Balance Sheet for Zions Bancorporation N.A. Warrants 05/22/2020 (ZIONW)

$ 0.0123 0.00 (0.00%) Volume: 0 4:00 PM EDT May 22, 2020
Statement: View:
Assets [+] in Millions of Dollars
12/2019 12/2018 12/2017 12/2016 12/2015
Cash and Due from Banks 1,448 1,233 1,330 2,148 6,906
Restrictable Cash - - - - -
Fed Funds Sold/Securities Purchased 484 1,461 514 568 620
Interest-Bearing Dep at Other Banks - - - - -
Investment Securities, Net 15,215 16,557 16,960 15,124 9,037
Loans 2,289 2,102 1,847 1,729 1,686
Unearned Premiums - - - - -
Allowances for Loan and Lease Loss 495 495 518 567 606
Net Loans 48,343 46,312 44,306 42,254 40,193
Premise and Equipment 1,142 1,124 1,094 1,020 905
Due from Customers Acceptance - - - - -
Trading Account Securities 182 106 148 115 48
Other Receivables - - - - -
Accrued Interest - - - - -
Deferred Acquisition Cost - - - - -
Accrued Investment Income - - - - -
Separate Account Business Liability - - - - -
Time Deposit Placed - - - - -
Intangible Assets 1,015 1,015 1,016 1,022 1,030
Other Assets 1,335 934 916 984 917
Total Assets 69,172 68,746 66,288 63,239 59,665
Liabilities [+] in Millions of Dollars
12/2019 12/2018 12/2017 12/2016 12/2015
Non-Interest Bearing Deposits 23,576 23,645 23,886 24,115 22,277
Interesting Bearing Deposits 33,509 30,456 28,735 29,121 28,097
Short Term Debt 1,000 4,500 3,600 500 -
Other Liabilities 899 633 571 942 549
Bankers Acceptance Outstanding - - - - -
Fed. Funds Purchased/Securities Sold 1,053 1,153 1,376 327 347
Accrued Taxes - - - - -
Accrued Interest Payables - - - - -
Other Payables - - - - -
Capital Lease Obligations - - - - -
Claims and Claim Expense - - - - -
Future Policy Benefits - - - - -
Unearned Premiums - - - - -
Policy Holder Funds - - - - -
Participating Policyholder Equity - - - - -
Separate Accounts Business - - - - -
Minority Interest - - - - -
Long Term Debt 1,723 724 383 535 812
Total Liabilities - - - - -
Preferred Shareholder's Equity 566 566 566 710 828
Common Shareholder's Equity 6,787 7,012 7,113 6,924 6,679
Common Par 2,735 3,806 4,445 - -
Additional Paid in Capital 3,541 3,806 - 4,725 4,767
Cumulative Translation Adjustments - - - - -
Retained Earnings 4,009 3,456 2,807 2,321 1,967
Treasury Stock - - - - -
Other Equity Adjustments 43 (250) (139) (122) (55)
Foreign Currency Adjustments - - - - -
Net Unrealized Loss/Gain on Investments - - - - -
Net Unrealized Loss/Gain on Foreign Currency - - - - -
Net Other Unearned Losses/Gains - - - - -
Total Equities 7,353 7,578 7,679 7,634 7,508
Shares Outstanding - Common Class Only 165 188 198 203 204
Total Preferred Shares Outstanding 0 0 0 0 0
Total Ordinary Shares 165 188 198 203 204
Treasury Shares - - - - -
Basic Weighted Shares Outstanding 176 194 201 204 203
Diluted Weighted Shares Outstanding 187 207 210 204 204