Huntington Bancshares Incorporated logo HBAN - Huntington Bancshares Incorporated

Price: -- -- | CONSENSUS: Buy DETAILS
STRONG
BUY
1
BUY 24
HOLD 20
SELL 3
STRONG
SELL
0
| PRICE TARGET: $20.38 DETAILS
HIGH: $21.00
LOW: $18.00
MEDIAN: $21.00
CONSENSUS: $20.38
UPSIDE: 28.02%
Metric 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004 2003 2002 2001 2000 1999 1998 1997 1996 1995 1994 1993
Revenue
Revenue 12,485 11,961 10,780 7,950 6,080 5,238 5,655 5,270 4,738 3,781 3,151 2,955.6 2,872.8 3,036.6 2,957.2 3,187.2 3,212.4 3,480.4 3,419.6 2,628.2 2,274.0 2,162.2 2,374.9 2,634.9 2,854.7 2,602.1 2,599.6 2,437.6 2,324.3 2,089.8 1,710.3 1,455.2 1,542
Cost of Revenue 4,782 4,996 3,879 985 114 1,471 1,275 995 632 454 264 220.3 246.1 367.1 515.1 1,161.1 2,888.5 2,324.1 2,085.1 1,116.5 760.7 491.0 620.8 738.0 1,196.8 1,256.6 1,072.6 1,083.5 1,062.1 957 766 479 519.3
Gross Profit 7,703 6,965 6,901 6,965 5,966 3,767 4,380 4,275 4,106 3,327 2,887 2,735.3 2,626.8 2,669.5 2,442.1 2,026.1 323.9 1,156.3 1,334.5 1,511.7 1,513.4 1,671.2 1,754.1 1,896.9 1,657.9 1,345.5 1,527.0 1,354.1 1,262.2 1,132.8 944.3 976.2 1,022.7
Operating Expenses
R&D Expenses 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
SG&A Expenses 3,495 2,931 2,946 2,559 2,475 1,762 1,725 1,675 1,662 1,466 1,219 1,148.4 1,136.9 1,120.8 1,035.8 952.9 890.7 869.9 794.6 637.4 539.2 777.7 474.8 445.9 485.3 456.6 451 460.8 425.6 381.2 0 0 0
Other Expenses 1,520 1,631 1,571 1,642 1,900 1,033 996 972 1,050 941 754 734.0 621.1 715.1 699.1 720.9 3,111.4 582.4 517.3 360.3 430.7 340.8 755.4 928.2 1,077.2 429.0 461.2 453.1 377.4 294.3 565.8 609.7 658.9
Operating Expenses 5,015 4,562 4,517 4,201 4,375 2,795 2,721 2,647 2,712 2,407 1,973 1,882.3 1,758.0 1,835.9 1,734.9 1,673.8 4,002.1 1,452.3 1,311.8 997.7 969.8 1,118.6 1,230.2 1,374.1 1,562.4 885.6 912.2 913.9 803 675.5 565.8 609.7 658.9
Operating Income
Operating Income 2,688 2,403 2,384 2,764 1,591 972 1,659 1,628 1,394 920 914 853.0 868.8 833.6 707.2 352.3 (3,678.2) (296.0) 22.6 514.1 543.6 552.7 524.0 522.7 95.5 459.9 614.8 440.2 459.2 457.3 378.5 366.5 363.8
Interest Expense 4,319 4,576 3,477 696 89 423 988 760 431 263 164 139.3 156.0 219.7 341.1 526.6 813.9 1,266.6 1,441.5 1,051.3 679.4 435.9 456.8 543.6 939.5 1,166.1 984.2 978.3 954.3 880.6 737.3 463.7 440
Interest Income 10,310 9,921 8,916 5,969 4,191 3,647 4,201 3,949 3,433 2,632 2,115 1,976.5 1,860.6 1,930.3 1,970.2 2,145.4 2,238.1 2,798.3 2,743.0 2,070.5 1,641.8 1,347.3 1,305.8 1,293.2 1,654.8 2,108.5 2,026.0 1,999.4 1,981.5 1,775.7 1,461.9 1,219.8 1,090.8
Profitability
