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MTB M&T Bank

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  • 162.230
  • +0.060+0.04%
Close Aug 9 16:00 ET
  • 162.230
  • 0.0000.00%
Post 16:48 ET
27.09BMarket Cap12.03P/E (TTM)

M&T Bank 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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
7.72%1.35B
42.06%608M
-14.63%3.91B
-16.10%800.28M
24.87%1.42B
5.86%1.26B
-66.97%428M
68.47%4.57B
36.86%953.88M
133.79%1.14B
Net income from continuing operations
-24.45%655M
-24.36%531M
37.60%2.74B
-37.00%482.4M
6.65%689.6M
298.58%867M
93.83%702M
7.15%1.99B
67.10%765.71M
30.50%646.6M
Operating gains losses
101.80%4M
91.67%-1M
-62.75%-249M
96.69%-4.59M
-179.39%-10.41M
-3,546.52%-222M
-151.68%-12M
-1,430.00%-153M
-2,731.50%-138.42M
-54.33%-3.73M
Depreciation and amortization
1.60%127M
15.04%130M
14.25%497M
26.69%129.32M
1.84%129.68M
2.23%125M
35.64%113M
34.26%435M
26.71%102.07M
50.94%127.34M
Deferred tax
11.11%-16M
-81.82%2M
-223.33%-97M
-196.07%-57.08M
-172.83%-32.92M
77.91%-18M
165.00%11M
-134.48%-30M
253.44%59.41M
-180.25%-12.07M
Change in working capital
22.25%434M
48.72%-260M
-79.83%364M
-67.04%24.55M
89.06%491.46M
-43.65%355M
-160.31%-507M
245.79%1.81B
-49.75%74.46M
395.64%259.95M
-Change in loans
650.00%363M
-28.47%-352M
-124.90%-192M
-69.00%65.15M
852.00%82.86M
-148.05%-66M
-163.06%-274M
570.12%771M
548.43%210.14M
96.20%-11.02M
-Change in other working capital
-83.14%71M
139.48%92M
-46.23%556M
70.08%-40.6M
50.79%408.6M
-14.53%421M
-157.37%-233M
50.73%1.03B
-169.57%-135.68M
34.26%270.97M
Cash from discontinued operating activities
Operating cash flow
7.72%1.35B
42.06%608M
-14.63%3.91B
-16.10%800.28M
24.87%1.42B
5.86%1.26B
-66.97%428M
68.47%4.57B
36.86%953.88M
133.79%1.14B
Investing cash flow
Cash flow from continuing investing activities
214.73%5.63B
-305.38%-7.08B
-147.46%-7.87B
118.63%682.91M
-130.66%-1.91B
-149.81%-4.9B
-141.64%-1.75B
221.72%16.59B
-6.17%-3.67B
620.10%6.22B
Proceeds payment in interest bearing deposits in bank
253.17%7.35B
-253.66%-4.08B
-111.91%-3.11B
372.55%2.05B
-137.38%-3.01B
-140.74%-4.8B
-54.64%2.65B
243.38%26.11B
112.64%432.88M
275.64%8.05B
Net investment purchase and sale
-342.26%-1.1B
34.62%-2.05B
77.59%-1.57B
189.92%523.48M
128.09%586.52M
123.11%452M
-31.20%-3.13B
-2,786.83%-7.02B
22.08%-582.17M
-548.95%-2.09B
Net proceeds payment for loan
-15.50%-462M
32.95%-643M
-21.17%-2.5B
41.33%-1.95B
65.29%814.27M
-93.03%-400M
-197.80%-959M
-137.59%-2.06B
-467.55%-3.33B
-87.11%492.63M
Capital expenditure
-43.48%-66M
36.36%-35M
-19.63%-256M
-0.68%-87.79M
-72.04%-67.21M
23.12%-46M
-97.06%-55M
-43.62%-214M
-41.00%-87.19M
8.52%-39.07M
Net business purchase and sale
----
----
--0
--0
----
----
----
--394M
--77K
--0
Net other investing changes
4.59%-104M
-11.55%-280M
29.03%-440M
247.76%152.92M
-21.37%-232.92M
0.36%-109M
-16.64%-251M
-21.33%-620M
15.65%-103.5M
-171.00%-191.91M
Cash from discontinued investing activities
Investing cash flow
214.73%5.63B
-305.38%-7.08B
-147.46%-7.87B
118.63%682.91M
-130.66%-1.91B
-149.81%-4.9B
-141.64%-1.75B
221.72%16.59B
-6.17%-3.67B
620.10%6.22B
Financing cash flow
Cash flow from continuing financing activities
-287.60%-6.9B
298.14%6.44B
119.92%4.18B
