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UCBI United Community Banks

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26.295 -0.125-0.47% Trading 12/05 10:02 ET
26.390High26.020Low18.32KVolume

United Community Banks 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
56.92%759.51M
-41.54%710.74M
-59.21%777.68M
-72.10%646.85M
-72.10%646.85M
-73.37%484.02M
-14.35%1.22B
42.92%1.91B
44.13%2.32B
44.13%2.32B
-Cash and cash equivalents
73.00%759.51M
-41.54%710.74M
-59.17%777.68M
-77.66%511.85M
-77.66%511.85M
-75.85%439.02M
-14.35%1.22B
42.78%1.9B
42.45%2.29B
42.45%2.29B
-Money market investments
----
----
----
400.00%135M
400.00%135M
--45M
----
--1.88M
--27M
--27M
Receivables
----
----
----
69.32%72.81M
69.32%72.81M
----
----
----
-9.80%43M
-9.80%43M
-Accounts receivable
----
----
----
69.32%72.81M
69.32%72.81M
----
----
----
-9.80%43M
-9.80%43M
Net loan
22.24%18.04B
19.29%17.23B
19.01%16.97B
29.80%15.19B
29.80%15.19B
32.22%14.76B
26.96%14.44B
21.70%14.26B
3.20%11.7B
3.20%11.7B
-Gross loan
22.38%18.24B
19.48%17.42B
19.13%17.15B
30.02%15.35B
30.02%15.35B
32.37%14.9B
26.92%14.58B
21.51%14.39B
2.86%11.8B
2.86%11.8B
-Allowance for loans and lease losses
35.73%201.56M
39.28%190.71M
32.93%176.53M
55.42%159.36M
55.42%159.36M
49.07%148.5M
22.68%136.93M
4.68%132.81M
-25.16%102.53M
-25.16%102.53M
Securities and investments
-12.82%5.7B
-11.51%5.91B
-7.72%5.92B
10.17%6.23B
10.17%6.23B
22.58%6.54B
35.60%6.68B
47.97%6.41B
55.08%5.65B
55.08%5.65B
-Held to maturity securities
-5.89%2.52B
-6.19%2.55B
3.32%2.58B
126.07%2.61B
126.07%2.61B
147.05%2.68B
219.39%2.72B
325.56%2.5B
175.03%1.16B
175.03%1.16B
-Short term investments
-17.62%3.18B
-15.16%3.36B
-14.79%3.33B
-19.62%3.61B
-19.62%3.61B
-9.14%3.86B
-2.83%3.96B
4.40%3.91B
39.45%4.5B
39.45%4.5B
Derivative assets
----
----
----
19.20%50.64M
19.20%50.64M
----
----
----
-50.98%42.48M
-50.98%42.48M
Bank owned life insurance
14.74%344.65M
14.66%342.97M
14.83%341.29M
37.47%299.3M
37.47%299.3M
47.03%300.37M
47.02%299.1M
46.55%297.22M
7.80%217.71M
7.80%217.71M
Net PPE
28.70%371.44M
23.43%353.32M
18.71%336.62M
21.67%298.46M
21.67%298.46M
28.07%288.6M
27.23%286.25M
30.82%283.56M
12.27%245.3M
12.27%245.3M
-Gross PPE
----
----
----
16.92%461.44M
16.92%461.44M
----
----
----
9.61%394.66M
9.61%394.66M
-Accumulated depreciation
----
----
----
-9.12%-162.99M
-9.12%-162.99M
----
----
----
-5.51%-149.37M
-5.51%-149.37M
Goodwill and other intangible assets
27.31%994.14M
22.40%957.82M
22.56%961.24M
64.95%779.25M
64.95%779.25M
94.73%780.87M
105.98%782.54M
105.94%784.28M
23.72%472.41M
23.72%472.41M
-Goodwill
--919.91M
--896.72M
--896.72M
66.19%751.17M
66.19%751.17M
----
----
----
22.89%452.01M
22.89%452.01M
-Other intangible assets