EBITDA 2,688 3,025 3,182 3,248 1,982 1,339 2,045 2,121 1,807 1,300 1,255 1,185.8 1,150.3 1,108.2 989.3 638.5 (3,450.1) (51.1) 149.9 625.7 716.6 858.8 1,012.1 1,016.7 665.4 570.8 727.3 521.2 522.6 549.2 447.3 450.7 491.3
EBIT 2,688 2,403 2,384 2,764 1,591 972 1,659 1,628 1,394 920 914 853.0 868.8 833.6 707.2 352.3 (3,678.2) (296.0) 22.6 514.1 543.6 552.7 524.0 522.7 95.5 459.9 614.8 440.2 459.2 457.3 378.5 366.5 363.8
Income Before Tax 2,688 2,403 2,384 2,764 1,591 972 1,659 1,628 1,394 920 914 853.0 868.8 833.6 707.2 352.3 (3,678.2) (296.0) 22.6 514.1 543.6 552.7 524.0 522.7 95.5 459.9 614.8 440.2 459.2 457.3 378.5 366.5 363.8
Income Tax Expense 459 443 413 515 294 155 248 235 208 208 221 220.6 227.5 202.3 164.6 40.0 (584.0) (182.2) (52.5) 52.8 131.5 153.7 138.3 199.0 (39.3) 131.4 192.7 138.4 166.5 153 134 123.9 126.9
Net Income 2,211 1,940 1,951 2,238 1,295 817 1,411 1,393 1,186 712 693.0 632.4 641.3 631.3 542.6 312.3 (3,094.2) (113.8) 75.2 461.2 412.1 398.9 372.4 323.7 134.8 328.4 422.1 301.8 292.7 304.3 244.5 242.6 236.9
Per Share Data
EPS (Basic) 1.41 1.24 1.26 1.47 0.91 0.70 1.29 1.22 1.02 0.69 0.82 0.73 0.73 0.71 0.59 0.19 -6.14 -0.44 0.25 1.95 1.79 1.74 1.62 1.34 0.54 1.30 1.63 1.18 1.27 1.31 1.11 1.11 1.04
EPS (Diluted) 1.39 1.22 1.24 1.45 0.90 0.69 1.27 1.20 1.00 0.67 0.81 0.72 0.72 0.71 0.59 0.19 -6.14 -0.44 0.25 1.92 1.77 1.71 1.61 1.33 0.54 1.29 1.62 1.17 1.25 1.29 1.11 1.11 1.02
Shares Outstanding 1,479 1,451.4 1,446.4 1,441.3 1,262.4 1,017 1,038.8 1,046.8 1,084.7 904.4 803.4 819.9 834.2 858.0 863.7 726.9 532.8 366.2 300.9 236.7 230.1 229.9 229.4 242.3 249.6 252.7 259.0 255.8 230.5 232.3 221.8 219.4 228.6
Metric 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2009 2008 2004 2003 2002 2001 2000 1999 1998 1997 1996 1995 1994 1993
Current Assets
Cash & Cash Equivalents 1,783 13,332 10,323 6,918 5,914 6,712 1,272 2,725 1,567 1,443 1,840.7 1,099.3 899.7 933.3 1,006.8 1,159.6 1,327.7 1,214.6 1,318.4 1,691.2 925.5 1,342.9 893.8 757.6
Short-Term Investments 26,132 3,879 3,373 511 374 304 229 185 14,869 786 595.4 447.2 0 0 0 0 0 0 0 0 0 0 0 0
Net Receivables 0 7,580 6,826 6,773 6,275 2,162 0 0 2,151 2,062 2,630.8 3,427.9 0 0 0 0 0 0 0 0 0 0 0 0
Inventory 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Current Assets 0 53 0 19 46 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Total Current Assets 27,915 24,844 20,522 14,221 12,609 9,178 1,501 2,910 18,673 4,291 5,066.9 4,974.4 899.7 933.3 1,006.8 1,159.6 1,327.7 1,214.6 1,318.4 1,698.3 927.4 1,355.8 893.8 757.6
Non-Current Assets
