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FCNCP First Citizens BancShares Inc

Watchlist
  • 23.460
  • +0.370+1.60%
Close Nov 25 16:00 ET
  • 23.460
  • 0.0000.00%
Post 20:01 ET
0Market Cap0.00P/E (TTM)

First Citizens BancShares Inc 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
-29.14%26.96B
-32.11%26.52B
-20.53%31.88B
531.25%34.99B
531.25%34.99B
471.83%38.04B
453.35%39.06B
309.05%40.12B
-41.36%5.54B
-41.36%5.54B
-Cash and cash equivalents
-29.32%26.5B
-32.60%26.13B
-21.51%31.49B
522.71%34.52B
522.71%34.52B
463.58%37.5B
449.13%38.76B
309.05%40.12B
-41.36%5.54B
-41.36%5.54B
-Money market investments
-17.12%455M
31.54%392M
--394M
--473M
--473M
--549M
--298M
----
----
----
Receivables
-3.79%3.4B
8.11%3.44B
-6.70%3.16B
11.70%3.21B
11.70%3.21B
61.77%3.53B
46.14%3.18B
52.70%3.39B
138.62%2.87B
138.62%2.87B
-Accounts receivable
8.52%904M
26.37%925M
18.39%914M
152.89%832M
152.89%832M
--833M
--732M
--772M
145.52%329M
145.52%329M
-Other receivables
-7.59%2.5B
2.65%2.52B
-14.09%2.25B
-6.56%2.38B
-6.56%2.38B
23.63%2.7B
12.53%2.45B
17.93%2.62B
137.76%2.54B
137.76%2.54B
Net loan
4.31%135B
4.91%135.59B
-2.20%131.57B
91.32%129.5B
91.32%129.5B
93.96%129.42B
99.74%129.25B
115.38%134.52B
112.04%67.69B
112.04%67.69B
-Gross loan
4.26%136.68B
4.90%137.29B
-2.07%133.3B
91.30%131.25B
91.30%131.25B
93.91%131.09B
99.65%130.89B
115.03%136.13B
113.73%68.61B
113.73%68.61B
-Allowance for loans and lease losses
0.30%1.68B
3.85%1.7B
8.22%1.74B
89.48%1.75B
89.48%1.75B
89.68%1.67B
92.59%1.64B
89.27%1.61B
417.98%922M
417.98%922M
Securities and investments
41.96%41.01B
65.11%40.02B
73.59%37.25B
59.26%32.15B
59.26%32.15B
53.31%28.89B
26.67%24.24B
10.22%21.46B
52.03%20.19B
52.03%20.19B
-Available for sale securities
13.21%2.43B
13.43%2.43B
13.34%2.29B
144.70%2.24B
144.70%2.24B
2,229.35%2.14B
2,180.85%2.14B
1,916.00%2.02B
241.42%915M
241.42%915M
-Held to maturity securities
3.06%10.39B
3.27%10.54B
-3.19%10.05B
-2.92%9.98B
-2.92%9.98B
4.36%10.08B
3.75%10.2B
3.05%10.38B
169.86%10.28B
169.86%10.28B
-Short term investments
69.20%28.19B
127.45%27.05B
174.97%24.92B
121.63%19.94B
121.63%19.94B
83.33%16.66B
29.14%11.89B
-2.52%9.06B
-2.26%9B
-2.26%9B
Federal home loan bank stock
0.00%19M
-83.19%20M
-94.91%20M
-89.85%20M
-89.85%20M
--19M
--119M
--393M
392.50%197M
392.50%197M
Derivative assets
-38.83%553M
-14.78%646M
20.48%659M
302.52%640M
302.52%640M
--904M
--758M
--547M
5,200.00%159M
5,200.00%159M
Bank owned life insurance
2.88%107M
1.92%106M
-80.00%106M
-82.08%105M
-82.08%105M
-92.25%104M
-92.20%104M
-60.03%530M
405.17%586M
405.17%586M
Net PPE
6.08%11.49B
5.19%11.23B
6.35%11.07B
10.24%10.98B
10.24%10.98B
15.31%10.83B
13.71%10.67B
10.72%10.41B
667.69%9.96B
667.69%9.96B
-Gross PPE
6.08%11.49B
5.19%11.23B
