(FY)Dec 31, 2023 | (Q4)Dec 31, 2023 | (Q3)Sep 30, 2023 | (Q2)Jun 30, 2023 | (Q1)Mar 31, 2023 | (FY)Dec 31, 2022 | (Q4)Dec 31, 2022 | (Q3)Sep 30, 2022 | (Q2)Jun 30, 2022 | (Q1)Mar 31, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Cash cash equivalents and federal funds sold | -27.78%8.69B | -27.78%8.69B | -44.12%7.62B | -47.96%7.11B | -35.66%9.3B | -27.47%12.03B | -27.47%12.03B | -16.13%13.63B | -10.05%13.66B | 22.49%14.46B |
-Cash and cash equivalents | -27.22%8.6B | -27.22%8.6B | -44.34%7.53B | -48.28%7.01B | -36.28%9.21B | -28.54%11.82B | -28.54%11.82B | -16.69%13.53B | -10.69%13.55B | 22.58%14.46B |
-Money market investments | -59.24%84.65M | -59.24%84.65M | -15.56%87.65M | -7.89%97.23M | --89.85M | 394.73%207.68M | 394.73%207.68M | 639.95%103.8M | 1,072.39%105.55M | ---- |
Net loan | 9.75%18.58B | 9.75%18.58B | 8.62%18.16B | 6.16%17.51B | 5.88%17.25B | 5.22%16.93B | 5.22%16.93B | 7.28%16.72B | 0.95%16.5B | -7.56%16.3B |
-Gross loan | 9.73%18.82B | 9.73%18.82B | 8.55%18.4B | 6.04%17.75B | 5.70%17.49B | 5.01%17.15B | 5.01%17.15B | 7.06%16.95B | 0.84%16.74B | -7.53%16.54B |
-Allowance for loans and lease losses | 8.07%246M | 8.07%246M | 3.38%242.24M | -2.51%233.62M | -6.21%231.51M | -8.46%227.62M | -8.46%227.62M | -6.33%234.32M | -6.13%239.63M | -5.52%246.84M |
Securities and investments | -3.26%20.23B | -3.26%20.23B | 0.90%19.77B | 11.84%20.97B | 21.49%21.72B | 33.20%20.91B | 33.20%20.91B | 45.00%19.6B | 47.92%18.75B | 46.26%17.88B |
-Trading securities | 13.09%31.72M | 13.09%31.72M | 17.33%29.34M | 31.75%32.52M | -2.65%28.74M | 11.46%28.05M | 11.46%28.05M | -1.12%25.01M | 2.25%24.68M | 10.93%29.52M |
-Held to maturity securities | 37.15%3.62B | 37.15%3.62B | 66.88%3.63B | 89.64%3.69B | 122.86%3.71B | 50.88%2.64B | 50.88%2.64B | 23.58%2.17B | 7.34%1.95B | -8.52%1.67B |
-Short term investments | -9.13%16.58B | -9.13%16.58B | -7.37%16.12B | 2.79%17.25B | 11.10%17.98B | 31.02%18.24B | 31.02%18.24B | 48.31%17.4B | 54.81%16.78B | 55.96%16.18B |
Bank owned life insurance | ---- | ---- | ---- | 0.40%190.58M | 0.60%190.6M | ---- | ---- | 0.22%190.37M | 0.00%189.82M | -0.15%189.47M |
Net PPE | 7.92%1.19B | 7.92%1.19B | 9.15%1.17B | 10.30%1.15B | 8.05%1.13B | 4.99%1.1B | 4.99%1.1B | 4.45%1.07B | 1.42%1.05B | 0.56%1.05B |
-Gross PPE | 8.03%1.58B | 8.03%1.58B | ---- | ---- | ---- | 5.30%1.47B | 5.30%1.47B | ---- | ---- | ---- |
-Accumulated depreciation | -8.34%-394.03M | -8.34%-394.03M | ---- | ---- | ---- | -6.26%-363.68M | -6.26%-363.68M | ---- | ---- | ---- |
Goodwill and other intangible assets | ---- | ---- | ---- | -0.06%655.16M | -0.07%655.24M | ---- | ---- | -0.08%655.44M | -0.09%655.54M | -0.10%655.67M |
-Goodwill | ---- | ---- | ---- | 0.00%654.95M | 0.00%654.95M | ---- | ---- | 0.00%654.95M | 0.00%654.95M | 0.00%654.95M |
-Other intangible assets | ---- | ---- | ---- | -64.69%208K | -59.72%290K | ---- | ---- | -52.31%486K | -49.91%589K | -47.10%720K |
Other assets | 12.29%2.16B | 12.29%2.16B | 87.38%2.03B | 1.92%1B | 28.31%990.8M | 214.03%1.92B | 214.03%1.92B | 69.62%1.08B | 59.85%985.26M | 52.95%772.19M |