Property, Plant & Equipment 1,321 1,066 1,109 1,156 1,164 757 763 790 864 816 496.0 519.5 942.4 349.7 341.4 452.0 454.8 438.9 447 389.5 311.8 296.5 288.8 290.2
Goodwill 5,997 5,561 5,561 5,571 5,349 1,990 1,990 1,989 1,993 1,993 444.3 3,055.0 0 0 0 0 0 0 0 0 0 0 0 0
Intangible Assets 752 677 672 712 611 428 475 535 584 628 289.1 356.7 0 0 0 0 0 0 0 0 0 0 0 0
Long-Term Investments 0 162,880 152,794 152,737 146,574 104,008 98,542 97,114 79,024 89,421 43,762.3 43,956.2 27,751.5 25,931.2 22,190.0 24,682.6 24,419.2 25,258.1 23,969.9 23,415.9 18,985.2 18,015.6 15,983.1 14,941.5
Other Non-Current Assets 0 9,255 8,710 8,528 7,803 6,677 5,731 5,443 3,133 2,565 1,496.0 1,491.1 2,756.1 3,088.1 3,771.2 1,489.9 2,397.7 2,125.4 2,561 1,233.9 629 599.6 604.9 1,629.4
Total Non-Current Assets 8,070 179,439 168,846 168,704 161,501 113,860 107,501 105,871 85,598 95,423 46,487.7 49,378.5 31,665.8 29,586.0 26,521.1 27,340.6 27,271.7 27,822.4 26,977.9 25,039.3 19,926 18,911.7 16,876.8 16,861.1
Total Assets 225,106 204,230 189,368 182,906 174,064 123,038 109,002 108,781 104,185 99,714 51,554.7 54,352.9 32,565.5 30,519.3 27,527.9 28,500.2 28,599.4 29,037 28,296.3 26,730.5 20,851.5 20,254.6 17,770.6 17,618.7
Current Liabilities
Account Payables 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Short-Term Debt 1,261 199 620 2,027 334 183 2,606 2,017 5,056 3,693 876.2 1,309.2 1,207.2 1,452.3 2,141.0 1,955.9 1,987.8 2,122 2,216.6 3,286.7 3,944.7 3,514.8 2,898.2 3,195.5
Deferred Revenue 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Current Liabilities 145,838 162,448 151,230 147,914 143,263 98,948 82,347 84,774 77,041 75,608 40,493.9 37,943.3 20,768.2 18,487.4 17,499.3 20,187.3 19,777.2 19,792.6 19,722.8 17,983.7 13,385.8 12,636.6 11,965.1 12,044.7
Total Current Liabilities 147,099 162,647 151,850 149,941 143,597 99,131 84,953 86,791 84,165 81,097 42,416.0 40,253.2 21,975.4 19,939.7 19,640.3 22,143.2 21,765.0 21,914.6 21,939.4 21,270.4 17,330.5 16,151.4 14,863.3 15,240.2
Non-Current Liabilities
Long-Term Debt 17,221 16,374 12,394 9,686 7,108 8,352 9,849 8,625 9,206 8,309 3,802.7 6,870.7 6,326.9 6,808.0 4,546.8 2,739.3 3,338.1 3,951.8 3,247.3 2,886 1,556.3 2,103 1,214.1 762.3
Deferred Tax Liabilities 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Non-Current Liabilities 36,407 5,427 5,726 5,510 4,041 2,562 2,405 2,263 0 0 0 0 1,725.6 1,496.6 1,151.0 901.2 830.2 988.2 960.8 548.7 453.2 481.3 281.4 291.6
Total Non-Current Liabilities 53,628 21,801 18,120 15,196 11,149 10,914 12,254 10,888 9,206 8,309 3,802.7 6,870.7 8,052.5 8,304.6 5,697.8 3,640.5 4,168.3 4,940 4,208.1 3,434.7 2,009.5 2,584.3 1,495.5 1,053.9
