NASDAQ$HBAN

Huntington Bancshares Inc · Q1 2022 earnings

Q1 2022 earnings · · Investor relations

Briefing

Reported first quarter earnings with loan growth and expense reductions driving record PPNR.

Huntington Bancshares Incorporated reported a net income of $460 million for the first quarter of 2022, with earnings per share (EPS) at $0.29. The quarter benefited from the TCF acquisition and organic growth, with adjusted EPS at $0.32, excluding notable items.

  • Earnings per common share (EPS) for the quarter were $0.29, or $0.32 adjusted.
  • Net interest income increased $14 million, or 1%, from the prior quarter, with net interest margin expansion of 3 basis points to 2.88%.
  • Noninterest expense decreased $168 million, or 14%, from the fourth quarter to $1.1 billion.
  • Average total loans and leases increased $1.7 billion, or 2%, to $111.1 billion.

Headline financials

Total Revenue

$1.65B

Previous: $1.37B+20.3%
EPS (adj)

$0.32

Previous: $0.48-33.3%
Net interest margin

2.9%

Previous: 3.5%-17.2%
Efficiency ratio

62.9%

Previous: 57.0%+10.4%
Capital Expenditures

-$73M

Previous: -$22M-231.8%
Free Cash Flow

$387M

Previous: $510M-24.1%
Net Income

$460M

Previous: $532M-13.5%
Operating Income

$1.26B

Previous: $1.19B+6.1%
Gross Profit

$1.64B

Previous: $1.31B+25.3%
Cash & Equivalents

$1.81B

Previous: $1.15B+57.3%
Total Assets

$177B

Previous: $126B+40.6%
Stock-Based Comp

$40M

Previous: $28M+42.9%

Revenue & EPS history

Huntington · Revenue · Quarterly

$1.65B

Q1 2022+20.3%vs Q1 2021
Beat estimate in 11 of 16 quarters(69%)
ActualEstimate

Forward guidance

Huntington is confident in its outlook for revenue and continued profit growth, with credit performing exceptionally well and a disciplined approach to managing uncertainty in the global macro-environment.

Tailwinds

  • Confident in outlook for revenue.
  • Confident in continued profit growth.
  • Credit continues to perform exceptionally well.
  • Disciplined and proactive approach.
  • Well-positioned to manage through uncertainty.

Headwinds

  • Uncertainty in the global macro-environment.
  • Inflationary tail risks remain.
  • Geopolitical tail risks remain.
  • Impact of COVID-19 pandemic.
  • Volatility in global capital and credit markets.

Historical earnings impact

How earnings announcements have historically affected this stock's price.

Avg. return before/after earnings

Based on 20 quarterly earnings reports · overlaid with Q1 2022

Historical avgQ1 2022

-0.3%

Avg return

Earnings day

+0.5%

Avg return

5 days after

+2.5%

Avg return

30 days after

49%

34 / 69 earnings

Positive

+12.5%

Q3 2022

Best reaction

-9.1%

Q3 2011

Worst reaction

Earnings price reactions
QuarterReport dateReaction (Day 0)+5 days+30 days
Q1 2026-0.9%-1.6%-5.5%
Q4 2025-5.8%-1.6%-5.5%
Q3 2025+1.0%+3.3%+2.3%
Q2 2025+0.5%-0.6%+6.3%
Q1 2025+3.0%+5.0%+21.9%
Q4 2024+1.5%+0.1%-0.7%
Q3 2024-3.0%-1.9%+11.7%
Q2 2024+5.0%+4.3%-2.8%
Q1 2024+2.7%+4.4%+7.8%
Q4 2023+5.6%+6.9%+5.1%
Q3 2023-4.6%-5.6%+10.5%
Q2 2023+2.1%+2.6%-6.1%
Q1 2023-3.4%-7.6%-14.1%
Q4 2022+5.1%+5.2%+9.8%
Q3 2022+12.5%+13.0%+12.8%
Q2 2022+0.5%-0.6%+8.6%
Q1 2022-3.4%-4.7%-8.6%
Q4 2021-6.2%-7.5%-5.0%
Q3 2021-1.4%-1.0%-3.8%
Q2 2021+0.6%+3.3%+11.9%
Q1 2021-3.9%-1.9%+1.5%
Q4 2020-7.1%-8.5%+5.4%
Q3 2020+8.0%+2.6%+21.3%
Q2 2020+4.0%-1.1%-1.3%
Q1 2020+1.5%+13.7%+0.7%
Q4 2019-6.9%-7.7%-5.6%
Q3 2019+0.1%-0.1%+2.7%
Q2 2019+1.9%+0.7%-13.2%
Q1 2019+0.0%+1.3%-3.9%
Q4 2018-0.1%+0.0%+5.7%
Q3 2018-3.7%-0.4%+5.6%
Q2 2018+0.1%+1.3%+6.0%
Q1 2018+0.3%+0.9%+0.9%
Q4 2017+0.5%+1.1%-1.9%
Q3 2017-2.1%-3.1%-5.3%
Q2 2017-2.7%-2.8%-6.6%
Q1 2017-0.6%+1.5%-1.8%
Q4 2016+5.7%+2.8%+7.0%
Q3 2016+5.5%+4.0%+23.3%
Q2 2016+0.4%+1.8%+2.9%
Q1 2016+1.1%
Q4 2015-1.2%
Q3 2015+4.8%
Q2 2015+1.4%
Q1 2015-2.1%
Q4 2014+2.9%
Q3 2014-0.8%
Q2 2014+4.7%
Q1 2014-2.7%
Q4 2013-2.7%
Q3 2013+3.5%
Q2 2013+1.7%
Q1 2013-5.0%
Q4 2012+4.2%
Q3 2012-8.5%
Q2 2012-4.1%
Q1 2012+1.6%
Q4 2008+1.3%
Q4 2011+1.3%
Q3 2011-9.1%
Q2 2011-3.0%
Q1 2011-1.2%
Q1 2010-1.2%
Q2 2009-6.7%
Q4 2010-6.7%
Q3 2010-1.1%
Q3 2009-1.1%
Q4 2009-2.1%
Q2 2010-2.1%

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