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HBAN Huntington Bancshares

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  • 16.240
  • -0.030-0.18%
Close Jan 2 16:00 ET
23.59BMarket Cap15.77P/E (TTM)

Huntington Bancshares Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
-143.84%-438M
-51.59%305M
256.92%464M
-34.02%2.66B
-33.82%898M
18.09%999M
-35.38%630M
-84.69%130M
95.30%4.03B
173.04%1.36B
Net income from continuing operations
-5.43%522M
-15.04%480M
-30.03%424M
-12.36%1.97B
-61.79%248M
-7.54%552M
4.44%565M
31.17%606M
73.40%2.25B
61.44%649M
Depreciation and amortization
-38.32%132M
-15.84%170M
33.80%190M
64.88%798M
86.05%240M
44.59%214M
112.63%202M
26.79%142M
23.79%484M
40.22%129M
Deferred tax
-7.69%-28M
111.76%2M
-152.73%-29M
-194.67%-302M
-302.58%-314M
-146.43%-26M
-130.36%-17M
5.77%55M
519.74%319M
233.62%155M
Other non cashItems
--5M
--5M
87.50%-3M
172.73%30M
766.67%26M
----
----
-1,100.00%-24M
119.30%11M
102.42%3M
Change in working capital
-1,018.32%-1.2B
-87.26%-485M
67.72%-245M
-159.47%-339M
78.50%548M
237.89%131M
-230.81%-259M
-574.38%-759M
61.47%570M
11.64%307M
-Change in loans
88.75%-9M
-52.85%-188M
-104.55%-2M
-112.30%-83M
-63.98%76M
-280.95%-80M
-612.50%-123M
-90.46%44M
1,305.36%675M
257.63%211M
-Change in other current assets
85.23%-44M
23.05%-207M
-10.63%-385M
57.53%-491M
1,002.13%424M
67.00%-298M
-668.57%-269M
-103.51%-348M
-415.85%-1.16B
-107.67%-47M
-Change in other current liabilities
-265.74%-832M
-142.39%-103M
140.35%184M
-66.70%341M
-60.31%52M
-39.23%502M
43.79%243M
-347.06%-456M
3,692.59%1.02B
130.61%131M
-Change in other working capital
-4,642.86%-318M
111.82%13M
-4,300.00%-42M
-492.59%-106M
-133.33%-4M
133.33%7M
-375.00%-110M
103.57%1M
68.75%27M
-61.29%12M
Cash from discontinued operating activities
Operating cash flow
-143.84%-438M
-51.59%305M
256.92%464M
-34.02%2.66B
-33.82%898M
18.09%999M
-35.38%630M
-84.69%130M
95.30%4.03B
173.04%1.36B
Investing cash flow
Cash flow from continuing investing activities
-299.52%-2.88B
-287.83%-2.19B
1.61%-2.26B
74.18%-3B
-162.00%-3.31B
226.56%1.44B
130.31%1.17B
57.07%-2.3B
-193.01%-11.61B
73.42%-1.26B
Proceeds payment in interest bearing deposits in bank
31.03%-20M
-181.82%-9M
-150.00%-15M
-93.07%23M
4.44%47M
14.71%-29M
116.42%11M
-101.55%-6M
-53.63%332M
-57.14%45M
Net investment purchase and sale
-161.81%-743M
-132.65%-412M
-104.26%-1.39B
96.94%-113M
-2,207.78%-1.9B
1,223.36%1.2B
637.02%1.26B
80.20%-680M
50.33%-3.69B
102.92%90M
Net proceeds payment for loan
-197.85%-1.19B
-152.96%-2.69B
47.13%-903M
51.67%-4.73B
-0.13%-3.17B
224.82%1.21B
73.47%-1.06B
-4.15%-1.71B
-473.01%-9.78B
-42.93%-3.17B
Net PPE purchase and sale
3.60%-938M
-6.97%854M
-28.00%-32M
4.98%1.75B
-0.11%1.83B
-3.07%-973M
45.71%918M
-116.78%-25M
106.44%1.67B
2,677.27%1.83B
Net business purchase and sale
----
----
----
--0
----
----
----
----
-46.71%-223M
--0
Net other investing changes
-81.25%6M
64.10%64M
-35.83%77M
-16.47%71M
-84.62%-120M
-96.50%32M
-25.00%39M
114.69%120M
115.92%85M
-117.24%-65M
Cash from discontinued investing activities
Investing cash flow
-299.52%-2.88B
-287.83%-2.19B
1.61%-2.26B
74.18%-3B
-162.00%-3.31B
226.56%1.44B
130.31%1.17B
57.07%-2.3B
-193.01%-11.61B
73.42%-1.26B
Financing cash flow
Cash flow from continuing financing activities
260.90%3.36B
307.27%2.25B
-34.02%3.85B
-57.04%3.77B
-50.54%1.11B
-373.53%-2.09B
