US Stock MarketDetailed Quotes

CHMG Chemung Financial

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  • 49.590
  • -0.460-0.92%
Close Dec 23 16:00 ET
235.98MMarket Cap10.97P/E (TTM)

Chemung Financial Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(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
Assets
Cash cash equivalents and federal funds sold
6.43%80.44M
29.49%70.22M
173.84%94.86M
-34.05%36.85M
-34.05%36.85M
78.16%75.58M
82.16%54.23M
-47.10%34.64M
107.07%55.87M
107.07%55.87M
-Cash and cash equivalents
6.43%80.44M
29.49%70.22M
173.84%94.86M
-34.05%36.85M
-34.05%36.85M
78.16%75.58M
82.16%54.23M
-47.10%34.64M
107.07%55.87M
107.07%55.87M
Net loan
5.08%2.01B
6.20%1.99B
6.99%1.98B
7.76%1.95B
7.76%1.95B
10.81%1.91B
17.15%1.87B
19.83%1.85B
20.84%1.81B
20.84%1.81B
-Gross loan
5.09%2.03B
6.18%2.01B
6.94%2B
7.83%1.97B
7.83%1.97B
10.78%1.93B
17.13%1.89B
19.58%1.87B
20.47%1.83B
20.47%1.83B
-Allowance for loans and lease losses
5.87%21.44M
4.26%21.03M
1.97%20.47M
14.54%22.52M
14.54%22.52M
8.70%20.25M
15.37%20.17M
0.74%20.08M
-6.50%19.66M
-6.50%19.66M
Securities and investments
-2.64%558.48M
-8.91%554.67M
-9.67%569.91M
-7.84%587.82M
-7.84%587.82M
-11.24%573.62M
-12.84%608.96M
-16.20%630.94M
-20.15%637.84M
-20.15%637.84M
-Available for sale securities
15.40%3.24M
8.76%3.09M
4.88%3.09M
7.63%3.05M
7.63%3.05M
5.01%2.81M
3.31%2.84M
0.00%2.95M
-4.52%2.83M
-4.52%2.83M
-Held to maturity securities
-63.58%657K
-63.58%657K
-59.37%785K
-67.62%785K
-67.62%785K
-43.80%1.8M
-38.70%1.8M
-45.97%1.93M
-36.04%2.42M
-36.04%2.42M
-Short term investments
-2.54%554.58M
-8.83%550.93M
-9.59%566.03M
-7.68%583.99M
-7.68%583.99M
-11.14%569M
-12.80%604.31M
-16.12%626.06M
-20.13%632.59M
-20.13%632.59M
Federal home loan bank stock
3.36%4.19M
-12.99%5.51M
-48.55%4.07M
-32.93%5.5M
-32.93%5.5M
4.67%4.05M
7.31%6.33M
121.28%7.91M
94.33%8.2M
94.33%8.2M
Derivative assets
-40.12%19.72M
-3.88%25.42M
13.63%25.81M
-10.35%23.94M
-10.35%23.94M
--32.92M
--26.45M
--22.71M
188.09%26.71M
188.09%26.71M
Bank owned life insurance
1.38%2.94M
1.42%2.93M
1.46%2.92M
1.50%2.91M
1.50%2.91M
1.54%2.9M
1.58%2.89M
1.59%2.88M
1.63%2.87M
1.63%2.87M
Net PPE
-1.60%20.55M
-4.59%20.56M
-8.66%20.2M
-10.38%20.22M
-10.38%20.22M
-10.08%20.89M
-8.91%21.55M
-8.96%22.12M
-10.48%22.56M
-10.48%22.56M
-Gross PPE
-1.64%21.13M
-4.54%20.95M
-8.58%20.4M
-0.30%93.96M
-0.30%93.96M
-9.78%21.49M
-8.74%21.95M
-8.89%22.32M
-1.76%94.25M
-1.76%94.25M
-Accumulated depreciation
3.01%-581K
2.01%-391K
-0.50%-200K
-2.87%-73.74M
-2.87%-73.74M
-1.87%-599K
-1.53%-399K
0.00%-199K
-1.35%-71.69M
-1.35%-71.69M
Goodwill and other intangible assets
0.00%21.82M
0.00%21.82M
0.00%21.82M
0.00%21.82M
0.00%21.82M
0.00%21.82M
0.00%21.82M
-0.02%21.82M
-0.07%21.82M
-0.07%21.82M
-Goodwill
0.00%21.82M
0.00%21.82M