--74.23M
--61.11M
--64.53M
37.62%28.07M
37.62%28.07M
----
----
----
45.57%20.4M
45.57%20.4M
Other assets
22.55%660.23M
21.65%610.29M
31.69%571.24M
49.35%315.42M
49.35%315.42M
161.96%538.77M
120.46%501.66M
93.45%433.79M
-6.72%211.2M
-6.72%211.2M
Total assets
13.43%26.87B
7.88%26.12B
6.14%25.87B
14.62%24.01B
14.62%24.01B
21.59%23.69B
28.14%24.21B
31.35%24.37B
17.72%20.95B
17.72%20.95B
Liabilities
Total deposits
12.48%22.86B
6.61%22.25B
4.50%22B
8.97%19.88B
8.97%19.88B
20.49%20.32B
27.84%20.87B
31.66%21.06B
19.75%18.24B
19.75%18.24B
Current debt and capital lease obligation
--37.35M
--0
--7.22M
--158.93M
--158.93M
----
----
----
--0
--0
-Current debt
--37.35M
--0
--7.22M
--158.93M
--158.93M
----
----
----
--0
--0
Long term debt and capital lease obligation
0.08%324.79M
0.12%324.75M
9.41%354.73M
253.60%874.66M
253.60%874.66M
31.31%324.52M
23.84%324.37M
4.06%324.23M
-24.34%247.36M
-24.34%247.36M
-Long term debt
0.08%324.79M
0.12%324.75M
9.41%354.73M
253.60%874.66M
253.60%874.66M
31.31%324.52M
23.84%324.37M
4.06%324.23M
-24.34%247.36M
-24.34%247.36M
Derivative product liabilities
----
----
----
295.88%99.54M
295.88%99.54M
----
----
----
-13.30%25.15M
-13.30%25.15M
Other liabilities
14.21%465.38M
20.20%437.86M
42.94%427.11M
41.61%298.56M
41.61%298.56M
85.07%407.49M
89.07%364.27M
59.31%298.8M
6.20%210.84M
6.20%210.84M
Total liabilities
12.50%23.69B
6.74%23.01B
5.14%22.79B
13.80%21.31B
13.80%21.31B
21.28%21.05B
28.27%21.56B
31.18%21.68B
18.61%18.72B
18.61%18.72B
Shareholders'equity
Share capital
3.29%209.26M
4.43%211.43M
4.51%211.57M
9.08%202.65M
9.08%202.65M
10.71%202.59M
10.58%202.46M
10.51%202.45M
1.46%185.77M
1.46%185.77M
-common stock
12.07%118.98M
8.71%115.27M
8.61%115.15M
18.88%106.22M
18.88%106.22M
22.65%106.16M
22.35%106.03M
22.18%106.03M
3.09%89.35M
3.09%89.35M
-Preferred stock
-6.37%90.28M
-0.27%96.17M
0.00%96.42M
0.00%96.42M
0.00%96.42M
0.00%96.42M
0.00%96.42M
0.00%96.42M
0.00%96.42M
0.00%96.42M
Paid-in capital
17.06%2.7B
13.27%2.61B
13.21%2.61B
34.01%2.31B
34.01%2.31B
41.23%2.3B
40.79%2.3B
40.33%2.3B
5.00%1.72B
5.00%1.72B
Retained earnings
31.77%596.62M
45.43%577.32M
53.10%542.61M
53.89%508.84M
53.89%508.84M
51.69%452.79M
62.69%396.97M
84.41%354.41M
141.58%330.65M
141.58%330.65M
Gains losses not affecting retained earnings
1.38%-332.51M
-15.79%-305.91M
-67.92%-294.44M
-1,144.48%-329.49M
-1,144.48%-329.49M
-17,341.44%-337.14M
-2,364.26%-264.19M
-3,885.43%-175.34M
-170.21%-26.48M
-170.21%-26.48M
Other equity interest
6.82%12.78M
6.81%12.23M
5.89%11.98M
9.03%12.31M
9.03%12.31M
7.82%11.97M
7.49%11.45M
7.88%11.31M
3.99%11.29M
3.99%11.29M
Total stockholders'equity
20.84%3.18B
17.14%3.11B
14.22%3.08B
21.53%2.7B
21.53%2.7B
24.14%2.63B
27.08%2.65B
32.69%2.7B
