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AUBAP Atlantic Union Bankshares Corp

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  • 25.270
  • 0.0000.00%
Close Jan 17 16:00 ET
0Market Cap0.00P/E (TTM)

Atlantic Union Bankshares Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Assets
Cash cash equivalents and federal funds sold
5.91%571.32M
10.25%506.94M
12.14%493.6M
12.14%493.6M
6.50%503.73M
63.82%539.45M
-2.86%459.81M
-49.94%440.16M
-49.94%440.16M
-58.51%472.99M
-Cash and cash equivalents
3.14%440.19M
6.13%394.24M
14.40%364.36M
14.40%364.36M
0.90%393.24M
77.10%426.79M
-5.08%371.48M
-60.17%318.49M
-60.17%318.49M
-63.33%389.75M
-Money market investments
294.84%5.82M
238.53%2.43M
845.50%13.78M
845.50%13.78M
379.88%5.7M
279.90%1.47M
-85.44%719K
-48.41%1.46M
-48.41%1.46M
215.12%1.19M
-Restricted cash and investments
12.71%125.31M
25.86%110.27M
-3.94%115.47M
-3.94%115.47M
27.71%104.79M
26.47%111.18M
13.74%87.62M
56.48%120.21M
56.48%120.21M
6.80%82.05M
Net loan
21.70%18.2B
8.60%15.73B
8.14%15.51B
8.14%15.51B
9.70%15.16B
10.24%14.96B
8.25%14.48B
9.34%14.34B
9.34%14.34B
5.74%13.82B
-Gross loan
21.77%18.36B
8.67%15.86B
8.22%15.64B
8.22%15.64B
9.75%15.29B
10.28%15.08B
8.29%14.6B
9.35%14.45B
9.35%14.45B
5.74%13.93B
-Allowance for loans and lease losses
31.03%158.13M
16.89%136.19M
19.33%132.18M
19.33%132.18M
16.31%125.63M
15.84%120.68M
13.57%116.51M
11.00%110.77M
11.00%110.77M
6.10%108.01M
Securities and investments
11.02%3.37B
-2.47%3.03B
-14.51%3.07B
-14.51%3.07B
-17.72%2.93B
-18.76%3.03B
-21.32%3.11B
-12.66%3.59B
-12.66%3.59B
-4.62%3.56B
-Held to maturity securities
-4.61%810.45M
-3.10%828.93M
-1.22%837.38M
-1.22%837.38M
0.23%843.27M
8.82%849.61M
13.02%855.42M
34.99%847.73M
34.99%847.73M
57.05%841.35M
-Short term investments
17.10%2.56B
-2.23%2.2B
-18.62%2.23B
-18.62%2.23B
-23.27%2.08B
-26.05%2.18B
-29.47%2.25B
-21.25%2.74B
-21.25%2.74B
-14.96%2.72B
Bank owned life insurance
9.66%489.55M
2.78%455.89M
2.70%452.57M
2.70%452.57M
2.62%449.45M
2.23%446.44M
2.19%443.54M
2.12%440.66M
2.12%440.66M
1.78%437.99M
Net PPE
0.18%114.99M
-22.62%90.13M
-23.07%90.96M
-23.07%90.96M
-25.21%94.51M
-10.78%114.79M
-11.09%116.47M
-12.29%118.24M
-12.29%118.24M
-20.81%126.37M
-Gross PPE
----
----
-0.97%231.36M
-0.97%231.36M
----
----
----
-4.54%233.63M
-4.54%233.63M
----
-Accumulated depreciation
----
----
-21.68%-140.4M
-21.68%-140.4M
----
----
----
-4.95%-115.39M
-4.95%-115.39M
----
Goodwill and other intangible assets
37.40%1.3B
-0.76%942.5M
-0.80%944.39M
-0.80%944.39M
-0.82%946.49M
-0.85%948.68M
-2.68%949.69M
-2.75%951.97M
-2.75%951.97M
-2.82%954.35M
-Goodwill
30.51%1.21B
0.00%925.21M
0.00%925.21M
0.00%925.21M
0.00%925.21M
0.00%925.21M
-1.11%925.21M
-1.11%925.21M
-1.11%925.21M
-1.11%925.21M
