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FIRST CITIZENS BANCSHARES INC DEL 5.375 DEP REP 1/40TH PFD SER A (FCNCP)

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  • 21.300
  • +0.110+0.52%
Close Apr 17 16:00 ET
  • 21.300
  • 0.0000.00%
Post 16:10 ET
7.35MMarket Cap0.00P/E (TTM)

FIRST CITIZENS BANCSHARES INC DEL 5.375 DEP REP 1/40TH PFD SER A (FCNCP) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
Assets
Cash cash equivalents and federal funds sold
-6.72%20.83B
-6.72%20.83B
-4.46%25.76B
3.23%27.37B
-18.93%25.85B
-36.16%22.34B
-36.16%22.34B
-29.14%26.96B
-32.11%26.52B
-20.53%31.88B
-Cash and cash equivalents
-7.11%20.6B
-7.11%20.6B
-3.13%25.67B
3.63%27.07B
-19.01%25.5B
-35.75%22.18B
-35.75%22.18B
-29.32%26.5B
-32.60%26.13B
-21.51%31.49B
-Money market investments
46.84%232M
46.84%232M
-81.76%83M
-23.47%300M
-12.44%345M
-66.60%158M
-66.60%158M
-17.12%455M
31.54%392M
--394M
Receivables
4.32%1.55B
4.32%1.55B
90.59%6.48B
79.77%6.19B
93.08%6.11B
-53.82%1.48B
-53.82%1.48B
-3.79%3.4B
8.11%3.44B
-6.70%3.16B
-Accounts receivable
1.11%912M
1.11%912M
4.54%945M
-2.49%902M
0.66%920M
8.41%902M
8.41%902M
8.52%904M
26.37%925M
18.39%914M
-Other receivables
9.31%634M
9.31%634M
121.76%5.53B
110.02%5.28B
130.64%5.19B
-75.60%580M
-75.60%580M
-7.59%2.5B
2.65%2.52B
-14.09%2.25B
Net loan
5.64%146.36B
5.64%146.36B
4.48%141.04B
1.46%137.57B
4.63%137.66B
6.98%138.55B
6.98%138.55B
4.31%135B
4.91%135.59B
-2.20%131.57B
-Gross loan
5.50%147.93B
5.50%147.93B
4.40%142.69B
1.42%139.24B
4.53%139.34B
6.84%140.22B
6.84%140.22B
4.26%136.68B
4.90%137.29B
-2.07%133.3B
-Allowance for loans and lease losses
-6.56%1.57B
-6.56%1.57B
-1.55%1.65B
-1.65%1.67B
-3.28%1.68B
-4.06%1.68B
-4.06%1.68B
0.30%1.68B
3.85%1.7B
8.22%1.74B
Securities and investments
-4.38%44.69B
-4.38%44.69B
10.43%45.28B
8.66%43.49B
19.34%44.46B
45.34%46.73B
45.34%46.73B
41.96%41.01B
65.11%40.02B
73.59%37.25B
-Available for sale securities
18.40%3.25B
18.40%3.25B
827.86%22.51B
864.39%23.45B
995.36%25.03B
22.55%2.74B
22.55%2.74B
13.21%2.43B
13.43%2.43B
13.34%2.29B
-Held to maturity securities
-5.78%9.65B
-5.78%9.65B
-8.13%9.55B
-7.72%9.72B
-1.75%9.87B
2.61%10.24B
2.61%10.24B
3.06%10.39B
3.27%10.54B
-3.19%10.05B
-Short term investments
-5.81%31.79B
-5.81%31.79B
-53.08%13.23B
-61.89%10.31B
-61.66%9.55B
69.29%33.75B
69.29%33.75B
69.20%28.19B
127.45%27.05B
174.97%24.92B
Federal home loan bank stock
0.00%20M
0.00%20M
5.26%20M
-5.00%19M
0.00%20M
0.00%20M
0.00%20M
0.00%19M
-83.19%20M
-94.91%20M
Derivative assets
-19.09%534M
-19.09%534M
3.07%570M
-3.10%626M
-16.08%553M
3.13%660M
3.13%660M
-38.83%553M
-14.78%646M
20.48%659M
Bank owned life insurance
1.89%108M
1.89%108M
0.93%108M
0.94%107M
0.94%107M
0.95%106M
0.95%106M
2.88%107M
1.92%106M
-80.00%106M
Net PPE
6.16%12.36B
6.16%12.36B
4.73%12.03B
