M&T BANK CORPMTB

Market cap
$28.9B
P/E ratio
Dec 31,
2010
Dec 31,
2011
Dec 31,
2012
Dec 31,
2013
Dec 31,
2014
Dec 31,
2015
Dec 31,
2016
Dec 31,
2017
Dec 31,
2018
Dec 31,
2019
Dec 31,
2020
Dec 31,
2021
Dec 31,
2022
Cash and due from banks9091,4501,9841,5731,2901,3681,3211,4211,6051,4331,5531,3381,517
Interest-bearing deposits at banks1011551301,6516,4717,5945,0015,0798,1057,19023,66441,87224,959
Federal funds sold253310083----4--3
Trading account---------4701,069468118
Debt Securities, Available-for-Sale--------8,6836,3194,8233,95610,749
Debt Securities, Held-to-Maturity, Amortized Cost, before Allowance for Credit Loss1,3241,0781,0323,9663,5082,8602,4573,3533,3172,6571,7492,73513,530
Equity And Other Securities Estimated Fair Value--------694522474465932
Total investment securities-----15,65616,25014,66512,6939,4977,0467,15625,211
Loans and leases52,31660,37866,79064,32666,89987,71991,10288,24388,73391,18998,87693,137132,074
Unearned discount326282219253230230248254267266340224510
Loans and leases, net of unearned discount51,99060,09666,57164,07366,66987,48990,85387,98988,46690,92398,53692,912131,564
Allowance for credit losses9039089269179209569891,0171,0191,0511,7361,4691,925
Loans and leases, net51,08759,18865,64563,15665,74986,53489,86486,97287,44789,87296,79991,443129,639
Premises and equipment4365815956346136676756466471,1411,1621,1451,654
Goodwill3,5253,5253,5253,5253,5254,5934,5934,5934,5934,5934,5934,5938,490
Finite-Lived Intangible Assets, Net----3514098724729144209
Accrued interest and other assets----5,6185,9625,3235,0134,7745,6446,7027,0888,930
Total assets68,02177,92483,00985,16296,686122,788123,449118,593120,097119,873142,601155,107200,730
Noninterest-bearing deposits14,55820,01824,24124,66126,94829,11132,81433,97532,25732,39647,57360,13165,502
Savings and interest-checking deposits------52,34651,69850,96454,93267,68168,60487,911
Time deposits5,8176,1084,5623,5243,06413,11010,1326,5816,1245,7573,9002,80810,102
Total deposits49,80559,39565,61167,11973,58291,95895,49492,43290,15794,770119,806131,543163,515
Short-Term Debt8150-----1754,3986259473,555
Other Liabilities1,0711,7901,5131,3691,5681,8711,8111,5941,6372,3372,1662,1284,377
Long-Term Debt7,8406,6864,6085,1099,00710,6549,4948,1418,4456,9864,3823,4853,965
Total liabilities59,66468,65372,80673,85784,350106,615106,963102,343104,637104,156126,414137,204175,412
Preferred Stock, Value, Issued7418658738821,2321,2321,2321,2321,2321,2501,2501,7502,011
Common Stock, Value, Issued60636465668080808080808090
Common Stock Issuable4433322222111
Additional paid-in capital2,3992,8293,0263,2323,4106,6816,6776,5916,5796,5946,6176,63510,003
Retained earnings5,4275,8676,4777,1887,8078,4319,22210,16511,51712,82113,44414,64615,754
Accumulated other comprehensive income (loss), net-205-356-240-64-181-252-295-364-420-207-63-128-790
Treasury stock - common, at cost - 10,165,419 shares at December 31, 2022; 31,052,845 shares at December 31, 202167-----4321,4543,5294,8235,1435,0821,750
Total shareholders’ equity8,3589,27110,20311,30612,33616,17316,48716,25115,46015,71716,18717,90325,318
Total liabilities and shareholders’ equity68,02177,92483,00985,16296,686122,788123,449118,593120,097119,873142,601155,107200,730