-Other intangible assets
308.97%95.98M
-29.38%17.29M
-28.32%19.18M
-28.32%19.18M
-26.99%21.28M
-25.78%23.47M
-39.21%24.48M
-38.21%26.76M
-38.21%26.76M
-37.38%29.14M
Other assets
26.51%713.95M
14.66%623.89M
4.88%606.47M
4.88%606.47M
12.67%649.26M
10.43%564.35M
23.63%544.1M
39.77%578.25M
39.77%578.25M
37.38%576.25M
Total assets
20.19%24.76B
6.34%21.38B
3.45%21.17B
3.45%21.17B
3.94%20.74B
4.78%20.6B
1.62%20.1B
1.98%20.46B
1.98%20.46B
0.07%19.95B
Liabilities
Total deposits
21.87%20B
5.00%17.28B
5.56%16.82B
5.56%16.82B
1.45%16.79B
1.76%16.41B
-0.17%16.46B
-4.09%15.93B
-4.09%15.93B
-0.46%16.55B
Federal funds purchased and securities sold under agreement to repurchase
-50.49%64.59M
-59.45%66.41M
-33.68%200.83M
-33.68%200.83M
-7.69%134.94M
9.95%130.46M
42.37%163.76M
156.92%302.84M
156.92%302.84M
53.58%146.18M
Current debt and capital lease obligation
-9.24%725.5M
144.90%600M
-29.13%720M
-29.13%720M
269.96%495M
175.66%799.4M
--245M
--1.02B
--1.02B
--133.8M
-Current debt
-9.24%725.5M
144.90%600M
-29.13%720M
-29.13%720M
269.96%495M
175.66%799.4M
--245M
--1.02B
--1.02B
--133.8M
Long term debt and capital lease obligation
6.71%416.65M
0.30%391.32M
0.30%391.03M
0.30%391.03M
0.30%390.73M
0.30%390.44M
0.29%390.15M
0.29%389.86M
0.29%389.86M
34.07%389.58M
-Long term debt
6.71%416.65M
0.30%391.32M
0.30%391.03M
0.30%391.03M
0.30%390.73M
0.30%390.44M
0.29%390.15M
0.29%389.86M
0.29%389.86M
34.07%389.58M
Other liabilities
14.49%510.12M
20.75%493.03M
7.11%479.88M
7.11%479.88M
19.18%540.26M
29.63%445.57M
38.02%408.31M
88.99%448.02M
88.99%448.02M
94.31%453.31M
Total liabilities
19.47%21.72B
6.60%18.83B
2.88%18.61B
2.88%18.61B
3.84%18.35B
5.25%18.18B
2.19%17.66B
4.23%18.09B
4.23%18.09B
2.48%17.67B
Shareholders'equity
Share capital
19.53%118.65M
0.33%99.57M
0.28%99.32M
0.28%99.32M
0.28%99.29M
0.27%99.26M
-0.58%99.25M
-1.22%99.05M
-1.22%99.05M
-1.21%99.02M
-common stock
19.57%118.48M
0.33%99.4M
0.28%99.15M
0.28%99.15M
0.28%99.12M
0.27%99.09M
-0.58%99.07M
-1.23%98.87M
-1.23%98.87M
-1.22%98.85M
-Preferred stock
0.00%173K
0.00%173K
0.00%173K
0.00%173K
0.00%173K
0.00%173K
0.00%173K
0.00%173K
0.00%173K
0.00%173K
Paid-in capital
27.97%2.27B
0.55%1.78B
0.56%1.78B
0.56%1.78B
0.53%1.78B
0.53%1.78B
-0.76%1.77B
-1.93%1.77B
-1.93%1.77B
-1.93%1.77B
Retained earnings
7.79%1.03B
11.94%1.04B
10.72%1.02B
10.72%1.02B
13.01%988.13M
14.01%959.58M
15.74%929.81M
17.32%919.54M
17.32%919.54M
15.03%874.39M
Gains losses not affecting retained earnings
6.88%-382.59M
-3.42%-374.3M
17.92%-343.35M
17.92%-343.35M
-3.42%-477.91M
-29.90%-410.87M
-89.02%-361.93M
-2,344.63%-418.29M
-2,344.63%-418.29M
-1,670.60%-462.12M
Total stockholders'equity
25.54%3.04B
4.45%2.55B
7.74%2.56B
7.74%2.56B
4.72%2.39B
1.38%2.42B
-2.33%2.44B
-12.45%2.37B
-12.45%2.37B