5.99%11.9B
5.81%11.72B
6.09%11.65B
6.09%11.65B
6.08%11.49B
5.19%11.23B
6.35%11.07B
-Gross PPE
7.47%14.27B
7.47%14.27B
4.73%12.03B
5.99%11.9B
5.81%11.72B
7.28%13.27B
7.28%13.27B
6.08%11.49B
5.19%11.23B
6.35%11.07B
-Accumulated depreciation
-16.89%-1.9B
-16.89%-1.9B
----
----
----
-16.70%-1.63B
-16.70%-1.63B
----
----
----
Foreclosed assets
112.50%119M
112.50%119M
79.25%95M
73.21%97M
73.21%97M
-3.45%56M
-3.45%56M
-11.67%53M
-9.68%56M
21.74%56M
Assets held for sale
845.88%804M
845.88%804M
64.71%112M
35.87%125M
115.12%185M
11.84%85M
11.84%85M
17.24%68M
-21.37%92M
-8.51%86M
Goodwill and other intangible assets
-7.88%573M
-7.88%573M
-8.46%584M
-8.59%596M
-8.71%608M
-8.93%622M
-8.93%622M
-8.86%638M
-9.19%652M
-9.39%666M
-Goodwill
0.00%346M
0.00%346M
0.00%346M
0.00%346M
0.00%346M
0.00%346M
0.00%346M
0.00%346M
0.00%346M
0.00%346M
-Other intangible assets
-17.75%227M
-17.75%227M
-18.49%238M
-18.30%250M
-18.13%262M
-18.10%276M
-18.10%276M
-17.51%292M
-17.74%306M
-17.74%320M
Defined pension benefit
19.15%784M
19.15%784M
39.00%670M
40.97%671M
38.96%667M
15.85%658M
15.85%658M
32.42%482M
32.59%476M
33.70%480M
Other assets
24.87%964M
24.87%964M
-7.29%738M
-8.45%899M
-3.02%803M
-0.64%772M
-0.64%772M
-5.24%796M
14.05%982M
-59.71%828M
Total assets
2.67%229.7B
2.67%229.7B
5.86%233.49B
4.47%229.65B
5.04%228.82B
4.66%223.72B
4.66%223.72B
3.18%220.57B
4.93%219.83B
1.48%217.84B
Liabilities
Total deposits
4.09%161.58B
4.09%161.58B
7.66%163.19B
5.86%159.94B
6.49%159.33B
6.43%155.23B
6.43%155.23B
3.65%151.57B
7.02%151.08B
6.83%149.61B
Federal funds purchased and securities sold under agreement to repurchase
-38.96%224M
-38.96%224M
8.18%423M
22.02%471M
13.92%450M
-24.33%367M
-24.33%367M
-13.69%391M
-14.98%386M
-22.40%395M
Payables
4.10%3.96B
4.10%3.96B
-29.53%105M
-24.53%120M
-24.11%107M
2,675.91%3.8B
2,675.91%3.8B
2.05%149M
31.40%159M
--141M
-Accounts payable
4.48%140M
4.48%140M
-29.53%105M
-24.53%120M
-24.11%107M
-2.19%134M
-2.19%134M
2.05%149M
31.40%159M
--141M
-Total tax payable
4.09%3.82B
4.09%3.82B
----
----
----
--3.67B
--3.67B
----
----
----
Current accrued expenses
----
----
----
----
----
----
----
-42.64%265M
-7.93%360M
--549M
Long term provisions
-6.47%260M
-6.47%260M
-5.69%265M
0.35%288M
-1.05%284M
-12.03%278M
-12.03%278M
-11.64%281M
-14.33%287M
--287M
Long term debt and capital lease obligation
-2.51%36.11B
-2.51%36.11B
3.90%38.59B
1.44%38B
2.01%38.3B
-1.39%37.04B
-1.39%37.04B
-1.40%37.14B
-6.45%37.46B
-16.73%37.54B
-Long term debt
-2.61%35.71B
-2.61%35.71B
3.87%38.19B
1.39%37.58B
2.11%37.92B
-1.32%36.67B
-1.32%36.67B
-1.31%36.76B
-6.56%37.06B
-17.62%37.14B
-Long term capital lease obligation
7.80%401M
7.80%401M
7.09%408M
6.62%419M
-7.16%376M
-7.92%372M
-7.92%372M
-9.29%381M
5.08%393M
5,685.71%405M
Non current deferred liabilities
----
----
0.53%3.58B