-176.97%-1.52B
106.01%407.8M
134.18%3.68B
129.85%1.62B
-296.09%-20.98B
-24.41%1.98B
-971.78%-6.79B
Increase decrease in deposit
-344.04%-7.29B
188.29%3.92B
98.82%-248M
-159.27%-855.74M
131.68%2.06B
133.45%2.99B
15.00%-4.44B
-278.86%-20.99B
-111.61%-330.05M
-1,605.60%-6.51B
Net issuance payments of debt
-115.77%-144M
-59.76%2.79B
120.78%5.97B
-114.52%-455.37M
-361.10%-1.41B
193.55%913M
215,528.89%6.93B
416.00%2.71B
5,649.85%3.14B
2,384.10%540.64M
Net commonstock issuance
--0
--0
67.00%-594M
--0
--0
--0
---594M
---1.8B
---600M
---600M
Net preferred stock issuance
----
----
--0
----
----
----
----
--0
----
----
Cash dividends paid
-7.79%-249M
0.00%-255M
-9.88%-968M
-4.88%-232.23M
-2.91%-249.77M
-0.66%-231M
-36.09%-255M
-35.96%-881M
-32.54%-221.43M
-48.86%-242.7M
Net other financing activities
537.50%51M
21.05%-15M
228.57%18M
329.77%22.53M
-74.54%6.47M
138.11%8M
-120.72%-19M
50.00%-14M
-97.78%-9.81M
437.64%25.4M
Cash from discontinued financing activities
Financing cash flow
-287.60%-6.9B
298.14%6.44B
119.92%4.18B
-176.97%-1.52B
106.01%407.8M
134.18%3.68B
129.85%1.62B
-296.09%-20.98B
-24.41%1.98B
-971.78%-6.79B
Net cash flow
Beginning cash position
-6.77%1.7B
13.88%1.73B
13.60%1.52B
-21.59%1.77B
9.46%1.85B
28.80%1.82B
13.64%1.52B
-13.84%1.34B
52.45%2.26B
19.70%1.69B
Current changes in cash
176.67%83M
-112.08%-36M
15.93%211M
94.89%-37.62M
-113.99%-79.38M
-89.16%30M
303.34%298M
184.65%182M
-418.59%-736.23M
719.62%567.54M
End cash position
-3.79%1.78B
-6.77%1.7B
13.88%1.73B
13.88%1.73B
-21.59%1.77B
9.46%1.85B
28.80%1.82B
13.60%1.52B
13.60%1.52B
52.45%2.26B
Free cash flow
6.36%1.29B
53.62%573M
-16.31%3.65B
-17.79%712.49M
23.19%1.35B
7.40%1.21B
-70.58%373M
69.91%4.36B
36.46%866.69M
147.49%1.1B
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 with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
(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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities 7.72%1.35B42.06%608M-14.63%3.91B-16.10%800.28M24.87%1.42B5.86%1.26B-66.97%428M68.47%4.57B36.86%953.88M133.79%1.14B
Net income from continuing operations -24.45%655M-24.36%531M37.60%2.74B-37.00%482.4M6.65%689.6M298.58%867M93.83%702M7.15%1.99B67.10%765.71M30.50%646.6M
Operating gains losses 101.80%4M91.67%-1M-62.75%-249M96.69%-4.59M-179.39%-10.41M-3,546.52%-222M-151.68%-12M-1,430.00%-153M-2,731.50%-138.42M-54.33%-3.73M
Depreciation and amortization 1.60%127M15.04%130M14.25%497M26.69%129.32M1.84%129.68M2.23%125M35.64%113M34.26%435M26.71%102.07M50.94%127.34M
Deferred tax 11.11%-16M-81.82%2M-223.33%-97M-196.07%-57.08M-172.83%-32.92M77.91%-18M165.00%11M-134.48%-30M253.44%59.41M-180.25%-12.07M
Change in working capital 22.25%434M48.72%-260M-79.83%364M-67.04%24.55M89.06%491.46M-43.65%355M-160.31%-507M245.79%1.81B-49.75%74.46M395.64%259.95M
-Change in loans 650.00%363M-28.47%-352M-124.90%-192M-69.00%65.15M852.00%82.86M-148.05%-66M-163.06%-274M570.12%771M548.43%210.14M96.20%-11.02M
-Change in other working capital -83.14%71M139.48%92M-46.23%556M70.08%-40.6M50.79%408.6M-14.53%421M-157.37%-233M50.73%1.03B-169.57%-135.68M34.26%270.97M
Cash from discontinued operating activities
Operating cash flow 7.72%1.35B42.06%608M-14.63%3.91B-16.10%800.28M24.87%1.42B5.86%1.26B-66.97%428M68.47%4.57B36.86%953.88M133.79%1.14B