-15.34%2.28B
Total equity
25.54%3.04B
4.45%2.55B
7.74%2.56B
7.74%2.56B
4.72%2.39B
1.38%2.42B
-2.33%2.44B
-12.45%2.37B
-12.45%2.37B
-15.34%2.28B
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
--
--
--
--
--
--
--
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Assets
Cash cash equivalents and federal funds sold 5.91%571.32M10.25%506.94M12.14%493.6M12.14%493.6M6.50%503.73M63.82%539.45M-2.86%459.81M-49.94%440.16M-49.94%440.16M-58.51%472.99M
-Cash and cash equivalents 3.14%440.19M6.13%394.24M14.40%364.36M14.40%364.36M0.90%393.24M77.10%426.79M-5.08%371.48M-60.17%318.49M-60.17%318.49M-63.33%389.75M
-Money market investments 294.84%5.82M238.53%2.43M845.50%13.78M845.50%13.78M379.88%5.7M279.90%1.47M-85.44%719K-48.41%1.46M-48.41%1.46M215.12%1.19M
-Restricted cash and investments 12.71%125.31M25.86%110.27M-3.94%115.47M-3.94%115.47M27.71%104.79M26.47%111.18M13.74%87.62M56.48%120.21M56.48%120.21M6.80%82.05M
Net loan 21.70%18.2B8.60%15.73B8.14%15.51B8.14%15.51B9.70%15.16B10.24%14.96B8.25%14.48B9.34%14.34B9.34%14.34B5.74%13.82B
-Gross loan 21.77%18.36B8.67%15.86B8.22%15.64B8.22%15.64B9.75%15.29B10.28%15.08B8.29%14.6B9.35%14.45B9.35%14.45B5.74%13.93B
-Allowance for loans and lease losses 31.03%158.13M16.89%136.19M19.33%132.18M19.33%132.18M16.31%125.63M15.84%120.68M13.57%116.51M11.00%110.77M11.00%110.77M6.10%108.01M
Securities and investments 11.02%3.37B-2.47%3.03B-14.51%3.07B-14.51%3.07B-17.72%2.93B-18.76%3.03B-21.32%3.11B-12.66%3.59B-12.66%3.59B-4.62%3.56B
-Held to maturity securities -4.61%810.45M-3.10%828.93M-1.22%837.38M-1.22%837.38M0.23%843.27M8.82%849.61M13.02%855.42M34.99%847.73M34.99%847.73M57.05%841.35M
-Short term investments 17.10%2.56B-2.23%2.2B-18.62%2.23B-18.62%2.23B-23.27%2.08B-26.05%2.18B-29.47%2.25B-21.25%2.74B-21.25%2.74B-14.96%2.72B
Bank owned life insurance 9.66%489.55M2.78%455.89M2.70%452.57M2.70%452.57M2.62%449.45M2.23%446.44M2.19%443.54M2.12%440.66M2.12%440.66M1.78%437.99M
Net PPE 0.18%114.99M-22.62%90.13M-23.07%90.96M-23.07%90.96M-25.21%94.51M-10.78%114.79M-11.09%116.47M-12.29%118.24M-12.29%118.24M-20.81%126.37M
-Gross PPE ---------0.97%231.36M-0.97%231.36M-------------4.54%233.63M-4.54%233.63M----
-Accumulated depreciation ---------21.68%-140.4M-21.68%-140.4M-------------4.95%-115.39M-4.95%-115.39M----
Goodwill and other intangible assets 37.40%1.3B-0.76%942.5M-0.80%944.39M-0.80%944.39M-0.82%946.49M-0.85%948.68M-2.68%949.69M-2.75%951.97M-2.75%951.97M-2.82%954.35M
-Goodwill 30.51%1.21B0.00%925.21M0.00%925.21M0.00%925.21M0.00%925.21M0.00%925.21M-1.11%925.21M-1.11%925.21M-1.11%925.21M-1.11%925.21M
-Other intangible assets 308.97%95.98M-29.38%17.29M-28.32%19.18M-28.32%19.18M-26.99%21.28M-25.78%23.47M-39.21%24.48M-38.21%26.76M-38.21%26.76M-37.38%29.14M
