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Filing updates from : 2025-03-28

Reporting Period - quarter ended : 2024-12-31



Report Label Original Value Updated Value

(USD, in thousands)
RC Loans and leases, net of unearned income 4,314,546 4,298,945
RC LESS: Allowance for loan and lease losses 75,277 75,741
RC Loans and leases, net of unearned income and allowance 4,239,269 4,223,204
RC Investments in unconsolidated subsidiaries and associated companies (from Schedule RC-M) 51,976 51,951
RC Other assets (from Schedule RC-F) 633,718 627,054
RC Total assets 6,225,865 6,203,111
RC Other liabilities (from Schedule RC-G) 209,321 205,281
RC Total liabilities 5,075,886 5,071,846
RC Retained earnings 8,636 (2,382)
RC Accumulated other comprehensive income******** (12,642) (20,338)
RC Total bank equity capital 1,151,864 1,133,150
RC Total equity capital 1,149,979 1,131,265
RC Total liabilities and equity capital 6,225,865 6,203,111
RCA Cash items in process of collection and unposted debits 418 417
RCA Total 705,057 705,056
RCCI Secured by first liens 477,249 477,248
RCCI Loans secured by other nonfarm nonresidential properties 670,497 654,895
RCCI Commercial and industrial loans 1,655,626 1,635,343
RCCI To U.S. addressees (domicile) ( To Be Completed by Banks with $300 Million or More in Total Assets*) 1,567,587 1,547,304
RCCI Loans to nondepository financial institutions 681,450 701,734
RCCI Other loans 46,021 46,022
RCCI Total loans and leases held for investment and held for sale 4,316,084 4,300,483
RCF All other assets (itemize and describe amounts greater than $100,000 that exceed 25% of this item) 208,809 202,145
RCF Prepaid expenses (excluding prepaid assessments) 55,557 44,934
RCF Accounts receivable 0 39,347
RCF Total 633,718 627,054
RCG Other expenses accrued and unpaid (includes accrued income taxes payable) 21,434 20,106
RCG Net deferred tax liabilities** 70,051 67,339
RCG Total 209,321 205,281
RCK Total assets***** 6,141,624 6,241,457
RCN Loans secured by other nonfarm nonresidential properties ( Nonaccrual) 179,018 163,417
RCN Total loans and leases ( Nonaccrual) 264,359 248,758
RCN Loans secured by other nonfarm nonresidential properties (Nonaccrual) 177,743 162,142
RCN Total loans restructured in troubled debt restructurings included in Schedule RC-N above and not reported in Schedule RC-C, Part I (Nonaccrual) 200,177 184,576
RCN Additions to nonaccrual assets during the quarter 85,386 69,785
RCO Average consolidated total assets for the calendar quarter 6,141,624 6,241,457
RCR Retained earnings 8,636 (2,382)
RCR Accumulated other comprehensive income (AOCI) (12,642) (20,338)
RCR Common equity tier 1 capital before adjustments and deductions 1,151,864 1,133,150
RCR LESS: Amounts recorded in AOCI attributed to defined benefit postretirement plans resulting from the initial and subsequent application of the relevant GAAP standards that pertain to such plans (if a gain, report as a positive value: if a loss, report as a negative value) 1,474 (6,222)
RCR Subtotal (Non-advanced Approaches Institutions) 1,056,762 1,045,744
RCR Common equity tier 1 capital (Non-advanced Approaches Institutions) 1,056,762 1,045,744
RCR Tier 1 capital 1,056,762 1,045,744
RCR Average total consolidated assets 6,141,624 6,241,457
RCR Total assets for the leverage ratio 6,033,880 6,133,713
RCR Leverage ratio 17.51 17.05
RCR Allowance for loan and lease losses includable in tier 2 capital 79,708 79,373
RCR Tier 2 capital before deductions 79,708 79,373
RCR Tier 2 capital 79,708 79,373
RCR Total capital 1,136,470 1,125,117
RCR Total risk-weighted assets (from Schedule RC-R, Part II, item 31) 6,376,545 6,348,986
RCR Common equity tier 1 capital ratio 16.57 16.47
RCR Tier1 capital ratio 16.57 16.47
RCR Total capital ratio 17.82 17.72
RCR Capital conservation buffer 9.82 9.72
