.24%)

CFR Financial Statements

Year

2024

2023

2022

2021

Current Assets

15.77B

8.59B

20.01B

31.08B

Cash & Short Term Investments

15.77B

8.59B

18.94B

30.47B

Cash And Cash Equivalents

722.91M

8.6B

11.82B

16.54B

Short Term Investments

15.04B

-8.6M

18.24B

13.92B

Net Receivables

0

0

0

0

Inventory

0

0

-12.3B

-16.79B

Other Current Assets

0

0

0

0

Non-Current Assets

1.25B

41.87B

1.76B

17.41B

Property, Plant & Equipment

1.25B

1.19B

1.1B

1.05B

Goodwill And Intangible Assets

0

0

655M

656M

Goodwill

0

0

654.95M

654.95M

Intangible Assets

0

0

386k

866k

Long Term Investments

0

0

20.91B

15.7B

Tax Assets

0

0

0

0

Other Non-Current Assets

0

40.68B

-20.91B

-17.41B

Other Assets

35.51B

377.08M

31.12B

413.55M

Total Assets

52.52B

50.85B

52.89B

48.9B

-

-

-

-

Current Liabilities

0

61.22M

866.26M

754.33M

Accounts Payable

0

0

866.26M

754.33M

Short Term Debt

0

0

0

0

Tax Payables

0

0

0

0

Deferred Revenue

0

0

-3.88B

-2.04B

Other Current Liabilities

0

61.22M

3.01B

1.29B

Total Current Liabilities

0

61.22M

866.26M

754.33M

Total Non-Current Liabilities

222.83M

47.07B

866.26M

222.19M

Long-Term Debt

222.83M

222.62M

222.4M

222.19M

Deferred Revenue

0

0

0

0

Deferred Taxes Liabilities

0

0

0

0

Other Non Current liabilities

0

46.84B

49.53B

46.22B

Total Liabilities

48.62B

47.13B

49.76B

44.46B

Other Liabilities

48.62B

0

48.02B

43.48B

Stockholders Equity

3.9B

3.72B

3.14B

4.44B

Common Stock

644k

644k

643k

642k

Retained Earnings

3.95B

3.66B

3.31B

2.96B

Accumulated Other Comprehensive Income/Loss

-1.25B

-1.12B

-1.35B

347.32M

Other Shareholders Equity

1.05B

1.03B

1.03B

989.18M

Total Liabilities and Stockholders Equity

52.52B

50.85B

52.89B

48.9B

Retained Earning Schedule

Year

2024

2023

2022

2021

Retained Earnings (Previous Year)

3.66B

3.31B

2.96B

2.75B

Net Income

582.54M

597.97M

579.15M

443.08M

Stock Repurchases

-60.9M

-42.72M

-4.39M

-3.86M

Dividend Paid

-6.67M

-239M

-216.46M

-195.94M

Retained Earnings

3.95B

3.66B

3.31B

2.96B

Other Distributions

226.22M

66.3M

131.86M

6.44M

PPE Schedule

Year

2024

2023

2022

2021

Gross PPE

1.25B

1.19B

1.1B

1.05B

Annual Depreciation

82.82M

0

91.17M

88.61M

Capital Expenditure

0

-158.63M

-102.5M

-65.85M

Net PPE

1.16B

1.35B

1.11B

1.03B

Intangible and Goodwill Schedule

Year

2024

2023

2022

2021

Acquisitions and Adjustments

0

-654.95M

0

0

Goodwill (Previous Year)

0

654.95M

654.95M

654.95M

Goodwill

0

0

654.95M

654.95M

All figures are in USD.

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