6.35%11.07B
10.95%12.37B
10.95%12.37B
15.31%10.83B
13.71%10.67B
10.72%10.41B
369.12%11.15B
369.12%11.15B
-Accumulated depreciation
----
----
----
-16.83%-1.4B
-16.83%-1.4B
----
----
----
-10.56%-1.19B
-10.56%-1.19B
Foreclosed assets
-11.67%53M
-9.68%56M
21.74%56M
23.40%58M
23.40%58M
--60M
--62M
--46M
17.50%47M
17.50%47M
Assets held for sale
17.24%68M
-21.37%92M
-8.51%86M
26.67%76M
26.67%76M
176.19%58M
207.89%117M
13.25%94M
-39.39%60M
-39.39%60M
Goodwill and other intangible assets
-8.86%638M
-9.19%652M
-9.39%666M
33.66%683M
33.66%683M
42.57%700M
44.76%718M
46.41%735M
31.70%511M
31.70%511M
-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
-17.51%292M
-17.74%306M
-17.74%320M
104.24%337M
104.24%337M
144.14%354M
148.00%372M
149.36%389M
292.86%165M
292.86%165M
Defined pension benefit
32.42%482M
32.59%476M
33.70%480M
38.19%474M
38.19%474M
--364M
--359M
--359M
18.69%343M
18.69%343M
Other assets
-5.24%796M
14.05%982M
-59.71%828M
-23.93%871M
-23.93%871M
-77.05%840M
-74.21%861M
-38.29%2.06B
546.89%1.15B
546.89%1.15B
Total assets
3.18%220.57B
4.93%219.83B
1.48%217.84B
95.57%213.76B
95.57%213.76B
95.56%213.77B
94.57%209.5B
97.66%214.66B
87.45%109.3B
87.45%109.3B
Liabilities
Total deposits
3.65%151.57B
7.02%151.08B
6.83%149.61B
63.13%145.85B
63.13%145.85B
67.02%146.23B
58.03%141.16B
52.90%140.05B
73.93%89.41B
73.93%89.41B
Federal funds purchased and securities sold under agreement to repurchase
-13.69%391M
-14.98%386M
-22.40%395M
11.24%485M
11.24%485M
-21.63%453M
-29.72%454M
-17.37%509M
-25.98%436M
-25.98%436M
Payables
2.05%149M
31.40%159M
--141M
140.35%137M
140.35%137M
--146M
--121M
----
--57M
--57M
-Accounts payable
2.05%149M
31.40%159M
--141M
140.35%137M
140.35%137M
--146M
--121M
----
--57M
--57M
Current accrued expenses
-42.64%265M
-7.93%360M
--549M
44.36%397M
44.36%397M
--462M
--391M
----
--275M
--275M
Current debt and capital lease obligation
----
----
----
--0
--0
--0
--15M
--500M
--1.75B
--1.75B
-Current debt
----
----
----
--0
--0
--0
--15M
--500M
--1.75B
--1.75B
Long term provisions
-11.64%281M
-14.33%287M
--287M
198.11%316M
198.11%316M
--318M
--335M
----
--106M
--106M
Long term debt and capital lease obligation
-1.40%37.14B
-6.45%37.46B
-16.73%37.54B
680.81%37.57B
680.81%37.57B
622.34%37.67B
950.04%40.04B
1,584.79%45.09B
302.59%4.81B
302.59%4.81B
-Long term debt
-1.31%36.76B
-6.56%37.06B
-17.62%37.14B
734.68%37.16B
734.68%37.16B
615.38%37.25B
940.23%39.66B
1,584.53%45.08B
273.80%4.45B
273.80%4.45B
-Long term capital lease obligation
-9.29%381M
5.08%393M
5,685.71%405M
12.81%405M
12.81%405M
5,150.00%420M
--374M
--7M
8,875.00%359M
8,875.00%359M
Non current deferred liabilities
-1.82%3.56B
6.26%3.34B
--3.55B
1,151.40%3.58B
1,151.40%3.58B
--3.63B
--3.15B
----
--286M
--286M
Employee benefits