6.46%3.56B
-0.56%3.53B
-1.26%3.53B
-1.26%3.53B
-1.82%3.56B
6.26%3.34B
--3.55B
Employee benefits
1.76%1.04B
1.76%1.04B
44.74%825M
60.60%697M
74.91%495M
10.82%1.02B
10.82%1.02B
10.04%570M
17.62%434M
--283M
Derivative product liabilities
-20.96%494M
-20.96%494M
2.56%520M
-0.79%631M
-17.28%541M
-1.73%625M
-1.73%625M
-44.41%507M
-22.91%636M
--654M
Other liabilities
21.28%3.79B
21.28%3.79B
21.32%4B
14.38%3.66B
17.47%3.5B
3.92%3.13B
3.92%3.13B
8.59%3.3B
11.35%3.2B
-67.92%2.98B
Total liabilities
2.96%207.46B
2.96%207.46B
6.96%211.5B
5.08%207.36B
5.38%206.53B
4.67%201.49B
4.67%201.49B
2.26%197.74B
4.01%197.34B
0.28%195.99B
Shareholders'equity
Share capital
54.97%1.39B
54.97%1.39B
-0.11%894M
-0.22%894M
-0.22%894M
-0.11%895M
-0.11%895M
-0.11%895M
0.00%896M
0.00%896M
-common stock
-14.29%12M
-14.29%12M
-7.14%13M
-13.33%13M
-13.33%13M
-6.67%14M
-6.67%14M
-6.67%14M
0.00%15M
0.00%15M
-Preferred stock
56.07%1.38B
56.07%1.38B
0.00%881M
0.00%881M
0.00%881M
0.00%881M
0.00%881M
0.00%881M
0.00%881M
0.00%881M
Paid-in capital
--0
--0
-92.03%270M
-71.24%1.18B
-56.14%1.8B
-41.16%2.42B
-41.16%2.42B
-17.46%3.39B
-0.17%4.1B
-0.12%4.1B
Retained earnings
7.27%20.77B
7.27%20.77B
11.56%20.87B
12.35%20.34B
13.58%19.8B
15.64%19.36B
15.64%19.36B
14.98%18.7B
16.48%18.1B
17.13%17.44B
Gains losses not affecting retained earnings
118.65%83M
118.65%83M
72.33%-44M
81.31%-114M
65.81%-199M
9.37%-445M
9.37%-445M
81.93%-159M
20.98%-610M
13.00%-582M
Total stockholders'equity
0.04%22.24B
0.04%22.24B
-3.69%21.99B
-0.85%22.3B
2.05%22.3B
4.58%22.23B
4.58%22.23B
11.96%22.83B
13.74%22.49B
13.70%21.85B
Total equity
0.04%22.24B
0.04%22.24B
-3.69%21.99B
-0.85%22.3B
2.05%22.3B
4.58%22.23B
4.58%22.23B
11.96%22.83B
13.74%22.49B
13.70%21.85B
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
--
--
--
--
(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024
Assets
Cash cash equivalents and federal funds sold -6.72%20.83B-6.72%20.83B-4.46%25.76B3.23%27.37B-18.93%25.85B-36.16%22.34B-36.16%22.34B-29.14%26.96B-32.11%26.52B-20.53%31.88B
-Cash and cash equivalents -7.11%20.6B-7.11%20.6B-3.13%25.67B3.63%27.07B-19.01%25.5B-35.75%22.18B-35.75%22.18B-29.32%26.5B-32.60%26.13B-21.51%31.49B
-Money market investments 46.84%232M46.84%232M-81.76%83M-23.47%300M-12.44%345M-66.60%158M-66.60%158M-17.12%455M31.54%392M--394M
Receivables 4.32%1.55B4.32%1.55B90.59%6.48B79.77%6.19B93.08%6.11B-53.82%1.48B-53.82%1.48B-3.79%3.4B8.11%3.44B-6.70%3.16B
-Accounts receivable 1.11%912M1.11%912M4.54%945M-2.49%902M0.66%920M8.41%902M8.41%902M8.52%904M26.37%925M18.39%914M
-Other receivables 9.31%634M9.31%634M121.76%5.53B110.02%5.28B130.64%5.19B-75.60%580M-75.60%580M-7.59%2.5B2.65%2.52B-14.09%2.25B
Net loan 5.64%146.36B5.64%146.36B4.48%141.04B1.46%137.57B4.63%137.66B6.98%138.55B6.98%138.55B4.31%135B4.91%135.59B-2.20%131.57B