Total assets | -3.87%50.85B | -3.87%50.85B | -7.93%48.75B | -6.16%48.6B | -0.10%51.25B | 3.96%52.89B | 3.96%52.89B | 10.63%52.95B | 10.89%51.78B | 16.46%51.3B |
Liabilities | ||||||||||
Total deposits | -4.63%41.92B | -4.63%41.92B | -11.96%40.99B | -10.75%40.7B | -5.06%42.18B | 2.95%43.95B | 2.95%43.95B | 17.54%46.56B | 17.73%45.6B | 20.33%44.43B |
Federal funds purchased and securities sold under agreement to repurchase | -12.12%4.14B | -12.12%4.14B | 77.73%3.75B | 109.81%3.58B | 128.72%4.29B | 70.32%4.71B | 70.32%4.71B | -5.31%2.11B | -23.88%1.71B | -2.37%1.88B |
Long term debt and capital lease obligation | 0.10%222.62M | 0.10%222.62M | 0.10%222.56M | 0.10%222.51M | 0.10%222.46M | 0.10%222.4M | 0.10%222.4M | -5.60%222.35M | -5.60%222.3M | -5.60%222.24M |
-Long term debt | 0.10%222.62M | 0.10%222.62M | 0.10%222.56M | 0.10%222.51M | 0.10%222.46M | 0.10%222.4M | 0.10%222.4M | -5.60%222.35M | -5.60%222.3M | -5.60%222.24M |
Other liabilities | -2.57%844.02M | -2.57%844.02M | -36.83%784.28M | -22.32%703.72M | 8.86%1.08B | 14.84%866.26M | 14.84%866.26M | -12.09%1.24B | -18.43%905.97M | 42.30%988.77M |
Total liabilities | -5.28%47.13B | -5.28%47.13B | -8.75%45.75B | -6.66%45.21B | 0.54%47.78B | 7.14%49.76B | 7.14%49.76B | 15.28%50.13B | 14.45%48.44B | 19.46%47.52B |
Shareholders'equity | ||||||||||
Share capital | 0.00%146.1M | 0.00%146.1M | 0.00%146.1M | 0.00%146.1M | 0.00%146.1M | 0.00%146.1M | 0.00%146.1M | 0.00%146.09M | 0.00%146.09M | 0.00%146.09M |
-common stock | 0.16%644K | 0.16%644K | 0.31%644K | 0.31%644K | 0.31%644K | 0.16%643K | 0.16%643K | 0.00%642K | 0.00%642K | 0.00%642K |
-Preferred stock | 0.00%145.45M | 0.00%145.45M | 0.00%145.45M | 0.00%145.45M | 0.00%145.45M | 0.00%145.45M | 0.00%145.45M | 0.00%145.45M | 0.00%145.45M | 0.00%145.45M |
Paid-in capital | 2.53%1.06B | 2.53%1.06B | 2.48%1.04B | 2.49%1.04B | 2.36%1.04B | 1.96%1.03B | 1.96%1.03B | 1.36%1.02B | 1.25%1.02B | 1.23%1.01B |
Retained earnings | 10.52%3.66B | 10.52%3.66B | 14.05%3.63B | 15.06%3.53B | 14.20%3.43B | 11.93%3.31B | 11.93%3.31B | 8.90%3.18B | 7.24%3.07B | 7.35%3B |
Less: Treasury stock | --23.93M | --23.93M | 1,062.31%38.18M | 163.75%27.62M | -91.26%1.11M | --0 | --0 | -93.30%3.29M | -79.53%10.47M | -79.76%12.69M |
Gains losses not affecting retained earnings | 16.99%-1.12B | 16.99%-1.12B | -16.34%-1.78B | -49.28%-1.31B | -207.20%-1.14B | -488.20%-1.35B | -488.20%-1.35B | -536.48%-1.53B | -311.68%-874.21M | -195.88%-371.79M |
Total stockholders'equity | 18.46%3.72B | 18.46%3.72B | 6.66%3B | 1.19%3.39B | -8.17%3.47B | -29.33%3.14B | -29.33%3.14B | -35.68%2.81B | -23.48%3.35B | -11.52%3.78B |
Total equity | 18.46%3.72B | 18.46%3.72B | 6.66%3B | 1.19%3.39B | -8.17%3.47B | -29.33%3.14B | -29.33%3.14B | -35.68%2.81B | -23.48%3.35B | -11.52%3.78B |
Currency Unit | USD | USD | USD | USD | USD | USD | USD | USD | USD | USD |
Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
Audit Opinions | Unqualified Opinion | -- | -- | -- | -- | Unqualified Opinion | -- | -- | -- | -- |
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