10.04%570M
17.62%434M
--283M
153.18%676M
153.18%676M
--518M
--369M
----
--267M
--267M
Derivative product liabilities
-44.41%507M
-22.91%636M
--654M
30.86%636M
30.86%636M
--912M
--825M
----
--486M
--486M
Other liabilities
8.59%3.3B
11.35%3.2B
-67.92%2.98B
62.94%2.86B
62.94%2.86B
-15.19%3.04B
-11.44%2.87B
196.30%9.3B
360.37%1.75B
360.37%1.75B
Total liabilities
2.26%197.74B
4.01%197.34B
0.28%195.99B
93.21%192.5B
93.21%192.5B
94.39%193.38B
95.54%189.73B
99.38%195.44B
85.99%99.64B
85.99%99.64B
Shareholders'equity
Share capital
-0.11%895M
0.00%896M
0.00%896M
0.00%896M
0.00%896M
0.00%896M
-0.11%896M
-0.11%896M
156.00%896M
156.00%896M
-common stock
-6.67%14M
0.00%15M
0.00%15M
0.00%15M
0.00%15M
0.00%15M
-6.25%15M
-6.25%15M
50.00%15M
50.00%15M
-Preferred stock
0.00%881M
0.00%881M
0.00%881M
0.00%881M
0.00%881M
0.00%881M
0.00%881M
0.00%881M
159.12%881M
159.12%881M
Paid-in capital
-17.46%3.39B
-0.17%4.1B
-0.12%4.1B
-0.02%4.11B
-0.02%4.11B
-8.88%4.11B
-23.18%4.11B
-23.20%4.1B
--4.11B
--4.11B
Retained earnings
14.98%18.7B
16.48%18.1B
17.13%17.44B
210.50%16.74B
210.50%16.74B
215.25%16.27B
219.45%15.54B
221.21%14.89B
23.16%5.39B
23.16%5.39B
Gains losses not affecting retained earnings
81.93%-159M
20.98%-610M
13.00%-582M
33.20%-491M
33.20%-491M
-20.71%-880M
-66.02%-772M
-119.34%-669M
-7,450.00%-735M
-7,450.00%-735M
Total stockholders'equity
11.96%22.83B
13.74%22.49B
13.70%21.85B
119.99%21.26B
119.99%21.26B
107.35%20.39B
85.78%19.77B
81.80%19.22B
103.93%9.66B
103.93%9.66B
Total equity
11.96%22.83B
13.74%22.49B
13.70%21.85B
119.99%21.26B
119.99%21.26B
107.35%20.39B
85.78%19.77B
81.80%19.22B
103.93%9.66B
103.93%9.66B
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
--
(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 -29.14%26.96B-32.11%26.52B-20.53%31.88B531.25%34.99B531.25%34.99B471.83%38.04B453.35%39.06B309.05%40.12B-41.36%5.54B-41.36%5.54B
-Cash and cash equivalents -29.32%26.5B-32.60%26.13B-21.51%31.49B522.71%34.52B522.71%34.52B463.58%37.5B449.13%38.76B309.05%40.12B-41.36%5.54B-41.36%5.54B
-Money market investments -17.12%455M31.54%392M--394M--473M--473M--549M--298M------------
Receivables -3.79%3.4B8.11%3.44B-6.70%3.16B11.70%3.21B11.70%3.21B61.77%3.53B46.14%3.18B52.70%3.39B138.62%2.87B138.62%2.87B
-Accounts receivable 8.52%904M26.37%925M18.39%914M152.89%832M152.89%832M--833M--732M--772M145.52%329M145.52%329M
-Other receivables -7.59%2.5B2.65%2.52B-14.09%2.25B-6.56%2.38B-6.56%2.38B23.63%2.7B12.53%2.45B17.93%2.62B137.76%2.54B137.76%2.54B
Net loan 4.31%135B4.91%135.59B-2.20%131.57B91.32%129.5B91.32%129.5B93.96%129.42B99.74%129.25B115.38%134.52B112.04%67.69B112.04%67.69B
-Gross loan 4.26%136.68B4.90%137.29B-2.07%133.3B91.30%131.25B91.30%131.25B93.91%131.09B99.65%130.89B115.03%136.13B113.73%68.61B113.73%68.61B
