US Stock MarketDetailed Quotes

WTFCP Wintrust Financial Corp

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  • 25.250
  • +0.010+0.04%
Close Nov 25 16:00 ET
0Market Cap0.00P/E (TTM)

Wintrust Financial Corp 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
Assets
Cash cash equivalents and federal funds sold
52.76%4.38B
21.00%3.24B
24.95%2.51B
1.13%2.51B
1.13%2.51B
-35.70%2.87B
-36.86%2.68B
-61.18%2.01B
-61.76%2.48B
-61.76%2.48B
-Cash and cash equivalents
52.57%4.37B
21.00%3.24B
24.95%2.51B
1.13%2.51B
1.13%2.51B
-35.70%2.87B
-28.89%2.68B
-55.11%2.01B
-57.13%2.48B
-57.13%2.48B
-Money market investments
9,338.33%5.66M
5.08%62K
5.17%61K
3.45%60K
3.45%60K
5.26%60K
-99.99%59K
-99.99%58K
-99.99%58K
-99.99%58K
Receivables
3,942.82%567.69M
-12.98%13.68M
-98.60%13.38M
-25.24%701.31M
-25.24%701.31M
-30.92%14.04M
-26.97%15.72M
4,075.99%955.8M
3,498.68%938.1M
3,498.68%938.1M
-Accounts receivable
18.66%16.66M
-12.98%13.68M
-16.58%13.38M
-35.36%10.59M
-35.36%10.59M
-30.92%14.04M
-26.97%15.72M
-29.91%16.04M
-37.14%16.39M
-37.14%16.39M
-Other receivables
--551.03M
----
----
-25.06%690.72M
-25.06%690.72M
----
----
--939.76M
--921.72M
--921.72M
Net loan
13.83%47.17B
8.92%44.72B
9.20%43.22B
7.28%42.08B
7.28%42.08B
8.19%41.44B
10.04%41.06B
11.07%39.58B
10.94%39.23B
10.94%39.23B
-Gross loan
13.84%47.53B
9.01%45.09B
9.29%43.57B
7.41%42.42B
7.41%42.42B
8.32%41.75B
10.10%41.36B
11.09%39.87B
10.92%39.5B
10.92%39.5B
-Allowance for loans and lease losses
14.36%360.28M
20.24%363.72M
21.06%348.61M
27.41%344.24M
27.41%344.24M
28.01%315.04M
20.15%302.5M
14.94%287.97M
9.01%270.17M
9.01%270.17M
Securities and investments
0.80%7.72B
14.30%8.2B
19.22%8.32B
7.27%7.5B
7.27%7.5B
19.12%7.66B
10.78%7.18B
6.89%6.98B
30.46%7B
30.46%7B
-Trading securities
108.78%3.47M
36.57%4.13M
2,041.18%2.18M
317.66%4.71M
317.66%4.71M
829.05%1.66M
199.70%3.03M
-88.03%102K
6.22%1.13M
6.22%1.13M
-Available for sale securities
12.24%400.99M
0.65%339.06M
2.84%336.7M
6.36%355.9M
6.36%355.9M
-1.90%357.28M
-1.80%336.88M
253.21%327.39M
-5.61%334.62M
-5.61%334.62M
-Held to maturity securities
-6.18%3.67B
5.21%3.75B
5.58%3.81B
5.84%3.85B
5.84%3.85B
15.29%3.91B
4.40%3.56B
4.90%3.6B
23.81%3.64B
23.81%3.64B
-Short term investments
7.59%3.65B
25.56%4.11B
37.04%4.18B
8.98%3.29B
8.98%3.29B
26.79%3.39B
20.30%3.27B
1.59%3.05B
46.13%3.02B
46.13%3.02B
Federal home loan bank stock
30.81%266.91M
31.46%256.5M
-8.29%224.66M
-8.79%205M
-8.79%205M
14.53%204.04M
43.32%195.12M
79.90%244.96M
66.02%224.76M
66.02%224.76M
Net PPE
1.91%1.04B
-2.54%997.75M
1.16%1.03B
1.13%1.03B
1.13%1.03B
1.47%1.02B
3.81%1.02B
1.47%1.02B
1.02%1.02B
1.02%1.02B
-Gross PPE
1.91%1.04B
-2.54%997.75M
1.16%1.03B
4.46%1.49B
4.46%1.49B
1.47%1.02B
3.81%1.02B
1.47%1.02B
0.39%1.43B
0.39%1.43B
-Accumulated depreciation
----
----
----
-12.69%-464.02M
-12.69%-464.02M
----
----
----
1.11%-411.76M
1.11%-411.76M
Goodwill and other intangible assets
35.91%924.65M
