Watchlist
Loading...
US Stock MarketDetailed Quotes

SBCF Seacoast Bank

Watchlist
23.240 -0.060-0.26% Close 11/30 16:00 ET
23.510High23.090Low494.38KVolume

Seacoast Bank Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)2023/09/30
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
(Q2)2022/06/30
(Q1)2022/03/31
(FY)2021/12/31
(Q4)2021/12/31
Assets
Cash cash equivalents and federal funds sold
213.92%700.34M
-19.34%730.87M
-35.33%794.48M
-72.19%205.18M
-72.19%205.18M
-81.84%223.1M
-37.49%906.1M
25.35%1.23B
82.23%737.73M
82.23%737.73M
-Cash and cash equivalents
213.92%700.34M
-19.34%730.87M
-35.33%794.48M
-72.19%205.18M
-72.19%205.18M
-81.84%223.1M
-37.49%906.1M
25.35%1.23B
82.23%737.73M
82.23%737.73M
Net loan
49.53%9.86B
54.13%9.96B
56.40%9.98B
36.78%8.03B
36.78%8.03B
12.43%6.6B
19.75%6.46B
13.24%6.38B
2.84%5.87B
2.84%5.87B
-Gross loan
49.63%10.01B
54.43%10.12B
56.64%10.14B
36.78%8.15B
36.78%8.15B
12.37%6.69B
19.63%6.56B
13.10%6.47B
2.63%5.96B
2.63%5.96B
-Allowance for loans and lease losses
56.99%149.66M
75.96%159.72M
73.25%155.64M
36.70%113.9M
36.70%113.9M
8.55%95.33M
11.89%90.77M
3.69%89.84M
-10.16%83.32M
-10.16%83.32M
Securities and investments
-3.88%2.53B
1.10%2.62B
12.24%2.75B
14.73%2.62B
14.73%2.62B
27.15%2.64B
42.91%2.6B
56.91%2.45B
44.25%2.28B
44.25%2.28B
-Held to maturity securities
-10.75%691.4M
-10.94%707.81M
-1.22%737.91M
17.03%747.41M
17.03%747.41M
47.14%774.71M
61.06%794.79M
45.81%747M
246.18%638.64M
246.18%638.64M
-Short term investments
-1.02%1.84B
6.41%1.92B
18.13%2.02B
13.83%1.87B
13.83%1.87B
20.35%1.86B
36.14%1.8B
62.32%1.71B
17.61%1.64B
17.61%1.64B
Bank owned life insurance
41.93%296.76M
41.48%293.88M
41.75%292.55M
15.99%237.82M
15.99%237.82M
7.92%209.09M
31.05%207.72M
55.60%206.38M
55.60%205.04M
55.60%205.04M
Net PPE
41.77%115.75M
56.40%116.96M
56.16%116.52M
61.44%116.89M
61.44%116.89M
14.59%81.65M
7.77%74.78M
6.01%74.62M
-3.61%72.4M
-3.61%72.4M
-Gross PPE
----
----
----
37.69%178.8M
37.69%178.8M
----
----
----
-3.26%129.85M
-3.26%129.85M
-Accumulated depreciation
----
----
----
-7.76%-61.91M
-7.76%-61.91M
----
----
----
2.81%-57.45M
2.81%-57.45M
Foreclosed assets
198.31%7.22M
211.12%7.53M
-32.95%7.76M
-83.10%2.3M
-83.10%2.3M
-82.25%2.42M
-81.11%2.42M
-25.61%11.57M
6.81%13.62M
6.81%13.62M
Goodwill and other intangible assets
173.39%834.37M
174.77%842.63M
174.47%845.81M
108.15%555.77M
108.15%555.77M
13.75%305.19M
30.34%306.67M
30.27%308.16M
12.22%267M
12.22%267M
-Goodwill
155.39%731.97M
155.72%732.91M
154.15%728.4M
90.49%480.32M
90.49%480.32M
13.66%286.61M
29.58%286.61M