-Gross loan 5.50%147.93B5.50%147.93B4.40%142.69B1.42%139.24B4.53%139.34B6.84%140.22B6.84%140.22B4.26%136.68B4.90%137.29B-2.07%133.3B
-Allowance for loans and lease losses -6.56%1.57B-6.56%1.57B-1.55%1.65B-1.65%1.67B-3.28%1.68B-4.06%1.68B-4.06%1.68B0.30%1.68B3.85%1.7B8.22%1.74B
Securities and investments -4.38%44.69B-4.38%44.69B10.43%45.28B8.66%43.49B19.34%44.46B45.34%46.73B45.34%46.73B41.96%41.01B65.11%40.02B73.59%37.25B
-Available for sale securities 18.40%3.25B18.40%3.25B827.86%22.51B864.39%23.45B995.36%25.03B22.55%2.74B22.55%2.74B13.21%2.43B13.43%2.43B13.34%2.29B
-Held to maturity securities -5.78%9.65B-5.78%9.65B-8.13%9.55B-7.72%9.72B-1.75%9.87B2.61%10.24B2.61%10.24B3.06%10.39B3.27%10.54B-3.19%10.05B
-Short term investments -5.81%31.79B-5.81%31.79B-53.08%13.23B-61.89%10.31B-61.66%9.55B69.29%33.75B69.29%33.75B69.20%28.19B127.45%27.05B174.97%24.92B
Federal home loan bank stock 0.00%20M0.00%20M5.26%20M-5.00%19M0.00%20M0.00%20M0.00%20M0.00%19M-83.19%20M-94.91%20M
Derivative assets -19.09%534M-19.09%534M3.07%570M-3.10%626M-16.08%553M3.13%660M3.13%660M-38.83%553M-14.78%646M20.48%659M
Bank owned life insurance 1.89%108M1.89%108M0.93%108M0.94%107M0.94%107M0.95%106M0.95%106M2.88%107M1.92%106M-80.00%106M
Net PPE 6.16%12.36B6.16%12.36B4.73%12.03B5.99%11.9B5.81%11.72B6.09%11.65B6.09%11.65B6.08%11.49B5.19%11.23B6.35%11.07B
-Gross PPE 7.47%14.27B7.47%14.27B4.73%12.03B5.99%11.9B5.81%11.72B7.28%13.27B7.28%13.27B6.08%11.49B5.19%11.23B6.35%11.07B
-Accumulated depreciation -16.89%-1.9B-16.89%-1.9B-------------16.70%-1.63B-16.70%-1.63B------------
Foreclosed assets 112.50%119M112.50%119M79.25%95M73.21%97M73.21%97M-3.45%56M-3.45%56M-11.67%53M-9.68%56M21.74%56M
Assets held for sale 845.88%804M845.88%804M64.71%112M35.87%125M115.12%185M11.84%85M11.84%85M17.24%68M-21.37%92M-8.51%86M
Goodwill and other intangible assets -7.88%573M-7.88%573M-8.46%584M-8.59%596M-8.71%608M-8.93%622M-8.93%622M-8.86%638M-9.19%652M-9.39%666M
-Goodwill 0.00%346M0.00%346M0.00%346M0.00%346M0.00%346M0.00%346M0.00%346M0.00%346M0.00%346M0.00%346M
-Other intangible assets -17.75%227M-17.75%227M-18.49%238M-18.30%250M-18.13%262M-18.10%276M-18.10%276M-17.51%292M-17.74%306M-17.74%320M
Defined pension benefit 19.15%784M19.15%784M39.00%670M40.97%671M38.96%667M15.85%658M15.85%658M32.42%482M32.59%476M33.70%480M
Other assets 24.87%964M24.87%964M-7.29%738M-8.45%899M-3.02%803M-0.64%772M-0.64%772M-5.24%796M14.05%982M-59.71%828M
Total assets 2.67%229.7B2.67%229.7B5.86%233.49B4.47%229.65B5.04%228.82B4.66%223.72B4.66%223.72B3.18%220.57B4.93%219.83B1.48%217.84B
Liabilities
Total deposits 4.09%161.58B4.09%161.58B7.66%163.19B5.86%159.94B6.49%159.33B6.43%155.23B6.43%155.23B3.65%151.57B7.02%151.08B6.83%149.61B
Federal funds purchased and securities sold under agreement to repurchase -38.96%224M-38.96%224M8.18%423M22.02%471M13.92%450M-24.33%367M-24.33%367M-13.69%391M-14.98%386M-22.40%395M