-0.84%676.56M
0.50%677.91M
0.57%679.56M
0.57%679.56M
0.54%680.35M
0.37%682.33M
-1.11%674.54M
-1.13%675.71M
-1.13%675.71M
-Goodwill
22.05%800.78M
-0.11%655.96M
0.40%656.18M
0.48%656.67M
0.48%656.67M
0.46%656.11M
0.30%656.67M
-0.28%653.59M
-0.25%653.52M
-0.25%653.52M
-Other intangible assets
410.91%123.87M
-19.67%20.61M
3.72%21.73M
3.17%22.89M
3.17%22.89M
2.64%24.24M
2.13%25.65M
-21.53%20.95M
-21.62%22.19M
-21.62%22.19M
Other assets
2.77%1.72B
14.81%1.67B
11.77%1.58B
11.54%1.55B
11.54%1.55B
27.23%1.67B
30.83%1.46B
32.53%1.41B
28.34%1.39B
28.34%1.39B
Total assets
14.82%63.79B
10.12%59.78B
8.90%57.58B
6.25%56.26B
6.25%56.26B
6.06%55.56B
6.51%54.29B
5.22%52.87B
5.60%52.95B
5.60%52.95B
Liabilities
Total deposits
14.25%51.4B
9.11%48.05B
8.73%46.45B
5.81%45.4B
5.81%45.4B
5.13%44.99B
3.39%44.04B
1.18%42.72B
1.92%42.9B
1.92%42.9B
Federal funds purchased and securities sold under agreement to repurchase
----
----
7.36%10.87M
-23.75%13.43M
-23.75%13.43M
53.96%14.18M
8.25%17.77M
-36.21%10.12M
91.48%17.61M
91.48%17.61M
Payables
----
----
----
----
----
----
----
--0
----
----
Current debt and capital lease obligation
----
----
----
--0
--0
----
----
----
286.67%290M
286.67%290M
-Current debt
----
----
----
--0
--0
----
----
----
286.67%290M
286.67%290M
Long term debt and capital lease obligation
19.82%4.37B
28.82%4.33B
9.84%3.93B
10.74%3.65B
10.74%3.65B
5.87%3.65B
44.83%3.36B
49.29%3.58B
40.77%3.3B
40.77%3.3B
-Long term debt
19.82%4.37B
28.82%4.33B
9.84%3.93B
10.74%3.65B
10.74%3.65B
5.87%3.65B
44.83%3.36B
49.29%3.58B
40.77%3.3B
40.77%3.3B
Other liabilities
-14.42%1.61B
2.10%1.86B
12.84%1.75B
9.31%1.8B
9.31%1.8B
26.24%1.89B
39.29%1.82B
37.77%1.55B
46.74%1.65B
46.74%1.65B
Total liabilities
13.55%57.39B
10.15%54.24B
8.95%52.14B
5.62%50.86B
5.62%50.86B
5.85%50.54B
6.49%49.24B
4.59%47.86B
5.50%48.15B
5.50%48.15B
Shareholders'equity
Share capital
1.12%479.05M
0.13%474.33M
0.13%474.3M
0.10%473.77M
0.10%473.77M
0.11%473.74M
0.11%473.72M
0.45%473.7M
0.40%473.3M
0.40%473.3M
-common stock
8.66%66.55M
0.99%61.83M
0.98%61.8M
0.78%61.27M
0.78%61.27M
0.82%61.24M
0.82%61.22M
3.57%61.2M
3.23%60.8M
3.23%60.8M
-Preferred stock
0.00%412.5M
0.00%412.5M
0.00%412.5M
0.00%412.5M
0.00%412.5M
0.00%412.5M
0.00%412.5M
0.00%412.5M
0.00%412.5M
0.00%412.5M
Paid-in capital
27.78%2.47B
2.13%1.96B
2.12%1.95B
2.17%1.94B
2.17%1.94B
2.20%1.93B
2.27%1.92B
12.71%1.91B
12.87%1.9B
12.87%1.9B
Retained earnings
15.23%3.75B
15.86%3.62B
16.72%3.5B
17.42%3.35B
17.42%3.35B
19.09%3.25B
19.27%3.12B
17.61%3B
16.40%2.85B
16.40%2.85B
Less: Treasury stock
210.17%6.1M
192.98%5.76M
192.83%5.76M
629.28%2.22M
629.28%2.22M
--1.97M
--1.97M
-98.21%1.97M
-99.72%304K
-99.72%304K
Gains losses not affecting retained earnings
54.54%-292.18M
-8.04%-512.2M
-32.04%-485.15M
15.53%-361.23M
15.53%-361.23M
-40.11%-642.72M
-95.07%-474.09M
-216.76%-367.44M
-10,550.54%-427.64M
-10,550.54%-427.64M
Total stockholders'equity
27.60%6.4B
9.81%5.54B