29.58%286.61M
14.01%252.15M
14.01%252.15M
-Other intangible assets
451.03%102.4M
446.88%109.72M
444.85%117.41M
408.26%75.45M
408.26%75.45M
15.04%18.58M
42.22%20.06M
40.09%21.55M
-11.35%14.85M
-11.35%14.85M
Other assets
63.02%339.22M
72.68%333.92M
75.61%338.53M
38.82%280.21M
38.82%280.21M
35.45%208.08M
25.19%193.37M
26.29%192.77M
24.44%201.86M
24.44%201.86M
Total assets
43.28%14.82B
39.13%15.04B
39.90%15.26B
25.45%12.15B
25.45%12.15B
4.57%10.35B
16.04%10.81B
23.75%10.9B
16.05%9.68B
16.05%9.68B
Liabilities
Total deposits
38.13%12.11B
33.67%12.28B
33.17%12.31B
23.72%9.98B
23.72%9.98B
5.17%8.77B
17.26%9.19B
25.16%9.24B
16.37%8.07B
16.37%8.07B
Federal funds purchased and securities sold under agreement to repurchase
193.50%276.45M
162.40%290.16M
121.30%267.61M
41.51%172.03M
41.51%172.03M
-10.76%94.19M
-7.83%110.58M
10.76%120.92M
1.64%121.57M
1.64%121.57M
Long term debt and capital lease obligation
200.79%216.14M
270.50%265.97M
584.37%490.8M
227.35%234.53M
227.35%234.53M
0.39%71.86M
0.39%71.79M
0.39%71.72M
0.39%71.65M
0.39%71.65M
-Long term debt
200.79%216.14M
270.50%265.97M
584.37%490.8M
227.35%234.53M
227.35%234.53M
0.39%71.86M
0.39%71.79M
0.39%71.72M
0.39%71.65M
0.39%71.65M
Other liabilities
38.28%174.19M
34.02%148.51M
21.48%136.21M
36.34%149.83M
36.34%149.83M
37.40%125.97M
3.98%110.81M
24.43%112.13M
24.24%109.9M
24.24%109.9M
Total liabilities
41.04%12.77B
36.97%12.99B
38.29%13.2B
25.89%10.54B
25.89%10.54B
5.28%9.06B
16.57%9.48B
24.71%9.55B
16.07%8.37B
16.07%8.37B
Shareholders'equity
Share capital
38.50%8.52M
38.56%8.51M
38.16%8.46M
22.43%7.16M
22.43%7.16M
5.36%6.15M
10.77%6.14M
10.76%6.12M
5.90%5.85M
5.90%5.85M
-common stock
38.50%8.52M
38.56%8.51M
38.16%8.46M
22.43%7.16M
22.43%7.16M
5.36%6.15M
10.77%6.14M
10.76%6.12M
5.90%5.85M
5.90%5.85M
Paid-in capital
--1.81B
--1.81B
--1.8B
42.95%1.38B
42.95%1.38B
----
----
----
12.59%963.85M
12.59%963.85M
Retained earnings
--453.12M
--437.09M
--421.27M
18.20%423.86M
18.20%423.86M
----
----
----
39.69%358.6M
39.69%358.6M
Less: Treasury stock
--14.04M
--14.17M
--13.11M
23.18%13.02M
23.18%13.02M
----
----
----
27.57%10.57M
27.57%10.57M
Gains losses not affecting retained earnings
---212.27M
---186.82M
---169.43M
-2,588.49%-188.03M
-2,588.49%-188.03M
----
----
----
-134.33%-6.99M
-134.33%-6.99M
Other equity interest
----
----
----
----
----
-0.24%1.28B
12.46%1.32B
17.42%1.35B
----
----
Total stockholders'equity
59.06%2.05B
54.49%2.05B
51.23%2.05B
22.66%1.61B
22.66%1.61B
-0.21%1.29B
12.45%1.33B
17.39%1.36B
15.95%1.31B
15.95%1.31B
Total equity
59.06%2.05B
54.49%2.05B