10.70%2.22B
10.70%2.22B
Total equity
20.84%3.18B
17.14%3.11B
14.22%3.08B
21.53%2.7B
21.53%2.7B
24.14%2.63B
27.08%2.65B
32.69%2.7B
10.70%2.22B
10.70%2.22B
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
--
--
--
--
--
--
(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 56.92%759.51M-41.54%710.74M-59.21%777.68M-72.10%646.85M-72.10%646.85M-73.37%484.02M-14.35%1.22B42.92%1.91B44.13%2.32B44.13%2.32B
-Cash and cash equivalents 73.00%759.51M-41.54%710.74M-59.17%777.68M-77.66%511.85M-77.66%511.85M-75.85%439.02M-14.35%1.22B42.78%1.9B42.45%2.29B42.45%2.29B
-Money market investments ------------400.00%135M400.00%135M--45M------1.88M--27M--27M
Receivables ------------69.32%72.81M69.32%72.81M-------------9.80%43M-9.80%43M
-Accounts receivable ------------69.32%72.81M69.32%72.81M-------------9.80%43M-9.80%43M
Net loan 22.24%18.04B19.29%17.23B19.01%16.97B29.80%15.19B29.80%15.19B32.22%14.76B26.96%14.44B21.70%14.26B3.20%11.7B3.20%11.7B
-Gross loan 22.38%18.24B19.48%17.42B19.13%17.15B30.02%15.35B30.02%15.35B32.37%14.9B26.92%14.58B21.51%14.39B2.86%11.8B2.86%11.8B
-Allowance for loans and lease losses 35.73%201.56M39.28%190.71M32.93%176.53M55.42%159.36M55.42%159.36M49.07%148.5M22.68%136.93M4.68%132.81M-25.16%102.53M-25.16%102.53M
Securities and investments -12.82%5.7B-11.51%5.91B-7.72%5.92B10.17%6.23B10.17%6.23B22.58%6.54B35.60%6.68B47.97%6.41B55.08%5.65B55.08%5.65B
-Held to maturity securities -5.89%2.52B-6.19%2.55B3.32%2.58B126.07%2.61B126.07%2.61B147.05%2.68B219.39%2.72B325.56%2.5B175.03%1.16B175.03%1.16B
-Short term investments -17.62%3.18B-15.16%3.36B-14.79%3.33B-19.62%3.61B-19.62%3.61B-9.14%3.86B-2.83%3.96B4.40%3.91B39.45%4.5B39.45%4.5B
Derivative assets ------------19.20%50.64M19.20%50.64M-------------50.98%42.48M-50.98%42.48M
Bank owned life insurance 14.74%344.65M14.66%342.97M14.83%341.29M37.47%299.3M37.47%299.3M47.03%300.37M47.02%299.1M46.55%297.22M7.80%217.71M7.80%217.71M
Net PPE 28.70%371.44M23.43%353.32M18.71%336.62M21.67%298.46M21.67%298.46M28.07%288.6M27.23%286.25M30.82%283.56M12.27%245.3M12.27%245.3M
-Gross PPE ------------16.92%461.44M16.92%461.44M------------9.61%394.66M9.61%394.66M
-Accumulated depreciation -------------9.12%-162.99M-9.12%-162.99M-------------5.51%-149.37M-5.51%-149.37M
Goodwill and other intangible assets 27.31%994.14M22.40%957.82M22.56%961.24M64.95%779.25M64.95%779.25M94.73%780.87M105.98%782.54M105.94%784.28M23.72%472.41M23.72%472.41M
-Goodwill --919.91M--896.72M--896.72M66.19%751.17M66.19%751.17M------------22.89%452.01M22.89%452.01M
-Other intangible assets --74.23M--61.11M--64.53M37.62%28.07M37.62%28.07M------------45.57%20.4M45.57%20.4M
Other assets 22.55%660.23M21.65%610.29M31.69%571.24M49.35%315.42M49.35%315.42M161.96%538.77M120.46%501.66M93.45%433.79M-6.72%211.2M-6.72%211.2M
