BOK Financial Corporation

NasdaqGS:BOKF Rapport sur les actions

Capitalisation boursière : US$7.9b

BOK Financial Résultats passés

Passé contrôle des critères 3/6

Les bénéfices de BOK Financial ont diminué à un taux annuel moyen de -1.3%, tandis que le secteur Banks a vu ses bénéfices augmenter de en à 2.8% par an. Les revenus ont augmenté de en à un taux moyen de 2.8% par an. Le rendement des capitaux propres de BOK Financial est 10.3% et ses marges nettes sont de 27.4%.

Informations clés

-1.27%

Taux de croissance des bénéfices

1.13%

Taux de croissance du BPA

Banks Croissance de l'industrie11.18%
Taux de croissance des recettes2.80%
Rendement des fonds propres10.27%
Marge nette27.41%
Dernière mise à jour des bénéfices31 Mar 2026

Mises à jour récentes des performances passées

Recent updates

Mise à jour du récit May 09

BOKF: Refined Fair Value And Completed Buybacks Will Shape Forward Risk Reward

Analysts have nudged their price targets on BOK Financial higher, supporting a refined fair value estimate of $144.00 as they update their views on discount rates, revenue growth, profit margins, and future P/E assumptions. Analyst Commentary Recent Street research has focused on revisiting fair value assumptions for BOK Financial, with several firms adjusting their price targets higher in quick succession.
Mise à jour du récit Apr 24

BOKF: Higher P/E Assumptions And Completed Buybacks Will Shape Future Risk Reward

BOK Financial's updated analyst price target now sits at about $144, up from roughly $138. Analysts cite their recent target hikes and adjusted assumptions around discount rate, profit margin, and future P/E as support for the shift.
Seeking Alpha Apr 15

Oklahoma And Texas Could Boost The Q1 Performance For BOK Financial

Summary BOK Financial Corporation is rated Hold due to elevated valuation despite operational strengths and potential for a Q1 2026 earnings beat. BOKF has outperformed peers, rising 52% in the last year, but trades at a forward PE above 13 and a price/TBV of 1.69. Q1 2026 could be strong, with loan growth expected in upper single-digits and net interest income projected to rise 12%. Macro risks, optimistic expectations, and limited upside (1.9% to consensus PT) temper enthusiasm for new positions in BOKF. Read the full article on Seeking Alpha
Mise à jour du récit Apr 08

BOKF: Buybacks And Mixed Rating Shifts Will Shape Future Risk Reward

The analyst price target for BOK Financial has been increased by about $2, with analysts citing adjustments in fair value, revenue growth assumptions, margins and future P/E expectations as the main factors behind the change. Analyst Commentary Recent Street research on BOK Financial has centered on valuation, price targets and how execution lines up with those expectations.
Mise à jour du récit Mar 25

BOKF: Buybacks And Rating Shifts Will Shape Future Risk Reward Balance

The analyst price target for BOK Financial has moved higher by a mid-teens dollar amount, with the shift reflecting a series of upward revisions from firms such as Citi, RBC Capital, Keefe Bruyette, Barclays, and Raymond James, partly balanced by a valuation-driven downgrade to Neutral at DA Davidson. Analyst Commentary Recent Street research on BOK Financial clusters around higher price targets from several bullish analysts, offset by a valuation driven downgrade to Neutral from a more cautious camp.
Mise à jour du récit Mar 10

BOKF: Buybacks And Conflicting Rating Shifts Will Shape Future Share Performance

The analyst price target for BOK Financial has been revised to $135.30. The change reflects a cluster of recent target increases from several firms and mixed views on valuation among analysts.
Mise à jour du récit Feb 24

BOKF: Buybacks And Mixed Analyst Views Will Shape Future Share Performance

The analyst price target for BOK Financial has increased by $19, with analysts pointing to updated assumptions around discount rate, profit margin, and future P/E as key drivers of their revised views. Analyst Commentary Recent research shows a split view on BOK Financial, with several price target increases sitting alongside at least one downgrade on valuation.
Mise à jour du récit Feb 10