Payables 4.10%3.96B4.10%3.96B-29.53%105M-24.53%120M-24.11%107M2,675.91%3.8B2,675.91%3.8B2.05%149M31.40%159M--141M
-Accounts payable 4.48%140M4.48%140M-29.53%105M-24.53%120M-24.11%107M-2.19%134M-2.19%134M2.05%149M31.40%159M--141M
-Total tax payable 4.09%3.82B4.09%3.82B--------------3.67B--3.67B------------
Current accrued expenses -----------------------------42.64%265M-7.93%360M--549M
Long term provisions -6.47%260M-6.47%260M-5.69%265M0.35%288M-1.05%284M-12.03%278M-12.03%278M-11.64%281M-14.33%287M--287M
Long term debt and capital lease obligation -2.51%36.11B-2.51%36.11B3.90%38.59B1.44%38B2.01%38.3B-1.39%37.04B-1.39%37.04B-1.40%37.14B-6.45%37.46B-16.73%37.54B
-Long term debt -2.61%35.71B-2.61%35.71B3.87%38.19B1.39%37.58B2.11%37.92B-1.32%36.67B-1.32%36.67B-1.31%36.76B-6.56%37.06B-17.62%37.14B
-Long term capital lease obligation 7.80%401M7.80%401M7.09%408M6.62%419M-7.16%376M-7.92%372M-7.92%372M-9.29%381M5.08%393M5,685.71%405M
Non current deferred liabilities --------0.53%3.58B6.46%3.56B-0.56%3.53B-1.26%3.53B-1.26%3.53B-1.82%3.56B6.26%3.34B--3.55B
Employee benefits 1.76%1.04B1.76%1.04B44.74%825M60.60%697M74.91%495M10.82%1.02B10.82%1.02B10.04%570M17.62%434M--283M
Derivative product liabilities -20.96%494M-20.96%494M2.56%520M-0.79%631M-17.28%541M-1.73%625M-1.73%625M-44.41%507M-22.91%636M--654M
Other liabilities 21.28%3.79B21.28%3.79B21.32%4B14.38%3.66B17.47%3.5B3.92%3.13B3.92%3.13B8.59%3.3B11.35%3.2B-67.92%2.98B
Total liabilities 2.96%207.46B2.96%207.46B6.96%211.5B5.08%207.36B5.38%206.53B4.67%201.49B4.67%201.49B2.26%197.74B4.01%197.34B0.28%195.99B
Shareholders'equity
Share capital 54.97%1.39B54.97%1.39B-0.11%894M-0.22%894M-0.22%894M-0.11%895M-0.11%895M-0.11%895M0.00%896M0.00%896M
-common stock -14.29%12M-14.29%12M-7.14%13M-13.33%13M-13.33%13M-6.67%14M-6.67%14M-6.67%14M0.00%15M0.00%15M
-Preferred stock 56.07%1.38B56.07%1.38B0.00%881M0.00%881M0.00%881M0.00%881M0.00%881M0.00%881M0.00%881M0.00%881M
Paid-in capital --0--0-92.03%270M-71.24%1.18B-56.14%1.8B-41.16%2.42B-41.16%2.42B-17.46%3.39B-0.17%4.1B-0.12%4.1B
Retained earnings 7.27%20.77B7.27%20.77B11.56%20.87B12.35%20.34B13.58%19.8B15.64%19.36B15.64%19.36B14.98%18.7B16.48%18.1B17.13%17.44B
Gains losses not affecting retained earnings 118.65%83M118.65%83M72.33%-44M81.31%-114M65.81%-199M9.37%-445M9.37%-445M81.93%-159M20.98%-610M13.00%-582M
Total stockholders'equity 0.04%22.24B0.04%22.24B-3.69%21.99B-0.85%22.3B2.05%22.3B4.58%22.23B4.58%22.23B11.96%22.83B13.74%22.49B13.70%21.85B
Total equity 0.04%22.24B0.04%22.24B-3.69%21.99B-0.85%22.3B2.05%22.3B4.58%22.23B4.58%22.23B11.96%22.83B13.74%22.49B13.70%21.85B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------
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