8.39%5.44B
12.56%5.4B
12.56%5.4B
8.14%5.02B
6.65%5.04B
11.65%5.02B
6.63%4.8B
6.63%4.8B
Total equity
27.60%6.4B
9.81%5.54B
8.39%5.44B
12.56%5.4B
12.56%5.4B
8.14%5.02B
6.65%5.04B
11.65%5.02B
6.63%4.8B
6.63%4.8B
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
--
(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
Assets
Cash cash equivalents and federal funds sold 52.76%4.38B21.00%3.24B24.95%2.51B1.13%2.51B1.13%2.51B-35.70%2.87B-36.86%2.68B-61.18%2.01B-61.76%2.48B-61.76%2.48B
-Cash and cash equivalents 52.57%4.37B21.00%3.24B24.95%2.51B1.13%2.51B1.13%2.51B-35.70%2.87B-28.89%2.68B-55.11%2.01B-57.13%2.48B-57.13%2.48B
-Money market investments 9,338.33%5.66M5.08%62K5.17%61K3.45%60K3.45%60K5.26%60K-99.99%59K-99.99%58K-99.99%58K-99.99%58K
Receivables 3,942.82%567.69M-12.98%13.68M-98.60%13.38M-25.24%701.31M-25.24%701.31M-30.92%14.04M-26.97%15.72M4,075.99%955.8M3,498.68%938.1M3,498.68%938.1M
-Accounts receivable 18.66%16.66M-12.98%13.68M-16.58%13.38M-35.36%10.59M-35.36%10.59M-30.92%14.04M-26.97%15.72M-29.91%16.04M-37.14%16.39M-37.14%16.39M
-Other receivables --551.03M---------25.06%690.72M-25.06%690.72M----------939.76M--921.72M--921.72M
Net loan 13.83%47.17B8.92%44.72B9.20%43.22B7.28%42.08B7.28%42.08B8.19%41.44B10.04%41.06B11.07%39.58B10.94%39.23B10.94%39.23B
-Gross loan 13.84%47.53B9.01%45.09B9.29%43.57B7.41%42.42B7.41%42.42B8.32%41.75B10.10%41.36B11.09%39.87B10.92%39.5B10.92%39.5B
-Allowance for loans and lease losses 14.36%360.28M20.24%363.72M21.06%348.61M27.41%344.24M27.41%344.24M28.01%315.04M20.15%302.5M14.94%287.97M9.01%270.17M9.01%270.17M
Securities and investments 0.80%7.72B14.30%8.2B19.22%8.32B7.27%7.5B7.27%7.5B19.12%7.66B10.78%7.18B6.89%6.98B30.46%7B30.46%7B
-Trading securities 108.78%3.47M36.57%4.13M2,041.18%2.18M317.66%4.71M317.66%4.71M829.05%1.66M199.70%3.03M-88.03%102K6.22%1.13M6.22%1.13M
-Available for sale securities 12.24%400.99M0.65%339.06M2.84%336.7M6.36%355.9M6.36%355.9M-1.90%357.28M-1.80%336.88M253.21%327.39M-5.61%334.62M-5.61%334.62M
-Held to maturity securities -6.18%3.67B5.21%3.75B5.58%3.81B5.84%3.85B5.84%3.85B15.29%3.91B4.40%3.56B4.90%3.6B23.81%3.64B23.81%3.64B
-Short term investments 7.59%3.65B25.56%4.11B37.04%4.18B8.98%3.29B8.98%3.29B26.79%3.39B20.30%3.27B1.59%3.05B46.13%3.02B46.13%3.02B
Federal home loan bank stock 30.81%266.91M31.46%256.5M-8.29%224.66M-8.79%205M-8.79%205M14.53%204.04M43.32%195.12M79.90%244.96M66.02%224.76M66.02%224.76M
Net PPE 1.91%1.04B-2.54%997.75M1.16%1.03B1.13%1.03B1.13%1.03B1.47%1.02B3.81%1.02B1.47%1.02B1.02%1.02B1.02%1.02B
-Gross PPE 1.91%1.04B-2.54%997.75M1.16%1.03B4.46%1.49B4.46%1.49B1.47%1.02B3.81%1.02B1.47%1.02B0.39%1.43B0.39%1.43B
-Accumulated depreciation -------------12.69%-464.02M-12.69%-464.02M------------1.11%-411.76M1.11%-411.76M
Goodwill and other intangible assets 35.91%924.65M-0.84%676.56M0.50%677.91M0.57%679.56M0.57%679.56M0.54%680.35M0.37%682.33M-1.11%674.54M-1.13%675.71M-1.13%675.71M