0.00%21.82M
0.00%21.82M
0.00%21.82M
0.00%21.82M
0.00%21.82M
0.00%21.82M
0.00%21.82M
0.00%21.82M
Other assets
-10.74%58.56M
10.23%63.86M
7.87%62.06M
2.37%61.31M
2.37%61.31M
-24.46%65.61M
-13.74%57.93M
0.82%57.54M
88.70%59.89M
88.70%59.89M
Total assets
2.45%2.77B
3.03%2.76B
4.92%2.78B
2.46%2.71B
2.46%2.71B
6.13%2.71B
9.17%2.67B
7.24%2.65B
9.39%2.65B
9.39%2.65B
Liabilities
Total deposits
-0.90%2.45B
1.08%2.42B
6.36%2.48B
4.39%2.43B
4.39%2.43B
6.04%2.47B
9.50%2.39B
3.68%2.33B
7.97%2.33B
7.97%2.33B
Payables
--0
0.75%1.47M
0.89%1.47M
0.96%1.47M
0.96%1.47M
0.90%1.46M
0.90%1.46M
0.76%1.46M
0.34%1.46M
0.34%1.46M
-Dividends payable
--0
0.75%1.47M
0.89%1.47M
0.96%1.47M
0.96%1.47M
0.90%1.46M
0.90%1.46M
0.76%1.46M
0.34%1.46M
0.34%1.46M
Current debt and capital lease obligation
--50M
57.60%80M
--0
-66.68%31.92M
-66.68%31.92M
--0
10.66%50.76M
--90.07M
557.58%95.81M
557.58%95.81M
-Current debt
--50M
57.60%80M
--0
-66.68%31.92M
-66.68%31.92M
--0
10.66%50.76M
--90.07M
557.58%95.81M
557.58%95.81M
Long term debt and capital lease obligation
4.69%9.58M
4.53%9.84M
-5.26%9.18M
-10.76%8.88M
-10.76%8.88M
-10.35%9.15M
-9.96%9.42M
-9.60%9.69M
-9.34%9.95M
-9.34%9.95M
-Long term capital lease obligation
4.69%9.58M
4.53%9.84M
-5.26%9.18M
-10.76%8.88M
-10.76%8.88M
-10.35%9.15M
-9.96%9.42M
-9.60%9.69M
-9.34%9.95M
-9.34%9.95M
Derivative product liabilities
-40.04%19.74M
-3.85%25.43M
13.33%25.81M
-10.39%23.98M
-10.39%23.98M
--32.92M
--26.45M
--22.78M
181.75%26.76M
181.75%26.76M
Other liabilities
11.50%23.12M
15.59%21.92M
245.36%70.53M
9.18%19.61M
9.18%19.61M
-59.34%20.74M
-45.27%18.96M
-26.09%20.42M
19.00%17.97M
19.00%17.97M
Total liabilities
0.62%2.55B
2.30%2.55B
4.48%2.59B
1.46%2.52B
1.46%2.52B
5.92%2.54B
9.76%2.5B
8.19%2.48B
12.33%2.48B
12.33%2.48B
Shareholders'equity
Share capital
0.00%53K
0.00%53K
0.00%53K
0.00%53K
0.00%53K
0.00%53K
0.00%53K
0.00%53K
0.00%53K
0.00%53K
-common stock
0.00%53K
0.00%53K
0.00%53K
0.00%53K
0.00%53K
0.00%53K
0.00%53K
0.00%53K
0.00%53K
0.00%53K
Paid-in capital
1.01%48.46M
0.76%48.1M
0.86%47.79M
0.93%47.77M
0.93%47.77M
1.03%47.97M
1.15%47.74M
1.08%47.39M
0.92%47.33M
0.92%47.33M
Retained earnings
6.89%243.27M
7.95%239.02M
8.73%235.51M
8.53%229.93M
8.53%229.93M
10.55%227.6M
10.23%221.41M
11.48%216.59M
12.17%211.86M
12.17%211.86M
Less: Treasury stock
-5.29%15.99M
-5.81%16.04M
-6.23%16.15M
-6.23%16.5M
-6.23%16.5M
-6.30%16.88M
-5.81%17.03M
-4.94%17.22M
-1.39%17.6M
-1.39%17.6M
Gains losses not affecting retained earnings
37.83%-55.14M
6.47%-69.91M
-0.87%-70.08M
12.28%-66.01M
12.28%-66.01M
-11.01%-88.68M
-35.05%-74.75M
-84.74%-69.47M
-1,052.48%-75.26M
-1,052.48%-75.26M
Total stockholders'equity
29.75%220.65M
13.41%201.22M
11.16%197.13M
17.34%195.24M
17.34%195.24M
9.35%170.06M
1.57%177.43M
-4.40%177.34M
-21.31%166.39M
-21.31%166.39M