-148.12%-1.09B
66.31%5.83B
959.73%8.76B
7,106.45%2.23B
Increase decrease in deposit
374.85%3.98B
-58.47%1.14B
175.68%2B
-28.70%3.32B
47.60%2.36B
-4.44%839M
279.74%2.75B
-171.20%-2.64B
-28.46%4.65B
17.29%1.6B
Net issuance payments of debt
86.54%-357M
139.46%1.4B
-74.71%2.13B
-74.86%1.29B
-201.91%-905M
-2,079.10%-2.65B
-187.37%-3.55B
13,234.92%8.4B
232.89%5.15B
209.77%888M
Net commonstock issuance
----
----
----
--0
----
----
----
----
--0
----
Net preferred stock issuance
--0
--0
--0
--235M
---82M
--0
--0
--317M
--0
--0
Cash dividends paid
1.13%-262M
-3.17%-260M
-3.15%-262M
-2.38%-1.03B
-3.95%-263M
-5.16%-265M
0.00%-252M
-0.40%-254M
-13.74%-1.01B
-2.02%-253M
Net other financing activities
22.22%-7M
14.29%-30M
-250.00%-9M
-84.00%-46M
-300.00%-8M
-400.00%-9M
-59.09%-35M
250.00%6M
47.92%-25M
92.59%-2M
Cash from discontinued financing activities
Financing cash flow
260.90%3.36B
307.27%2.25B
-34.02%3.85B
-57.04%3.77B
-50.54%1.11B
-373.53%-2.09B
-148.12%-1.09B
66.31%5.83B
959.73%8.76B
7,106.45%2.23B
Net cash flow
Beginning cash position
13.24%12.55B
17.47%12.18B
51.09%10.13B
21.41%6.7B
161.31%11.44B
183.50%11.08B
129.20%10.37B
21.41%6.7B
-16.27%5.52B
-55.09%4.38B
Current changes in cash
-89.04%39M
-48.45%366M
-44.04%2.05B
189.76%3.43B
-156.10%-1.31B
-23.93%356M
215.26%710M
467.23%3.67B
210.16%1.18B
155.13%2.33B
End cash position
10.06%12.59B
13.24%12.55B
17.47%12.18B
51.09%10.13B
51.09%10.13B
161.31%11.44B
183.50%11.08B
129.20%10.37B
21.41%6.7B
21.41%6.7B
Free cash flow
-149.18%-480M
-56.02%263M
311.43%432M
-33.99%2.52B
-35.93%838M
21.39%976M
-35.35%598M
-86.47%105M
110.08%3.81B
221.38%1.31B
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
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
(Q3)Sep 30, 2024 (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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities -143.84%-438M -51.59%305M 256.92%464M -34.02%2.66B -33.82%898M 18.09%999M -35.38%630M -84.69%130M 95.30%4.03B 173.04%1.36B
Net income from continuing operations -5.43%522M -15.04%480M -30.03%424M -12.36%1.97B -61.79%248M -7.54%552M 4.44%565M 31.17%606M 73.40%2.25B 61.44%649M
Depreciation and amortization -38.32%132M -15.84%170M 33.80%190M 64.88%798M 86.05%240M 44.59%214M 112.63%202M 26.79%142M 23.79%484M 40.22%129M
Deferred tax -7.69%-28M 111.76%2M -152.73%-29M -194.67%-302M -302.58%-314M -146.43%-26M -130.36%-17M 5.77%55M 519.74%319M 233.62%155M
Other non cashItems --5M --5M 87.50%-3M 172.73%30M 766.67%26M ---- ---- -1,100.00%-24M 119.30%11M 102.42%3M
Change in working capital -1,018.32%-1.2B -87.26%-485M 67.72%-245M -159.47%-339M 78.50%548M 237.89%131M -230.81%-259M -574.38%-759M 61.47%570M 11.64%307M
-Change in loans 88.75%-9M -52.85%-188M -104.55%-2M -112.30%-83M -63.98%76M -280.95%-80M -612.50%-123M -90.46%44M 1,305.36%675M 257.63%211M
-Change in other current assets 85.23%-44M 23.05%-207M -10.63%-385M 57.53%-491M 1,002.13%424M 67.00%-298M -668.57%-269M -103.51%-348M -415.85%-1.16B -107.67%-47M
-Change in other current liabilities -265.74%-832M -142.39%-103M 140.35%184M -66.70%341M -60.31%52M -39.23%502M 43.79%243M -347.06%-456M 3,692.59%1.02B 130.61%131M
-Change in other working capital -4,642.86%-318M 111.82%13M -4,300.00%-42M -492.59%-106M -133.33%-4M 133.33%7M -375.00%-110M 103.57%1M 68.75%27M -61.29%12M
Cash from discontinued operating activities