BOKF: Buybacks And Mixed Earnings Outlook Will Shape Future Share Returns

The updated analyst price target for BOK Financial moves modestly higher, with our fair value estimate rising by about $1 to $135.30 as analysts balance recent target increases with tighter P/E assumptions and slightly stronger profit margin expectations. Analyst Commentary Recent Street research around BOK Financial reflects a mix of optimism on execution and caution around where the shares are currently trading, with several firms adjusting price targets and at least one moving to the sidelines on valuation grounds.
Mise à jour du récit Jan 26

BOKF: Buybacks, Dividend And Mixed Earnings Outlook Will Shape Future Returns

Analysts raised their fair value estimate for BOK Financial to $134.30 from $124.50, citing recent price target increases across several firms and updated assumptions for discount rate, revenue growth, profit margin, and future P/E. Analyst Commentary Recent Street research on BOK Financial shows a mix of optimism and caution, with several firms adjusting price targets and at least one becoming more cautious on the shares.
Mise à jour du récit Jan 11

BOKF: Dividend, Guidance And Buybacks Will Support Future Balanced Returns

Analysts have revised their fair value estimate for BOK Financial from US$122.60 to US$124.50, reflecting updated assumptions around the discount rate, revenue growth, profit margin and future P/E expectations. What's in the News BOK Financial declared a quarterly dividend of US$0.63 per share, payable on November 26, 2025, with an ex dividend and record date of November 12, 2025 (Key Developments).
Mise à jour du récit Dec 20

BOKF: Deposit Mix And Regional Lending Strength Will Support Future Balanced Returns

Analysts have modestly raised their price target on BOK Financial, with fair value increasing from about $119.70 to $122.60 as they factor in expectations for an improving non interest bearing deposit mix, above average loan growth in strong Texas and Oklahoma markets, and support from the bank's robust capital position for buybacks and organic expansion. Analyst Commentary Bullish Takeaways Bullish analysts see the upgraded price target as reflecting greater confidence that improving non interest bearing deposit mix can sustain higher net interest margins over the medium term.
Mise à jour du récit Dec 06

BOKF: Deposit Mix And Regional Lending Strength Will Support Balanced Future Returns

Analysts have nudged their price target on BOK Financial higher by about $1, to reflect expectations for a richer non-interest-bearing deposit mix, above-average loan growth in its Texas and Oklahoma footprint, and a strong capital position that can fund buybacks and organic expansion. Analyst Commentary Recent street research reflects a constructive shift in sentiment on BOK Financial, with price targets moving higher alongside improving expectations for growth and returns.
Mise à jour du récit Nov 21

BOKF: Deposit Mix Improvements Will Drive Returns From Regional Lending Strength

BOK Financial’s analyst price target has increased from $120 to $135. Analysts cite anticipated improvements in non-interest-bearing deposits, strong regional loan performance, and a robust capital position as factors supporting further growth.
Mise à jour du récit Nov 06

BOKF: Improved Deposit Mix And Loan Growth Expected In Key Regional Markets

Analysts have slightly lowered their price target for BOK Financial from $119.20 to $118.70. They cite improved revenue growth prospects and deposit mix, supported by strong regional loan performance and a solid capital position.
Article d’analyse Nov 03

BOK Financial's (NASDAQ:BOKF) Shareholders Will Receive A Bigger Dividend Than Last Year

BOK Financial Corporation ( NASDAQ:BOKF ) will increase its dividend from last year's comparable payment on the 26th of...
Mise à jour du récit Oct 23

Analysts Raise Outlook for BOK Financial Amid Strong Regional Growth and Strategic Buybacks

Narrative Update on BOK Financial Analysts have raised their fair value estimate for BOK Financial from $117.60 to $119.20. This change is based on expectations for stronger non-interest-bearing deposit growth and sustained loan performance in key regional markets.
Mise à jour du récit Oct 08

Sun Belt And Midwest Trends Will Unlock Enduring Lending And Wealth Management Opportunities

Analysts have nudged their fair value estimate for BOK Financial higher, increasing the target by $1.50 to $117.60. Recent upgrades cite the bank’s improving deposit mix, robust loan growth in key markets, and a strong capital position supporting future returns.
Seeking Alpha Apr 15