RCR Exposures past due 90 days or more or on nonaccrual (Totals From Schedule RC) 264,358 248,758
RCR Exposures past due 90 days or more or on nonaccrual (150%) 224,886 209,286
RCR All other exposures (Totals From Schedule RC) 3,613,950 3,613,949
RCR All other exposures (100%) 3,248,463 3,248,462
RCR LESS: Allowance for loan and lease losses (Totals From Schedule RC) 75,277 75,741
RCR LESS: Allowance for loan and lease losses (Adjustments to Totals) 75,277 75,741
RCR All other assets (Totals From Schedule RC) 905,981 899,292
RCR All other assets (Adjustments to Totals) 107,833 107,834
RCR All other assets (100%) 421,133 413,333
RCR All other assets (400%) 365,015 366,125
RCR Total balance sheet assets (Totals From Schedule RC) 6,225,865 6,203,111
RCR Total balance sheet assets (Adjustments to Totals) 21,586 21,123
RCR Total balance sheet assets (100%) 3,866,624 3,858,823
RCR Total balance sheet assets (150%) 224,886 209,286
RCR Total balance sheet assets (400%) 365,015 366,125
RCR Total assets, derivatives, off-balance sheet items, and other items subject to risk weighting by risk-weight category (100%) 4,214,633 4,206,832
RCR Total assets, derivatives, off-balance sheet items, and other items subject to risk weighting by risk-weight category (150%) 224,886 209,286
RCR Total assets, derivatives, off-balance sheet items, and other items subject to risk weighting by risk-weight category (400%) 365,015 366,125
RCR Risk-weighted assets by risk-weight category (100%) 4,214,633 4,206,832
RCR Risk-weighted assets by risk-weight category (150%) 337,329 313,929
RCR Risk-weighted assets by risk-weight category (400%) 1,460,060 1,464,500
RCR Risk-weighted assets base for purposes of calculating the allowance for loan and lease losses 1.25 percent threshold 6,376,638 6,349,877
RCR Risk-weighted assets before deductions for excess allowance of loan and lease losses and allocated risk transfer risk reserve 6,376,638 6,349,877
RCR LESS: Excess allowance for loan and lease losses 93 891
RCR Total risk-weighted assets 6,376,545 6,348,986
RI Provision for loan and lease losses(Institutions that have adopted ASU-2016-13 should report the provisions for credit losses on all financial assets that fall within the scope of the standard) 6,601 22,665
RI Salaries and employee benefits 172,482 171,155
RI Total noninterest expense 258,207 256,880
RI Income (loss) before unrealized holding gains (losses) on equity securities not held for trading, applicable income taxes, and discontinued operations 56,955 42,218
RI Income (loss) before applicable income taxes and discontinued operations 77,139 62,402
RI Applicable income taxes 20,065 16,347
RI Income (loss) before discontinued operations 57,074 46,055
RI Net income (loss) attributable to bank and noncontrolling (minority) interests 57,074 46,055
RI Net income (loss) attributable to bank 55,477 44,458
RIA Net income (loss) attributable to bank 55,477 44,458
RIA Other comprehensive income ** 11,266 3,571
RIA Total bank equity capital end of current period 1,151,864 1,133,150
RIBI Loans secured by other nonfarm nonresidential properties ( Charge offs* ) 3,148 18,748
RIBI Total ( Charge offs* ) 8,262 23,862
RIBII LESS: Charge offs (Loans and Leases Held for Investment) 8,262 23,862
RIBII Provision for credit losses (Loans and Leases Held for Investment) 7,696 23,760
RIBII Balance end of current period (Loans and Leases Held for Investment) 75,277 75,741
RIC Commercial real estate loans (Amortized Cost) 1,237,150 1,221,549
RIC Commercial real estate loans (Allowance Balance) 23,522 23,986
RIC Total (Amortized Cost) 4,136,676 4,121,075
RIC Total (Allowance Balance) 75,277 75,741


 

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Source of Data: FDIC, FRB, NCUA, OCC, SEC, U.S. Department of the Treasury