51.23%2.05B
22.66%1.61B
22.66%1.61B
-0.21%1.29B
12.45%1.33B
17.39%1.36B
15.95%1.31B
15.95%1.31B
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 with Explanatory Notes
--
(Q3)2023/09/30(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30(Q2)2022/06/30(Q1)2022/03/31(FY)2021/12/31(Q4)2021/12/31
Assets
Cash cash equivalents and federal funds sold 213.92%700.34M-19.34%730.87M-35.33%794.48M-72.19%205.18M-72.19%205.18M-81.84%223.1M-37.49%906.1M25.35%1.23B82.23%737.73M82.23%737.73M
-Cash and cash equivalents 213.92%700.34M-19.34%730.87M-35.33%794.48M-72.19%205.18M-72.19%205.18M-81.84%223.1M-37.49%906.1M25.35%1.23B82.23%737.73M82.23%737.73M
Net loan 49.53%9.86B54.13%9.96B56.40%9.98B36.78%8.03B36.78%8.03B12.43%6.6B19.75%6.46B13.24%6.38B2.84%5.87B2.84%5.87B
-Gross loan 49.63%10.01B54.43%10.12B56.64%10.14B36.78%8.15B36.78%8.15B12.37%6.69B19.63%6.56B13.10%6.47B2.63%5.96B2.63%5.96B
-Allowance for loans and lease losses 56.99%149.66M75.96%159.72M73.25%155.64M36.70%113.9M36.70%113.9M8.55%95.33M11.89%90.77M3.69%89.84M-10.16%83.32M-10.16%83.32M
Securities and investments -3.88%2.53B1.10%2.62B12.24%2.75B14.73%2.62B14.73%2.62B27.15%2.64B42.91%2.6B56.91%2.45B44.25%2.28B44.25%2.28B
-Held to maturity securities -10.75%691.4M-10.94%707.81M-1.22%737.91M17.03%747.41M17.03%747.41M47.14%774.71M61.06%794.79M45.81%747M246.18%638.64M246.18%638.64M
-Short term investments -1.02%1.84B6.41%1.92B18.13%2.02B13.83%1.87B13.83%1.87B20.35%1.86B36.14%1.8B62.32%1.71B17.61%1.64B17.61%1.64B
Bank owned life insurance 41.93%296.76M41.48%293.88M41.75%292.55M15.99%237.82M15.99%237.82M7.92%209.09M31.05%207.72M55.60%206.38M55.60%205.04M55.60%205.04M
Net PPE 41.77%115.75M56.40%116.96M56.16%116.52M61.44%116.89M61.44%116.89M14.59%81.65M7.77%74.78M6.01%74.62M-3.61%72.4M-3.61%72.4M
-Gross PPE ------------37.69%178.8M37.69%178.8M-------------3.26%129.85M-3.26%129.85M
-Accumulated depreciation -------------7.76%-61.91M-7.76%-61.91M------------2.81%-57.45M2.81%-57.45M
Foreclosed assets 198.31%7.22M211.12%7.53M-32.95%7.76M-83.10%2.3M-83.10%2.3M-82.25%2.42M-81.11%2.42M-25.61%11.57M6.81%13.62M6.81%13.62M
Goodwill and other intangible assets 173.39%834.37M174.77%842.63M174.47%845.81M108.15%555.77M108.15%555.77M13.75%305.19M30.34%306.67M30.27%308.16M12.22%267M12.22%267M
-Goodwill 155.39%731.97M155.72%732.91M154.15%728.4M90.49%480.32M90.49%480.32M13.66%286.61M29.58%286.61M29.58%286.61M14.01%252.15M14.01%252.15M
-Other intangible assets 451.03%102.4M446.88%109.72M444.85%117.41M408.26%75.45M408.26%75.45M15.04%18.58M42.22%20.06M40.09%21.55M-11.35%14.85M-11.35%14.85M