-Allowance for loans and lease losses 0.30%1.68B3.85%1.7B8.22%1.74B89.48%1.75B89.48%1.75B89.68%1.67B92.59%1.64B89.27%1.61B417.98%922M417.98%922M
Securities and investments 41.96%41.01B65.11%40.02B73.59%37.25B59.26%32.15B59.26%32.15B53.31%28.89B26.67%24.24B10.22%21.46B52.03%20.19B52.03%20.19B
-Available for sale securities 13.21%2.43B13.43%2.43B13.34%2.29B144.70%2.24B144.70%2.24B2,229.35%2.14B2,180.85%2.14B1,916.00%2.02B241.42%915M241.42%915M
-Held to maturity securities 3.06%10.39B3.27%10.54B-3.19%10.05B-2.92%9.98B-2.92%9.98B4.36%10.08B3.75%10.2B3.05%10.38B169.86%10.28B169.86%10.28B
-Short term investments 69.20%28.19B127.45%27.05B174.97%24.92B121.63%19.94B121.63%19.94B83.33%16.66B29.14%11.89B-2.52%9.06B-2.26%9B-2.26%9B
Federal home loan bank stock 0.00%19M-83.19%20M-94.91%20M-89.85%20M-89.85%20M--19M--119M--393M392.50%197M392.50%197M
Derivative assets -38.83%553M-14.78%646M20.48%659M302.52%640M302.52%640M--904M--758M--547M5,200.00%159M5,200.00%159M
Bank owned life insurance 2.88%107M1.92%106M-80.00%106M-82.08%105M-82.08%105M-92.25%104M-92.20%104M-60.03%530M405.17%586M405.17%586M
Net PPE 6.08%11.49B5.19%11.23B6.35%11.07B10.24%10.98B10.24%10.98B15.31%10.83B13.71%10.67B10.72%10.41B667.69%9.96B667.69%9.96B
-Gross PPE 6.08%11.49B5.19%11.23B6.35%11.07B10.95%12.37B10.95%12.37B15.31%10.83B13.71%10.67B10.72%10.41B369.12%11.15B369.12%11.15B
-Accumulated depreciation -------------16.83%-1.4B-16.83%-1.4B-------------10.56%-1.19B-10.56%-1.19B
Foreclosed assets -11.67%53M-9.68%56M21.74%56M23.40%58M23.40%58M--60M--62M--46M17.50%47M17.50%47M
Assets held for sale 17.24%68M-21.37%92M-8.51%86M26.67%76M26.67%76M176.19%58M207.89%117M13.25%94M-39.39%60M-39.39%60M
Goodwill and other intangible assets -8.86%638M-9.19%652M-9.39%666M33.66%683M33.66%683M42.57%700M44.76%718M46.41%735M31.70%511M31.70%511M
-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 -17.51%292M-17.74%306M-17.74%320M104.24%337M104.24%337M144.14%354M148.00%372M149.36%389M292.86%165M292.86%165M
Defined pension benefit 32.42%482M32.59%476M33.70%480M38.19%474M38.19%474M--364M--359M--359M18.69%343M18.69%343M
Other assets -5.24%796M14.05%982M-59.71%828M-23.93%871M-23.93%871M-77.05%840M-74.21%861M-38.29%2.06B546.89%1.15B546.89%1.15B
Total assets 3.18%220.57B4.93%219.83B1.48%217.84B95.57%213.76B95.57%213.76B95.56%213.77B94.57%209.5B97.66%214.66B87.45%109.3B87.45%109.3B
Liabilities
Total deposits 3.65%151.57B7.02%151.08B6.83%149.61B63.13%145.85B63.13%145.85B67.02%146.23B58.03%141.16B52.90%140.05B73.93%89.41B73.93%89.41B
Federal funds purchased and securities sold under agreement to repurchase -13.69%391M-14.98%386M-22.40%395M11.24%485M11.24%485M-21.63%453M-29.72%454M-17.37%509M-25.98%436M-25.98%436M