Operating cash flow -143.84%-438M -51.59%305M 256.92%464M -34.02%2.66B -33.82%898M 18.09%999M -35.38%630M -84.69%130M 95.30%4.03B 173.04%1.36B
Investing cash flow
Cash flow from continuing investing activities -299.52%-2.88B -287.83%-2.19B 1.61%-2.26B 74.18%-3B -162.00%-3.31B 226.56%1.44B 130.31%1.17B 57.07%-2.3B -193.01%-11.61B 73.42%-1.26B
Proceeds payment in interest bearing deposits in bank 31.03%-20M -181.82%-9M -150.00%-15M -93.07%23M 4.44%47M 14.71%-29M 116.42%11M -101.55%-6M -53.63%332M -57.14%45M
Net investment purchase and sale -161.81%-743M -132.65%-412M -104.26%-1.39B 96.94%-113M -2,207.78%-1.9B 1,223.36%1.2B 637.02%1.26B 80.20%-680M 50.33%-3.69B 102.92%90M
Net proceeds payment for loan -197.85%-1.19B -152.96%-2.69B 47.13%-903M 51.67%-4.73B -0.13%-3.17B 224.82%1.21B 73.47%-1.06B -4.15%-1.71B -473.01%-9.78B -42.93%-3.17B
Net PPE purchase and sale 3.60%-938M -6.97%854M -28.00%-32M 4.98%1.75B -0.11%1.83B -3.07%-973M 45.71%918M -116.78%-25M 106.44%1.67B 2,677.27%1.83B
Net business purchase and sale ---- ---- ---- --0 ---- ---- ---- ---- -46.71%-223M --0
Net other investing changes -81.25%6M 64.10%64M -35.83%77M -16.47%71M -84.62%-120M -96.50%32M -25.00%39M 114.69%120M 115.92%85M -117.24%-65M
Cash from discontinued investing activities
Investing cash flow -299.52%-2.88B -287.83%-2.19B 1.61%-2.26B 74.18%-3B -162.00%-3.31B 226.56%1.44B 130.31%1.17B 57.07%-2.3B -193.01%-11.61B 73.42%-1.26B
Financing cash flow
Cash flow from continuing financing activities 260.90%3.36B 307.27%2.25B -34.02%3.85B -57.04%3.77B -50.54%1.11B -373.53%-2.09B -148.12%-1.09B 66.31%5.83B 959.73%8.76B 7,106.45%2.23B
Increase decrease in deposit 374.85%3.98B -58.47%1.14B 175.68%2B -28.70%3.32B 47.60%2.36B -4.44%839M 279.74%2.75B -171.20%-2.64B -28.46%4.65B 17.29%1.6B
Net issuance payments of debt 86.54%-357M 139.46%1.4B -74.71%2.13B -74.86%1.29B -201.91%-905M -2,079.10%-2.65B -187.37%-3.55B 13,234.92%8.4B 232.89%5.15B 209.77%888M
Net commonstock issuance ---- ---- ---- --0 ---- ---- ---- ---- --0 ----
Net preferred stock issuance --0 --0 --0 --235M ---82M --0 --0 --317M --0 --0
Cash dividends paid 1.13%-262M -3.17%-260M -3.15%-262M -2.38%-1.03B -3.95%-263M -5.16%-265M 0.00%-252M -0.40%-254M -13.74%-1.01B -2.02%-253M
Net other financing activities 22.22%-7M 14.29%-30M -250.00%-9M -84.00%-46M -300.00%-8M -400.00%-9M -59.09%-35M 250.00%6M 47.92%-25M 92.59%-2M
Cash from discontinued financing activities
Financing cash flow 260.90%3.36B 307.27%2.25B -34.02%3.85B -57.04%3.77B -50.54%1.11B -373.53%-2.09B -148.12%-1.09B 66.31%5.83B 959.73%8.76B 7,106.45%2.23B
Net cash flow
Beginning cash position 13.24%12.55B 17.47%12.18B 51.09%10.13B 21.41%6.7B 161.31%11.44B 183.50%11.08B 129.20%10.37B 21.41%6.7B -16.27%5.52B -55.09%4.38B
Current changes in cash -89.04%39M -48.45%366M -44.04%2.05B 189.76%3.43B -156.10%-1.31B -23.93%356M 215.26%710M 467.23%3.67B 210.16%1.18B 155.13%2.33B
End cash position 10.06%12.59B 13.24%12.55B 17.47%12.18B 51.09%10.13B 51.09%10.13B 161.31%11.44B 183.50%11.08B 129.20%10.37B 21.41%6.7B 21.41%6.7B
Free cash flow -149.18%-480M -56.02%263M 311.43%432M -33.99%2.52B -35.93%838M 21.39%976M -35.35%598M -86.47%105M 110.08%3.81B 221.38%1.31B
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 -- -- -- -- Unqualified Opinion with Explanatory Notes --
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