Other assets 63.02%339.22M72.68%333.92M75.61%338.53M38.82%280.21M38.82%280.21M35.45%208.08M25.19%193.37M26.29%192.77M24.44%201.86M24.44%201.86M
Total assets 43.28%14.82B39.13%15.04B39.90%15.26B25.45%12.15B25.45%12.15B4.57%10.35B16.04%10.81B23.75%10.9B16.05%9.68B16.05%9.68B
Liabilities
Total deposits 38.13%12.11B33.67%12.28B33.17%12.31B23.72%9.98B23.72%9.98B5.17%8.77B17.26%9.19B25.16%9.24B16.37%8.07B16.37%8.07B
Federal funds purchased and securities sold under agreement to repurchase 193.50%276.45M162.40%290.16M121.30%267.61M41.51%172.03M41.51%172.03M-10.76%94.19M-7.83%110.58M10.76%120.92M1.64%121.57M1.64%121.57M
Long term debt and capital lease obligation 200.79%216.14M270.50%265.97M584.37%490.8M227.35%234.53M227.35%234.53M0.39%71.86M0.39%71.79M0.39%71.72M0.39%71.65M0.39%71.65M
-Long term debt 200.79%216.14M270.50%265.97M584.37%490.8M227.35%234.53M227.35%234.53M0.39%71.86M0.39%71.79M0.39%71.72M0.39%71.65M0.39%71.65M
Other liabilities 38.28%174.19M34.02%148.51M21.48%136.21M36.34%149.83M36.34%149.83M37.40%125.97M3.98%110.81M24.43%112.13M24.24%109.9M24.24%109.9M
Total liabilities 41.04%12.77B36.97%12.99B38.29%13.2B25.89%10.54B25.89%10.54B5.28%9.06B16.57%9.48B24.71%9.55B16.07%8.37B16.07%8.37B
Shareholders'equity
Share capital 38.50%8.52M38.56%8.51M38.16%8.46M22.43%7.16M22.43%7.16M5.36%6.15M10.77%6.14M10.76%6.12M5.90%5.85M5.90%5.85M
-common stock 38.50%8.52M38.56%8.51M38.16%8.46M22.43%7.16M22.43%7.16M5.36%6.15M10.77%6.14M10.76%6.12M5.90%5.85M5.90%5.85M
Paid-in capital --1.81B--1.81B--1.8B42.95%1.38B42.95%1.38B------------12.59%963.85M12.59%963.85M
Retained earnings --453.12M--437.09M--421.27M18.20%423.86M18.20%423.86M------------39.69%358.6M39.69%358.6M
Less: Treasury stock --14.04M--14.17M--13.11M23.18%13.02M23.18%13.02M------------27.57%10.57M27.57%10.57M
Gains losses not affecting retained earnings ---212.27M---186.82M---169.43M-2,588.49%-188.03M-2,588.49%-188.03M-------------134.33%-6.99M-134.33%-6.99M
Other equity interest ---------------------0.24%1.28B12.46%1.32B17.42%1.35B--------
Total stockholders'equity 59.06%2.05B54.49%2.05B51.23%2.05B22.66%1.61B22.66%1.61B-0.21%1.29B12.45%1.33B17.39%1.36B15.95%1.31B15.95%1.31B
Total equity 59.06%2.05B54.49%2.05B51.23%2.05B22.66%1.61B22.66%1.61B-0.21%1.29B12.45%1.33B17.39%1.36B15.95%1.31B15.95%1.31B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion with Explanatory Notes--
Paper Trade Start
Symbol
Direction
Buy
Sell
Types
LMT Order
Price
QTY
Amount
--
Claim up to $1 million virtual fund, join moomoo paper trading today! Claim Now >