Total Liabilities 200,727 184,448 169,970 165,137 154,746 110,045 97,207 97,679 93,371 89,406 46,218.7 47,124.0 30,027.9 28,244.3 25,338.1 25,783.7 25,933.3 26,854.6 26,147.5 24,705.1 19,340 18,735.7 16,358.8 16,294.1
Stockholders' Equity
Common Stock 16 15 15 14 14 10 10 11 11 11 7.2 3.7 2,484.2 2,483.5 2,484.4 2,490.7 2,493.6 2,285 2,137.9 0 0 0 0 0
Retained Earnings 6,351 5,204 4,322 3,419 2,202 1,878 2,088 1,361 588 (227) (2,922.0) 367.4 563.6 337.4 118.5 24.1 26.4 128.8 35.5 114.4 228.7 366.5 364.3 221.7
Accumulated Other Comprehensive Income (1,908) (2,866) (2,676) (3,098) (229) 192 (256) (609) (528) (401) (157.0) (326.7) (10.9) 2.7 62.3 25.5 (24.5) (94.1) 24.7 14.8 (14.6) 41 0 0
Total Stockholders' Equity 24,342 19,740 19,353 17,731 19,297 12,993 11,795 11,102 10,814 10,308 5,336.0 7,228.9 2,537.6 2,275.0 2,189.8 2,416.4 2,366.0 2,182.4 2,148.8 2,025.4 1,511.5 1,518.9 1,411.8 1,324.6
Total Liabilities & Equity 225,106 204,230 189,368 182,906 174,064 123,038 109,002 108,781 104,185 99,714 51,554.7 54,352.9 32,565.5 30,519.3 27,827.9 28,500.2 28,599.4 29,037 28,296.3 26,730.5 20,851.5 20,254.6 17,770.6 17,618.7
Debt Metrics
Total Debt 18,482 16,573 13,014 11,713 7,442 8,535 12,455 10,642 14,262 12,002 4,678.9 8,179.9 7,534.1 8,260.3 6,687.8 4,695.3 5,325.9 6,073.8 5,463.9 6,172.7 5,501 5,617.8 4,112.3 3,957.8
Net Debt 16,699 3,241 2,691 4,795 1,528 1,823 11,183 7,917 12,695 10,559 2,838.2 7,080.6 6,634.4 7,327.0 5,681.0 3,535.7 3,998.2 4,859.2 4,145.5 4,481.5 4,575.5 4,274.9 3,218.5 3,200.2
Metric 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2005 2004 2003 2002 2001 2000 1999 1998 1997 1996 1995 1994 1993
Operating Activities
Net Income 2,229 1,960 1,971 2,249 1,297 817 1,411 1,393 1,186 711.8 412.1 398.9 372.4 323.7 134.8 328.4 422.1 301.8 292.7 304.3 244.5 242.6 236.9
Depreciation & Amortization 762 622 798 484 391 367 386 493 413 379.8 173.0 306.1 488.1 494.0 570.0 110.9 112.5 81 63.4 91.9 68.8 84.2 127.5
Stock-Based Compensation 113 106 97 105 129 77 83 78 92 65.6 0 0 0 0 0 0 0 0 0 0 0 0 0
Change in Working Capital (666) (1,260) (339) 570 337 (891) (645) (525) (128) (299) 156.4 (2,160.3) 294.3 114.2 (483.0) (189.2) 250.3 (283.7) (167.8) (68.2) 53.4 (118.3) (13.8)
Other Non-Cash Items 510 413 432 300 (16) 1,046 316 224 223 190.9 31.9 1,864.6 183.4 1.5 183.6 88.4 (33.1) 65.5 87.6 115.4 (13.5) 914.2 (257.2)
Operating Cash Flow 2,545 1,815 2,657 4,027 2,062 1,323 1,574 1,726 1,954 1,215 674.7 528.2 1,338.4 1,030.1 497.0 575.9 836.5 167.4 323.6 479.1 379.9 1,180 63
Investing Activities
