Financial Institutions, Inc. is a financial holding company. It provides a full range of banking and related financial services to consumer, commercial and municipal customers through its bank and non-bank subsidiaries. It offers a range of deposits, lending and other financial services to individuals, municipalities and businesses in the Western and Central New York branch network and its Mid-Atlantic commercial loan production office serving the Baltimore and Washington, D.C. region, through its banking subsidiary, Five Star Bank. It offers deposit products, such as checking and NOW accounts, savings accounts, and certificates of deposit. Its indirect lending network includes relationships with franchised automobile dealers in Western and Central New York, the Capital District of New York, and Northern and Central Pennsylvania. It offers customized investment advice, wealth management, investment consulting and retirement plan services through its subsidiary, Courier Capital, LLC.
Mã chứng khoánFISI
Tên công tyFinancial Institutions Inc
Ngày IPOJun 25, 1999
Giám đốc điều hànhBirmingham (Martin K)
Số lượng nhân viên598
Loại chứng khoánOrdinary Share
Kết thúc năm tài chínhJun 25
Địa chỉ220 Liberty St
Thành phốWARSAW
Sàn giao dịch chứng khoánNASDAQ OMX - NASDAQ BASIC
Quốc giaUnited States of America
Mã bưu điện14569
Điện thoại17167861100
Trang webhttps://financialinstitutionsinc.q4ir.com/
Mã chứng khoánFISI
Ngày IPOJun 25, 1999
Giám đốc điều hànhBirmingham (Martin K)
Tổng cộng
95.18M
USD đã được phân phối dưới dạng cổ tức trong 5 năm qua.
FISI.NB Final Cash Dividend of gross USD 0.31 paid on Jan 02, 2026 going ex on Dec 15, 2025
FISI.NB Interim Cash Dividend of gross USD 0.31 paid on Oct 02, 2025 going ex on Sep 15, 2025
FISI.NB Interim Cash Dividend of gross USD 0.31 paid on Jul 02, 2025 going ex on Jun 13, 2025
FISI.NB Interim Cash Dividend of gross USD 0.31 paid on Apr 02, 2025 going ex on Mar 14, 2025
FISI.NB Interim Cash Dividend of gross USD 0.3 paid on Jan 02, 2025 going ex on Dec 13, 2024
FISI.NB Final Cash Dividend of gross USD 0.3 paid on Oct 02, 2024 going ex on Sep 13, 2024
FISI.NB Interim Cash Dividend of gross USD 0.3 paid on Jul 02, 2024 going ex on Jun 14, 2024
FISI.NB Interim Cash Dividend of gross USD 0.3 paid on Apr 02, 2024 going ex on Mar 14, 2024
FISI.NB Interim Cash Dividend of gross USD 0.3 paid on Jan 02, 2024 going ex on Dec 13, 2023
FISI.NB Final Cash Dividend of gross USD 0.3 paid on Oct 02, 2023 going ex on Sep 13, 2023
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