Total equity
29.75%220.65M
13.41%201.22M
11.16%197.13M
17.34%195.24M
17.34%195.24M
9.35%170.06M
1.57%177.43M
-4.40%177.34M
-21.31%166.39M
-21.31%166.39M
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 with Explanatory Notes
--
--
--
--
Unqualified Opinion
--
(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(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
Assets
Cash cash equivalents and federal funds sold 6.43%80.44M29.49%70.22M173.84%94.86M-34.05%36.85M-34.05%36.85M78.16%75.58M82.16%54.23M-47.10%34.64M107.07%55.87M107.07%55.87M
-Cash and cash equivalents 6.43%80.44M29.49%70.22M173.84%94.86M-34.05%36.85M-34.05%36.85M78.16%75.58M82.16%54.23M-47.10%34.64M107.07%55.87M107.07%55.87M
Net loan 5.08%2.01B6.20%1.99B6.99%1.98B7.76%1.95B7.76%1.95B10.81%1.91B17.15%1.87B19.83%1.85B20.84%1.81B20.84%1.81B
-Gross loan 5.09%2.03B6.18%2.01B6.94%2B7.83%1.97B7.83%1.97B10.78%1.93B17.13%1.89B19.58%1.87B20.47%1.83B20.47%1.83B
-Allowance for loans and lease losses 5.87%21.44M4.26%21.03M1.97%20.47M14.54%22.52M14.54%22.52M8.70%20.25M15.37%20.17M0.74%20.08M-6.50%19.66M-6.50%19.66M
Securities and investments -2.64%558.48M-8.91%554.67M-9.67%569.91M-7.84%587.82M-7.84%587.82M-11.24%573.62M-12.84%608.96M-16.20%630.94M-20.15%637.84M-20.15%637.84M
-Available for sale securities 15.40%3.24M8.76%3.09M4.88%3.09M7.63%3.05M7.63%3.05M5.01%2.81M3.31%2.84M0.00%2.95M-4.52%2.83M-4.52%2.83M
-Held to maturity securities -63.58%657K-63.58%657K-59.37%785K-67.62%785K-67.62%785K-43.80%1.8M-38.70%1.8M-45.97%1.93M-36.04%2.42M-36.04%2.42M
-Short term investments -2.54%554.58M-8.83%550.93M-9.59%566.03M-7.68%583.99M-7.68%583.99M-11.14%569M-12.80%604.31M-16.12%626.06M-20.13%632.59M-20.13%632.59M
Federal home loan bank stock 3.36%4.19M-12.99%5.51M-48.55%4.07M-32.93%5.5M-32.93%5.5M4.67%4.05M7.31%6.33M121.28%7.91M94.33%8.2M94.33%8.2M
Derivative assets -40.12%19.72M-3.88%25.42M13.63%25.81M-10.35%23.94M-10.35%23.94M--32.92M--26.45M--22.71M188.09%26.71M188.09%26.71M
Bank owned life insurance 1.38%2.94M1.42%2.93M1.46%2.92M1.50%2.91M1.50%2.91M1.54%2.9M1.58%2.89M1.59%2.88M1.63%2.87M1.63%2.87M
Net PPE -1.60%20.55M-4.59%20.56M-8.66%20.2M-10.38%20.22M-10.38%20.22M-10.08%20.89M-8.91%21.55M-8.96%22.12M-10.48%22.56M-10.48%22.56M
-Gross PPE -1.64%21.13M-4.54%20.95M-8.58%20.4M-0.30%93.96M-0.30%93.96M-9.78%21.49M-8.74%21.95M-8.89%22.32M-1.76%94.25M-1.76%94.25M
-Accumulated depreciation 3.01%-581K2.01%-391K-0.50%-200K-2.87%-73.74M-2.87%-73.74M-1.87%-599K-1.53%-399K0.00%-199K-1.35%-71.69M-1.35%-71.69M
Goodwill and other intangible assets 0.00%21.82M0.00%21.82M0.00%21.82M0.00%21.82M0.00%21.82M0.00%21.82M0.00%21.82M-0.02%21.82M-0.07%21.82M-0.07%21.82M
-Goodwill 0.00%21.82M0.00%21.82M0.00%21.82M0.00%21.82M0.00%21.82M0.00%21.82M0.00%21.82M0.00%21.82M0.00%21.82M0.00%21.82M