Capital Expenditure (267) (143) (140) (214) (247) (119) (107) (110) (194) (120) (57.3) (56.5) (62.5) (57.8) (63.2) (65.2) (76.1) (147) (45.8) (51.6) (33.4) (25.9) (56.8)
Acquisitions 864 0 0 (223) (152) 0 (548) (15) 0 (613) 0 0 0 (8.3) 0 0 0 0 0 0 0 0 0
Purchases of Investments (5,325) (16,235) (5,851) (11,416) (24,839) (11,172) (7,555) (2,823) (6,785) (11,138) (2,832.3) (2,438.2) (4,341.9) (1,959.1) (1,056.8) (239.1) (2,685.5) (4,106.4) (2,997.3) (3,130.8) (3,721.8) (2,377) (3,195.7)
Sales/Maturities of Investments 7,137 13,445 5,738 7,729 17,416 9,131 7,048 4,271 5,538 9,729 2,458.8 3,267.8 2,747.3 1,892.0 2,436.1 2,176.5 2,525.4 5,147.5 3,175.2 3,611.2 2,952.5 2,777.8 2,880.4
Other Investing Activities (11,059) (9,186) (2,744) (7,485) 3,860 (6,479) (715) (4,986) (3,425) (1,303) (711.2) (2,216.5) (1,094.5) (4,266.5) (1,627.5) (643.5) (1,137) (274.4) (1,228.2) (1,222.8) (1,043.6) (1,187.5) (251.2)
Investing Cash Flow (8,383) (12,119) (2,997) (11,609) (3,962) (8,639) (1,877) (3,663) (4,866) (3,445) (1,142.0) (1,443.4) (2,751.7) (4,399.6) (311.4) 1,228.7 (1,373.2) 619.7 (1,096.1) (794) (1,846.3) (812.6) (623.3)
Financing Activities
Net Debt Issuance 3,205 3,316 1,294 5,148 (3,874) (4,039) 1,639 (3,594) 2,314 2,752.5 (1,152.8) (728.2) 699.5 1,626.6 (654.8) (781.2) 609.5 (507.3) 268.4 (77.9) 1,509.4 145.3 799.4
Stock Repurchased 0 (410) (82) 0 (1,350) (92) (441) (939) (260) 2,766.8 (231.7) 0 0 0 0 0 0 0 0 0 0 0 0
Dividends Paid (1,016) (1,046) (1,034) (1,010) (888) (698) (671) (584) (425) (299) (200.6) (168.1) (151.0) (167.0) (190.8) (185.1) (171.9) (157.6) (132.8) (125.4) (105.5) (68.7) (58.4)
Other Financing Activities 3,556 11,162 3,270 4,626 6,453 16,582 (1,726) 7,711 1,418 (271) 1,587.8 2,320.3 915.5 2,073.9 423.2 (443.9) 70.1 (395.7) 1,225 521.2 434.9 (240.1) (303.2)
Financing Cash Flow 6,486 13,022 3,765 8,764 827 12,741 (1,199) 3,089 3,047 2,767.7 2.7 1,424.1 1,391.0 3,166.7 (419.8) (1,577.6) 414.1 (1,087.1) 1,331.7 103.5 1,634.2 (221.8) 413.7
Cash Position
Net Change in Cash 648 2,718 3,425 1,182 (1,073) 5,425 (1,502) 1,152 135 537.6 (464.6) 508.9 (22.3) (202.9) (234.2) 227.0 (122.7) (300) 559.2 (1,303.8) (890.7) (745.1) (891.7)
Cash at Beginning 12,847 10,129 6,704 5,522 6,595 1,170 2,672 1,520 1,385 847.2 1,505.4 996.5 1,018.8 1,221.6 1,455.9 1,228.9 1,351.6 1,651.6 1,092.4 1,303.8 890.7 745.1 891.7
Cash at End 13,495 12,847 10,129 6,704 5,522 6,595 1,170 2,672 1,520 1,384.8 1,040.8 1,505.4 996.5 1,018.8 1,221.6 1,455.9 1,228.9 1,351.6 1,651.6 926.7 2,524.9 523.3 1,305.4
Free Cash Flow 2,278 1,672 2,517 3,813 1,815 1,204 1,467 1,616 1,760 1,095 617.4 471.7 1,275.9 972.3 433.8 510.8 760.4 20.4 277.8 427.5 346.5 1,154.1 6.2