Payables 2.05%149M31.40%159M--141M140.35%137M140.35%137M--146M--121M------57M--57M
-Accounts payable 2.05%149M31.40%159M--141M140.35%137M140.35%137M--146M--121M------57M--57M
Current accrued expenses -42.64%265M-7.93%360M--549M44.36%397M44.36%397M--462M--391M------275M--275M
Current debt and capital lease obligation --------------0--0--0--15M--500M--1.75B--1.75B
-Current debt --------------0--0--0--15M--500M--1.75B--1.75B
Long term provisions -11.64%281M-14.33%287M--287M198.11%316M198.11%316M--318M--335M------106M--106M
Long term debt and capital lease obligation -1.40%37.14B-6.45%37.46B-16.73%37.54B680.81%37.57B680.81%37.57B622.34%37.67B950.04%40.04B1,584.79%45.09B302.59%4.81B302.59%4.81B
-Long term debt -1.31%36.76B-6.56%37.06B-17.62%37.14B734.68%37.16B734.68%37.16B615.38%37.25B940.23%39.66B1,584.53%45.08B273.80%4.45B273.80%4.45B
-Long term capital lease obligation -9.29%381M5.08%393M5,685.71%405M12.81%405M12.81%405M5,150.00%420M--374M--7M8,875.00%359M8,875.00%359M
Non current deferred liabilities -1.82%3.56B6.26%3.34B--3.55B1,151.40%3.58B1,151.40%3.58B--3.63B--3.15B------286M--286M
Employee benefits 10.04%570M17.62%434M--283M153.18%676M153.18%676M--518M--369M------267M--267M
Derivative product liabilities -44.41%507M-22.91%636M--654M30.86%636M30.86%636M--912M--825M------486M--486M
Other liabilities 8.59%3.3B11.35%3.2B-67.92%2.98B62.94%2.86B62.94%2.86B-15.19%3.04B-11.44%2.87B196.30%9.3B360.37%1.75B360.37%1.75B
Total liabilities 2.26%197.74B4.01%197.34B0.28%195.99B93.21%192.5B93.21%192.5B94.39%193.38B95.54%189.73B99.38%195.44B85.99%99.64B85.99%99.64B
Shareholders'equity
Share capital -0.11%895M0.00%896M0.00%896M0.00%896M0.00%896M0.00%896M-0.11%896M-0.11%896M156.00%896M156.00%896M
-common stock -6.67%14M0.00%15M0.00%15M0.00%15M0.00%15M0.00%15M-6.25%15M-6.25%15M50.00%15M50.00%15M
-Preferred stock 0.00%881M0.00%881M0.00%881M0.00%881M0.00%881M0.00%881M0.00%881M0.00%881M159.12%881M159.12%881M
Paid-in capital -17.46%3.39B-0.17%4.1B-0.12%4.1B-0.02%4.11B-0.02%4.11B-8.88%4.11B-23.18%4.11B-23.20%4.1B--4.11B--4.11B
Retained earnings 14.98%18.7B16.48%18.1B17.13%17.44B210.50%16.74B210.50%16.74B215.25%16.27B219.45%15.54B221.21%14.89B23.16%5.39B23.16%5.39B
Gains losses not affecting retained earnings 81.93%-159M20.98%-610M13.00%-582M33.20%-491M33.20%-491M-20.71%-880M-66.02%-772M-119.34%-669M-7,450.00%-735M-7,450.00%-735M
Total stockholders'equity 11.96%22.83B13.74%22.49B13.70%21.85B119.99%21.26B119.99%21.26B107.35%20.39B85.78%19.77B81.80%19.22B103.93%9.66B103.93%9.66B
Total equity 11.96%22.83B13.74%22.49B13.70%21.85B119.99%21.26B119.99%21.26B107.35%20.39B85.78%19.77B81.80%19.22B103.93%9.66B103.93%9.66B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--

Analysis

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