Other assets -10.74%58.56M10.23%63.86M7.87%62.06M2.37%61.31M2.37%61.31M-24.46%65.61M-13.74%57.93M0.82%57.54M88.70%59.89M88.70%59.89M
Total assets 2.45%2.77B3.03%2.76B4.92%2.78B2.46%2.71B2.46%2.71B6.13%2.71B9.17%2.67B7.24%2.65B9.39%2.65B9.39%2.65B
Liabilities
Total deposits -0.90%2.45B1.08%2.42B6.36%2.48B4.39%2.43B4.39%2.43B6.04%2.47B9.50%2.39B3.68%2.33B7.97%2.33B7.97%2.33B
Payables --00.75%1.47M0.89%1.47M0.96%1.47M0.96%1.47M0.90%1.46M0.90%1.46M0.76%1.46M0.34%1.46M0.34%1.46M
-Dividends payable --00.75%1.47M0.89%1.47M0.96%1.47M0.96%1.47M0.90%1.46M0.90%1.46M0.76%1.46M0.34%1.46M0.34%1.46M
Current debt and capital lease obligation --50M57.60%80M--0-66.68%31.92M-66.68%31.92M--010.66%50.76M--90.07M557.58%95.81M557.58%95.81M
-Current debt --50M57.60%80M--0-66.68%31.92M-66.68%31.92M--010.66%50.76M--90.07M557.58%95.81M557.58%95.81M
Long term debt and capital lease obligation 4.69%9.58M4.53%9.84M-5.26%9.18M-10.76%8.88M-10.76%8.88M-10.35%9.15M-9.96%9.42M-9.60%9.69M-9.34%9.95M-9.34%9.95M
-Long term capital lease obligation 4.69%9.58M4.53%9.84M-5.26%9.18M-10.76%8.88M-10.76%8.88M-10.35%9.15M-9.96%9.42M-9.60%9.69M-9.34%9.95M-9.34%9.95M
Derivative product liabilities -40.04%19.74M-3.85%25.43M13.33%25.81M-10.39%23.98M-10.39%23.98M--32.92M--26.45M--22.78M181.75%26.76M181.75%26.76M
Other liabilities 11.50%23.12M15.59%21.92M245.36%70.53M9.18%19.61M9.18%19.61M-59.34%20.74M-45.27%18.96M-26.09%20.42M19.00%17.97M19.00%17.97M
Total liabilities 0.62%2.55B2.30%2.55B4.48%2.59B1.46%2.52B1.46%2.52B5.92%2.54B9.76%2.5B8.19%2.48B12.33%2.48B12.33%2.48B
Shareholders'equity
Share capital 0.00%53K0.00%53K0.00%53K0.00%53K0.00%53K0.00%53K0.00%53K0.00%53K0.00%53K0.00%53K
-common stock 0.00%53K0.00%53K0.00%53K0.00%53K0.00%53K0.00%53K0.00%53K0.00%53K0.00%53K0.00%53K
Paid-in capital 1.01%48.46M0.76%48.1M0.86%47.79M0.93%47.77M0.93%47.77M1.03%47.97M1.15%47.74M1.08%47.39M0.92%47.33M0.92%47.33M
Retained earnings 6.89%243.27M7.95%239.02M8.73%235.51M8.53%229.93M8.53%229.93M10.55%227.6M10.23%221.41M11.48%216.59M12.17%211.86M12.17%211.86M
Less: Treasury stock -5.29%15.99M-5.81%16.04M-6.23%16.15M-6.23%16.5M-6.23%16.5M-6.30%16.88M-5.81%17.03M-4.94%17.22M-1.39%17.6M-1.39%17.6M
Gains losses not affecting retained earnings 37.83%-55.14M6.47%-69.91M-0.87%-70.08M12.28%-66.01M12.28%-66.01M-11.01%-88.68M-35.05%-74.75M-84.74%-69.47M-1,052.48%-75.26M-1,052.48%-75.26M
Total stockholders'equity 29.75%220.65M13.41%201.22M11.16%197.13M17.34%195.24M17.34%195.24M9.35%170.06M1.57%177.43M-4.40%177.34M-21.31%166.39M-21.31%166.39M
Total equity 29.75%220.65M13.41%201.22M11.16%197.13M17.34%195.24M17.34%195.24M9.35%170.06M1.57%177.43M-4.40%177.34M-21.31%166.39M-21.31%166.39M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion--
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