BOK Financial: Now Available At 1.3x Tangible Book Value

Summary BOK Financial's balance sheet is robust, with substantial investments in safer securities, countering its perception as an energy-focused lender. Despite a decrease in net interest income, strong non-interest income and lower loan loss provisions kept the net income impact minimal. The bank's dividend yield of 2.6% is secure, representing less than 30% of annualized earnings, and share repurchases have reduced the share count. BOK Financial's energy sector exposure is limited and well-managed, with no past-due energy loans, making the bank's financial health sound. Read the full article on Seeking Alpha
Seeking Alpha Jan 21

BOK Financial Impresses: Pristine Asset Quality

Summary BOK Financial Corp. operates in the southwest and midwest U.S., offering consumer, commercial banking, and wealth management services under various brands like Bank of Oklahoma and Bank of Texas. Q4 earnings were strong with revenues up 4.4% to $525.6 million, and net income at $136.2 million, despite a slight dip from last year. Loans and deposits grew significantly, with loans at $24.1 billion and deposits at $38.2 billion, while the net interest margin improved to 2.75%. Asset quality is excellent with nonperforming assets at historic lows, but return metrics and efficiency ratio could be better; stock rated as market perform. You could do a lot worse than investing here. Read the full article on Seeking Alpha
Seeking Alpha Sep 21

BOK Financial: Earnings Recovery Ahead, But Stock Appears Fairly Valued

Summary Interest rate cuts will slightly lift the net interest margin. The outlook for loan growth in three major segments, energy, healthcare, and services, remains positive. The year-end target price suggests a small downside from the current market price. Further, BOKF is offering a low dividend yield of 2.0%. Read the full article on Seeking Alpha
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Nouveau récit Aug 28

Critical Diversification And Disciplined Credit Positioning To Fuel Growth And Resilience

Strategic focus on a diversified loan portfolio and low commercial real estate concentration equips BOK Financial for stability and growth in fluctuating markets.
Seeking Alpha Jun 22

BOK Financial: A Mediocre Opportunity

Summary BOK Financial engages in a wide array of activities beyond traditional banking services, contributing significantly to its revenue. The picture has been volatile in recent years, though we are seeing deposits grow nicely at last. Despite recent positive developments in deposits and debt reduction, the firm's asset quality and historical volatility warrant only a 'hold' rating. Read the full article on Seeking Alpha
Seeking Alpha Jan 29

BOK Financial: Earnings Outlook Seems Negative

Summary The net interest margin will likely decline even though the deposit mix will most probably stop deteriorating this year. Interest rate cuts will likely pressurize the margin. Loan growth will likely continue at a reasonable rate thanks to satisfactory labor markets and robust pipelines. The margin and non-interest expense outlooks make the overall earnings outlook murky. The December 2024 target price suggests a small upside from the current market price. Further, BOKF is offering a modest dividend yield. Read the full article on Seeking Alpha

Ventilation des recettes et des dépenses

Comment BOK Financial gagne et dépense de l'argent. Sur la base des derniers bénéfices déclarés, sur une base LTM.


Historique des gains et des recettes

NasdaqGS:BOKF Recettes, dépenses et bénéfices (USD Millions )
DateRecettesLes revenusDépenses G+ADépenses de R&D
31 Mar 262,2266101,3280
31 Dec 252,1745741,3250
30 Sep 252,1085311,3040
30 Jun 252,0755301,2770
31 Mar 252,0875541,2440
31 Dec 242,0325191,2260
30 Sep 242,0054661,2140
30 Jun 241,9834601,1960
31 Mar 241,9494481,1930
31 Dec 232,0165261,1720
30 Sep 232,0556121,1530
30 Jun 232,0546341,1250
31 Mar 231,9836161,0820
31 Dec 221,8255161,0520
30 Sep 221,7414661,0280
30 Jun 221,7834971,0260
31 Mar 221,8485311,0340
31 Dec 211,9746141,0370
30 Sep 212,0256511,0340
30 Jun 211,9936171,0330
31 Mar 211,8635151,0360
31 Dec 201,7284321,0200
30 Sep 201,6553891,0110
30 Jun 201,6073779950
31 Mar 201,6844509820
31 Dec 191,7644981,0030
30 Sep 191,7474961,0020
30 Jun 191,6984709780
31 Mar 191,6404479500
31 Dec 181,5944429030
30 Sep 181,5714068840
30 Jun 181,5613748900
31 Mar 181,5533489000
31 Dec 171,5443319020
30 Sep 171,4913098820
30 Jun 171,4622978700
31 Mar 171,4232758610
31 Dec 161,3562308640
30 Sep 161,3302398370
30 Jun 161,2992408180
31 Mar 161,2992538040
31 Dec 151,3282857950
30 Sep 151,3382907920
30 Jun 151,3352917900

Des revenus de qualité: BOKF a des bénéfices de haute qualité.