Investing cash flow
Cash flow from continuing investing activities 214.73%5.63B-305.38%-7.08B-147.46%-7.87B118.63%682.91M-130.66%-1.91B-149.81%-4.9B-141.64%-1.75B221.72%16.59B-6.17%-3.67B620.10%6.22B
Proceeds payment in interest bearing deposits in bank 253.17%7.35B-253.66%-4.08B-111.91%-3.11B372.55%2.05B-137.38%-3.01B-140.74%-4.8B-54.64%2.65B243.38%26.11B112.64%432.88M275.64%8.05B
Net investment purchase and sale -342.26%-1.1B34.62%-2.05B77.59%-1.57B189.92%523.48M128.09%586.52M123.11%452M-31.20%-3.13B-2,786.83%-7.02B22.08%-582.17M-548.95%-2.09B
Net proceeds payment for loan -15.50%-462M32.95%-643M-21.17%-2.5B41.33%-1.95B65.29%814.27M-93.03%-400M-197.80%-959M-137.59%-2.06B-467.55%-3.33B-87.11%492.63M
Capital expenditure -43.48%-66M36.36%-35M-19.63%-256M-0.68%-87.79M-72.04%-67.21M23.12%-46M-97.06%-55M-43.62%-214M-41.00%-87.19M8.52%-39.07M
Net business purchase and sale ----------0--0--------------394M--77K--0
Net other investing changes 4.59%-104M-11.55%-280M29.03%-440M247.76%152.92M-21.37%-232.92M0.36%-109M-16.64%-251M-21.33%-620M15.65%-103.5M-171.00%-191.91M
Cash from discontinued investing activities
Investing cash flow 214.73%5.63B-305.38%-7.08B-147.46%-7.87B118.63%682.91M-130.66%-1.91B-149.81%-4.9B-141.64%-1.75B221.72%16.59B-6.17%-3.67B620.10%6.22B
Financing cash flow
Cash flow from continuing financing activities -287.60%-6.9B298.14%6.44B119.92%4.18B-176.97%-1.52B106.01%407.8M134.18%3.68B129.85%1.62B-296.09%-20.98B-24.41%1.98B-971.78%-6.79B
Increase decrease in deposit -344.04%-7.29B188.29%3.92B98.82%-248M-159.27%-855.74M131.68%2.06B133.45%2.99B15.00%-4.44B-278.86%-20.99B-111.61%-330.05M-1,605.60%-6.51B
Net issuance payments of debt -115.77%-144M-59.76%2.79B120.78%5.97B-114.52%-455.37M-361.10%-1.41B193.55%913M215,528.89%6.93B416.00%2.71B5,649.85%3.14B2,384.10%540.64M
Net commonstock issuance --0--067.00%-594M--0--0--0---594M---1.8B---600M---600M
Net preferred stock issuance ----------0------------------0--------
Cash dividends paid -7.79%-249M0.00%-255M-9.88%-968M-4.88%-232.23M-2.91%-249.77M-0.66%-231M-36.09%-255M-35.96%-881M-32.54%-221.43M-48.86%-242.7M
Net other financing activities 537.50%51M21.05%-15M228.57%18M329.77%22.53M-74.54%6.47M138.11%8M-120.72%-19M50.00%-14M-97.78%-9.81M437.64%25.4M
Cash from discontinued financing activities
Financing cash flow -287.60%-6.9B298.14%6.44B119.92%4.18B-176.97%-1.52B106.01%407.8M134.18%3.68B129.85%1.62B-296.09%-20.98B-24.41%1.98B-971.78%-6.79B
Net cash flow
Beginning cash position -6.77%1.7B13.88%1.73B13.60%1.52B-21.59%1.77B9.46%1.85B28.80%1.82B13.64%1.52B-13.84%1.34B52.45%2.26B19.70%1.69B
Current changes in cash 176.67%83M-112.08%-36M15.93%211M94.89%-37.62M-113.99%-79.38M-89.16%30M303.34%298M184.65%182M-418.59%-736.23M719.62%567.54M
End cash position -3.79%1.78B-6.77%1.7B13.88%1.73B13.88%1.73B-21.59%1.77B9.46%1.85B28.80%1.82B13.60%1.52B13.60%1.52B52.45%2.26B
Free cash flow 6.36%1.29B53.62%573M-16.31%3.65B-17.79%712.49M23.19%1.35B7.40%1.21B-70.58%373M69.91%4.36B36.46%866.69M147.49%1.1B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----

Analysis

Analyst Rating

No Data

Price Target

No Data

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