S&T Bancorp, Inc. (STBA) Actionnariat — Transactions d'Initiés et Politiques
S&T Bancorp, Inc. (STBA) — Prix $49.86 — Financial Services — Banks - Regional — NASDAQ
Données de Financial Modeling Prep · mis à jour le 16 septembre 2026 · cours différés de 15 min
Derniers résultats publiés: 23 juillet 2026
Actionnariat et activité des initiés pour S&T Bancorp, Inc. (STBA): transactions des initiés, déclarations de trading du Sénat et de la Chambre américaine et actions en circulation. Suivez comment dirigeants et politiciens négocient le titre.
Prix
Prix $49.86
Capitalisation $1.8B
Bourse NASDAQ
Pays US
Transactions d'Initiés Récentes Date Initié Type Actions Valeur 2026-08-11 HIEB WILLIAM J S-Sale 1,832 $94K 2026-08-11 HIEB WILLIAM J S-Sale 1,905 $98K 2026-08-11 HIEB WILLIAM J S-Sale 1,573 $81K 2026-08-12 HIEB WILLIAM J S-Sale 1,290 $66K 2026-08-12 HIEB WILLIAM J S-Sale 1,385 $71K 2026-08-12 HIEB WILLIAM J S-Sale 925 $47K 2026-08-12 HIEB WILLIAM J S-Sale 57 $3K 2026-08-12 HIEB WILLIAM J S-Sale 400 $21K 2026-08-12 HIEB WILLIAM J S-Sale 3 $154 2026-08-12 HIEB WILLIAM J S-Sale 100 $5K
Bilan (10 ans) Année 2016 2017 2018 2019 2020 2021 2022 2023 2024 2025 Trésorerie $139.5M $117.2M $155.5M $197.8M $229.7M $922.2M $210.0M $233.6M $244.8M $163.4M Placements à Court Terme $693.5M $698.3M 0 $784.3M $770.4M $909.7M $1.00B $970.4M $987.6M $987.7M Créances 0 0 0 0 0 0 0 0 0 $2000 Stocks 0 0 0 0 0 0 0 0 0 0 Actifs Courants $833.0M $815.4M $155.5M $982.1M $1.00B $1.83B $1.21B $1.20B $1.23B $1.15B Immobilisations Corporelles $45.0M $42.7M $41.7M $56.9M $55.6M $52.6M $49.3M $49.0M $45.0M 0 Goodwill $291.7M $291.7M $287.4M $371.6M $373.4M $373.4M $373.4M $373.4M $373.4M $373.4M Actifs Incorporels $4.9M $3.7M $2.6M $10.9M $8.7M $6.9M $5.4M $4.1M $3.1M $2.3M Actifs Totaux $6.94B $7.06B $7.25B $8.76B $8.97B $9.49B $9.11B $9.55B $9.66B $9.87B Dettes Fournisseurs 0 0 0 0 0 0 0 0 0 0 Dette à Court Terme $710.8M $590.2M $488.4M $301.2M $140.2M $84.5M $370.0M $415.0M $150.0M $220.1M Passifs Courants $5.98B $6.02B $6.16B $7.34B $7.56B $8.08B $7.59B $7.94B $7.93B $165.0M Dette à Long Terme $60.3M $92.9M $115.9M $115.1M $87.8M $76.8M $69.2M $88.6M $100.3M $50.2M Passifs Totaux $6.10B $6.18B $6.32B $7.57B $7.81B $8.28B $7.93B $8.27B $8.28B $8.41B Réserves $585.9M $628.1M $701.8M $761.1M $710.1M $773.7M $863.9M $959.6M $1.04B $1.12B Capitaux Propres $842.0M $884.0M $935.8M $1.19B $1.15B $1.21B $1.18B $1.28B $1.38B $1.46B Dette Totale $771.2M $683.1M $604.3M $416.4M $227.9M $161.3M $439.2M $503.6M $250.3M $310.9M Dette Nette -$61.8M -$132.4M $448.8M -$565.8M -$772.1M -$1.67B -$773.6M -$700.4M -$982.1M -$840.1M Fonds de Roulement -$5.15B -$5.20B -$6.01B -$6.36B -$6.56B -$6.25B -$6.38B -$6.73B -$6.70B $986.1M
Santé financière
Dette / Capitaux propres 0.20
Ratio de liquidité 1.09
Rentabilité
Rentabilité des capitaux propres 9.74%
Rentabilité du capital investi 1.29%
Rentabilité des actifs 1.41%
Marge brute 69.95%
Marge opérationnelle 28.79%
Marge nette 25.17%