-Goodwill 22.05%800.78M-0.11%655.96M0.40%656.18M0.48%656.67M0.48%656.67M0.46%656.11M0.30%656.67M-0.28%653.59M-0.25%653.52M-0.25%653.52M
-Other intangible assets 410.91%123.87M-19.67%20.61M3.72%21.73M3.17%22.89M3.17%22.89M2.64%24.24M2.13%25.65M-21.53%20.95M-21.62%22.19M-21.62%22.19M
Other assets 2.77%1.72B14.81%1.67B11.77%1.58B11.54%1.55B11.54%1.55B27.23%1.67B30.83%1.46B32.53%1.41B28.34%1.39B28.34%1.39B
Total assets 14.82%63.79B10.12%59.78B8.90%57.58B6.25%56.26B6.25%56.26B6.06%55.56B6.51%54.29B5.22%52.87B5.60%52.95B5.60%52.95B
Liabilities
Total deposits 14.25%51.4B9.11%48.05B8.73%46.45B5.81%45.4B5.81%45.4B5.13%44.99B3.39%44.04B1.18%42.72B1.92%42.9B1.92%42.9B
Federal funds purchased and securities sold under agreement to repurchase --------7.36%10.87M-23.75%13.43M-23.75%13.43M53.96%14.18M8.25%17.77M-36.21%10.12M91.48%17.61M91.48%17.61M
Payables ------------------------------0--------
Current debt and capital lease obligation --------------0--0------------286.67%290M286.67%290M
-Current debt --------------0--0------------286.67%290M286.67%290M
Long term debt and capital lease obligation 19.82%4.37B28.82%4.33B9.84%3.93B10.74%3.65B10.74%3.65B5.87%3.65B44.83%3.36B49.29%3.58B40.77%3.3B40.77%3.3B
-Long term debt 19.82%4.37B28.82%4.33B9.84%3.93B10.74%3.65B10.74%3.65B5.87%3.65B44.83%3.36B49.29%3.58B40.77%3.3B40.77%3.3B
Other liabilities -14.42%1.61B2.10%1.86B12.84%1.75B9.31%1.8B9.31%1.8B26.24%1.89B39.29%1.82B37.77%1.55B46.74%1.65B46.74%1.65B
Total liabilities 13.55%57.39B10.15%54.24B8.95%52.14B5.62%50.86B5.62%50.86B5.85%50.54B6.49%49.24B4.59%47.86B5.50%48.15B5.50%48.15B
Shareholders'equity
Share capital 1.12%479.05M0.13%474.33M0.13%474.3M0.10%473.77M0.10%473.77M0.11%473.74M0.11%473.72M0.45%473.7M0.40%473.3M0.40%473.3M
-common stock 8.66%66.55M0.99%61.83M0.98%61.8M0.78%61.27M0.78%61.27M0.82%61.24M0.82%61.22M3.57%61.2M3.23%60.8M3.23%60.8M
-Preferred stock 0.00%412.5M0.00%412.5M0.00%412.5M0.00%412.5M0.00%412.5M0.00%412.5M0.00%412.5M0.00%412.5M0.00%412.5M0.00%412.5M
Paid-in capital 27.78%2.47B2.13%1.96B2.12%1.95B2.17%1.94B2.17%1.94B2.20%1.93B2.27%1.92B12.71%1.91B12.87%1.9B12.87%1.9B
Retained earnings 15.23%3.75B15.86%3.62B16.72%3.5B17.42%3.35B17.42%3.35B19.09%3.25B19.27%3.12B17.61%3B16.40%2.85B16.40%2.85B
Less: Treasury stock 210.17%6.1M192.98%5.76M192.83%5.76M629.28%2.22M629.28%2.22M--1.97M--1.97M-98.21%1.97M-99.72%304K-99.72%304K
Gains losses not affecting retained earnings 54.54%-292.18M-8.04%-512.2M-32.04%-485.15M15.53%-361.23M15.53%-361.23M-40.11%-642.72M-95.07%-474.09M-216.76%-367.44M-10,550.54%-427.64M-10,550.54%-427.64M
Total stockholders'equity 27.60%6.4B9.81%5.54B8.39%5.44B12.56%5.4B12.56%5.4B8.14%5.02B6.65%5.04B11.65%5.02B6.63%4.8B6.63%4.8B
Total equity 27.60%6.4B9.81%5.54B8.39%5.44B12.56%5.4B12.56%5.4B8.14%5.02B6.65%5.04B11.65%5.02B6.63%4.8B6.63%4.8B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--

Analysis

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