Total assets 13.43%26.87B7.88%26.12B6.14%25.87B14.62%24.01B14.62%24.01B21.59%23.69B28.14%24.21B31.35%24.37B17.72%20.95B17.72%20.95B
Liabilities
Total deposits 12.48%22.86B6.61%22.25B4.50%22B8.97%19.88B8.97%19.88B20.49%20.32B27.84%20.87B31.66%21.06B19.75%18.24B19.75%18.24B
Current debt and capital lease obligation --37.35M--0--7.22M--158.93M--158.93M--------------0--0
-Current debt --37.35M--0--7.22M--158.93M--158.93M--------------0--0
Long term debt and capital lease obligation 0.08%324.79M0.12%324.75M9.41%354.73M253.60%874.66M253.60%874.66M31.31%324.52M23.84%324.37M4.06%324.23M-24.34%247.36M-24.34%247.36M
-Long term debt 0.08%324.79M0.12%324.75M9.41%354.73M253.60%874.66M253.60%874.66M31.31%324.52M23.84%324.37M4.06%324.23M-24.34%247.36M-24.34%247.36M
Derivative product liabilities ------------295.88%99.54M295.88%99.54M-------------13.30%25.15M-13.30%25.15M
Other liabilities 14.21%465.38M20.20%437.86M42.94%427.11M41.61%298.56M41.61%298.56M85.07%407.49M89.07%364.27M59.31%298.8M6.20%210.84M6.20%210.84M
Total liabilities 12.50%23.69B6.74%23.01B5.14%22.79B13.80%21.31B13.80%21.31B21.28%21.05B28.27%21.56B31.18%21.68B18.61%18.72B18.61%18.72B
Shareholders'equity
Share capital 3.29%209.26M4.43%211.43M4.51%211.57M9.08%202.65M9.08%202.65M10.71%202.59M10.58%202.46M10.51%202.45M1.46%185.77M1.46%185.77M
-common stock 12.07%118.98M8.71%115.27M8.61%115.15M18.88%106.22M18.88%106.22M22.65%106.16M22.35%106.03M22.18%106.03M3.09%89.35M3.09%89.35M
-Preferred stock -6.37%90.28M-0.27%96.17M0.00%96.42M0.00%96.42M0.00%96.42M0.00%96.42M0.00%96.42M0.00%96.42M0.00%96.42M0.00%96.42M
Paid-in capital 17.06%2.7B13.27%2.61B13.21%2.61B34.01%2.31B34.01%2.31B41.23%2.3B40.79%2.3B40.33%2.3B5.00%1.72B5.00%1.72B
Retained earnings 31.77%596.62M45.43%577.32M53.10%542.61M53.89%508.84M53.89%508.84M51.69%452.79M62.69%396.97M84.41%354.41M141.58%330.65M141.58%330.65M
Gains losses not affecting retained earnings 1.38%-332.51M-15.79%-305.91M-67.92%-294.44M-1,144.48%-329.49M-1,144.48%-329.49M-17,341.44%-337.14M-2,364.26%-264.19M-3,885.43%-175.34M-170.21%-26.48M-170.21%-26.48M
Other equity interest 6.82%12.78M6.81%12.23M5.89%11.98M9.03%12.31M9.03%12.31M7.82%11.97M7.49%11.45M7.88%11.31M3.99%11.29M3.99%11.29M
Total stockholders'equity 20.84%3.18B17.14%3.11B14.22%3.08B21.53%2.7B21.53%2.7B24.14%2.63B27.08%2.65B32.69%2.7B10.70%2.22B10.70%2.22B
Total equity 20.84%3.18B17.14%3.11B14.22%3.08B21.53%2.7B21.53%2.7B24.14%2.63B27.08%2.65B32.69%2.7B10.70%2.22B10.70%2.22B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion------------
Paper Trade Start
Symbol
Direction
Buy
Sell
Types
LMT Order
Price
QTY
Amount
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