Key Metrics 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004 2003 2002 2001 2000 1999 1998 1997 1996 1995 1994 1993
Income Statement
Revenue 12,485 11,961 10,780 7,950 6,080 5,238 5,655 5,270 4,738 3,781 3,151 2,955.6 2,872.8 3,036.6 2,957.2 3,187.2 3,212.4 3,480.4 3,419.6 2,628.2 2,274.0 2,162.2 2,374.9 2,634.9 2,854.7 2,602.1 2,599.6 2,437.6 2,324.3 2,089.8 1,710.3 1,455.2 1,542
Gross Profit 7,703 6,965 6,901 6,965 5,966 3,767 4,380 4,275 4,106 3,327 2,887 2,735.3 2,626.8 2,669.5 2,442.1 2,026.1 323.9 1,156.3 1,334.5 1,511.7 1,513.4 1,671.2 1,754.1 1,896.9 1,657.9 1,345.5 1,527.0 1,354.1 1,262.2 1,132.8 944.3 976.2 1,022.7
Operating Income 2,688 2,403 2,384 2,764 1,591 972 1,659 1,628 1,394 920 914 853.0 868.8 833.6 707.2 352.3 (3,678.2) (296.0) 22.6 514.1 543.6 552.7 524.0 522.7 95.5 459.9 614.8 440.2 459.2 457.3 378.5 366.5 363.8
Net Income 2,211 1,940 1,951 2,238 1,295 817 1,411 1,393 1,186 712 693.0 632.4 641.3 631.3 542.6 312.3 (3,094.2) (113.8) 75.2 461.2 412.1 398.9 372.4 323.7 134.8 328.4 422.1 301.8 292.7 304.3 244.5 242.6 236.9
EPS (Diluted) 1.39 1.22 1.24 1.45 0.90 0.69 1.27 1.20 1.00 0.67 0.81 0.72 0.72 0.71 0.59 0.19 -6.14 -0.44 0.25 1.92 1.77 1.71 1.61 1.33 0.54 1.29 1.62 1.17 1.25 1.29 1.11 1.11 1.02
Balance Sheet
Cash & Equivalents 1,783 13,332 10,323 6,918 5,914 6,712 1,272 2,725 1,567 1,443 1,840.7 1,099.3 899.7 933.3 1,006.8 1,159.6 1,327.7 1,214.6 1,318.4 1,691.2 925.5 1,342.9 893.8 757.6
Total Assets 225,106 204,230 189,368 182,906 174,064 123,038 109,002 108,781 104,185 99,714 51,554.7 54,352.9 32,565.5 30,519.3 27,527.9 28,500.2 28,599.4 29,037 28,296.3 26,730.5 20,851.5 20,254.6 17,770.6 17,618.7
Total Debt 18,482 16,573 13,014 11,713 7,442 8,535 12,455 10,642 14,262 12,002 4,678.9 8,179.9 7,534.1 8,260.3 6,687.8 4,695.3 5,325.9 6,073.8 5,463.9 6,172.7 5,501 5,617.8 4,112.3 3,957.8
Stockholders' Equity 24,342 19,740 19,353 17,731 19,297 12,993 11,795 11,102 10,814 10,308 5,336.0 7,228.9 2,537.6 2,275.0 2,189.8 2,416.4 2,366.0 2,182.4 2,148.8 2,025.4 1,511.5 1,518.9 1,411.8 1,324.6
Cash Flow
Operating Cash Flow 2,545 1,815 2,657 4,027 2,062 1,323 1,574 1,726 1,954 1,215 674.7 528.2 1,338.4 1,030.1 497.0 575.9 836.5 167.4 323.6 479.1 379.9 1,180 63
Capital Expenditure (267) (143) (140) (214) (247) (119) (107) (110) (194) (120) (57.3) (56.5) (62.5) (57.8) (63.2) (65.2) (76.1) (147) (45.8) (51.6) (33.4) (25.9) (56.8)
Free Cash Flow 2,278 1,672 2,517 3,813 1,815 1,204 1,467 1,616 1,760 1,095 617.4 471.7 1,275.9 972.3 433.8 510.8 760.4 20.4 277.8 427.5 346.5 1,154.1 6.2