Other assets 26.51%713.95M14.66%623.89M4.88%606.47M4.88%606.47M12.67%649.26M10.43%564.35M23.63%544.1M39.77%578.25M39.77%578.25M37.38%576.25M
Total assets 20.19%24.76B6.34%21.38B3.45%21.17B3.45%21.17B3.94%20.74B4.78%20.6B1.62%20.1B1.98%20.46B1.98%20.46B0.07%19.95B
Liabilities
Total deposits 21.87%20B5.00%17.28B5.56%16.82B5.56%16.82B1.45%16.79B1.76%16.41B-0.17%16.46B-4.09%15.93B-4.09%15.93B-0.46%16.55B
Federal funds purchased and securities sold under agreement to repurchase -50.49%64.59M-59.45%66.41M-33.68%200.83M-33.68%200.83M-7.69%134.94M9.95%130.46M42.37%163.76M156.92%302.84M156.92%302.84M53.58%146.18M
Current debt and capital lease obligation -9.24%725.5M144.90%600M-29.13%720M-29.13%720M269.96%495M175.66%799.4M--245M--1.02B--1.02B--133.8M
-Current debt -9.24%725.5M144.90%600M-29.13%720M-29.13%720M269.96%495M175.66%799.4M--245M--1.02B--1.02B--133.8M
Long term debt and capital lease obligation 6.71%416.65M0.30%391.32M0.30%391.03M0.30%391.03M0.30%390.73M0.30%390.44M0.29%390.15M0.29%389.86M0.29%389.86M34.07%389.58M
-Long term debt 6.71%416.65M0.30%391.32M0.30%391.03M0.30%391.03M0.30%390.73M0.30%390.44M0.29%390.15M0.29%389.86M0.29%389.86M34.07%389.58M
Other liabilities 14.49%510.12M20.75%493.03M7.11%479.88M7.11%479.88M19.18%540.26M29.63%445.57M38.02%408.31M88.99%448.02M88.99%448.02M94.31%453.31M
Total liabilities 19.47%21.72B6.60%18.83B2.88%18.61B2.88%18.61B3.84%18.35B5.25%18.18B2.19%17.66B4.23%18.09B4.23%18.09B2.48%17.67B
Shareholders'equity
Share capital 19.53%118.65M0.33%99.57M0.28%99.32M0.28%99.32M0.28%99.29M0.27%99.26M-0.58%99.25M-1.22%99.05M-1.22%99.05M-1.21%99.02M
-common stock 19.57%118.48M0.33%99.4M0.28%99.15M0.28%99.15M0.28%99.12M0.27%99.09M-0.58%99.07M-1.23%98.87M-1.23%98.87M-1.22%98.85M
-Preferred stock 0.00%173K0.00%173K0.00%173K0.00%173K0.00%173K0.00%173K0.00%173K0.00%173K0.00%173K0.00%173K
Paid-in capital 27.97%2.27B0.55%1.78B0.56%1.78B0.56%1.78B0.53%1.78B0.53%1.78B-0.76%1.77B-1.93%1.77B-1.93%1.77B-1.93%1.77B
Retained earnings 7.79%1.03B11.94%1.04B10.72%1.02B10.72%1.02B13.01%988.13M14.01%959.58M15.74%929.81M17.32%919.54M17.32%919.54M15.03%874.39M
Gains losses not affecting retained earnings 6.88%-382.59M-3.42%-374.3M17.92%-343.35M17.92%-343.35M-3.42%-477.91M-29.90%-410.87M-89.02%-361.93M-2,344.63%-418.29M-2,344.63%-418.29M-1,670.60%-462.12M
Total stockholders'equity 25.54%3.04B4.45%2.55B7.74%2.56B7.74%2.56B4.72%2.39B1.38%2.42B-2.33%2.44B-12.45%2.37B-12.45%2.37B-15.34%2.28B
Total equity 25.54%3.04B4.45%2.55B7.74%2.56B7.74%2.56B4.72%2.39B1.38%2.42B-2.33%2.44B-12.45%2.37B-12.45%2.37B-15.34%2.28B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------------

Analysis

Analyst Rating

No Data

Price Target

No Data

Heat List
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