Augmentation de la marge bénéficiaire: Les marges bénéficiaires nettes actuelles de BOKF sont plus élevées que l'année dernière BOKF. (27.4%) sont plus élevées que l'année dernière (26.5%).


Analyse des flux de trésorerie disponibles par rapport aux bénéfices


Analyse de la croissance passée des bénéfices

Tendance des revenus: Les bénéfices de BOKF ont diminué de 1.3% par an au cours des 5 dernières années.

Accélération de la croissance: La croissance des bénéfices de BOKF au cours de l'année écoulée ( 10.1% ) dépasse sa moyenne sur 5 ans ( -1.3% par an).

Bénéfices par rapport au secteur d'activité: La croissance des bénéfices BOKF au cours de l'année écoulée ( 10.1% ) n'a pas surpassé celle du secteur Banks 22.8%.


Rendement des fonds propres

ROE élevé: Le retour sur capitaux propres de BOKF ( 10.3% ) est considéré comme faible.


Rendement des actifs


Rendement des capitaux employés


Découvrir des entreprises performantes dans le passé

Analyse de l'entreprise et données financières

DonnéesDernière mise à jour (heure UTC)
Analyse de l'entreprise2026/05/22 22:18
Cours de l'action en fin de journée2026/05/22 00:00
Les revenus2026/03/31
Revenus annuels2025/12/31

Sources de données

Les données utilisées dans notre analyse de l'entreprise proviennent de S&P Global Market Intelligence LLC. Les données suivantes sont utilisées dans notre modèle d'analyse pour générer ce rapport. Les données sont normalisées, ce qui peut entraîner un délai avant que la source ne soit disponible.

PaquetDonnéesCadre temporelExemple de source américaine *
Finances de l'entreprise10 ans
  • Compte de résultat
  • Tableau des flux de trésorerie
  • Bilan
Estimations consensuelles des analystes+3 ans
  • Prévisions financières
  • Objectifs de prix des analystes
Prix du marché30 ans
  • Cours des actions
  • Dividendes, scissions et actions
Propriété10 ans
  • Actionnaires principaux
  • Délits d'initiés
Gestion10 ans
  • L'équipe dirigeante
  • Conseil d'administration
Principaux développements10 ans
  • Annonces de l'entreprise

* Exemple pour les titres américains ; pour les titres non américains, des formulaires réglementaires et des sources équivalentes sont utilisés.

Sauf indication contraire, toutes les données financières sont basées sur une période annuelle mais mises à jour trimestriellement. C'est ce qu'on appelle les données des douze derniers mois (TTM) ou des douze derniers mois (LTM). En savoir plus.

Modèle d'analyse et flocon de neige

Les détails du modèle d’analyse utilisé pour générer ce rapport sont disponibles sur notre page Github; nous proposons également des guides expliquant comment utiliser nos rapports et des tutoriels sur Youtube.

Découvrez l'équipe de classe mondiale qui a conçu et construit le modèle d'analyse Simply Wall St.

Indicateurs de l'industrie et du secteur

Nos indicateurs de secteur et de section sont calculés toutes les 6 heures par Simply Wall St. Les détails de notre processus sont disponibles sur Github.

Sources des analystes

BOK Financial Corporation est couverte par 20 analystes. 8 de ces analystes ont soumis les estimations de revenus ou de bénéfices utilisées comme données d'entrée dans notre rapport. Les soumissions des analystes sont mises à jour tout au long de la journée.

AnalysteInstitution
Jared David ShawBarclays
Peter WinterBMO Capital Markets Equity Research
Phoebe WangBMO Capital Markets Equity Research