US Stock MarketDetailed Quotes

Glen Burnie (GLBZ)

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  • 4.830
  • -0.025-0.51%
15min DelayClose Apr 10 15:16 ET
14.10MMarket Cap-483.00P/E (TTM)

Glen Burnie (GLBZ) 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
-77.25%5.95M
-77.25%5.95M
-45.05%12.48M
-20.52%13.54M
-41.98%24.88M
58.80%26.14M
58.80%26.14M
46.48%22.71M
40.17%17.03M
190.02%42.87M
-Cash and cash equivalents
-77.50%5.51M
-77.50%5.51M
-45.57%12.23M
-24.53%12.67M
-44.46%23.68M
60.51%24.46M
60.51%24.46M
54.68%22.46M
42.88%16.79M
192.13%42.63M
-Restricted cash and investments
-73.61%441K
-73.61%441K
2.03%251K
253.25%869K
388.21%1.2M
37.30%1.67M
37.30%1.67M
-74.90%246K
-38.96%246K
28.80%246K
Receivables
-13.73%1.29M
-13.73%1.29M
-16.46%1.65M
-22.67%1.48M
-14.72%1.4M
13.71%1.49M
13.71%1.49M
26.44%1.98M
57.98%1.91M
29.76%1.64M
-Accounts receivable
-4.24%1.29M
-4.24%1.29M
-9.34%1.34M
-11.19%1.21M
-2.97%1.24M
12.84%1.35M
12.84%1.35M
7.65%1.48M
19.23%1.36M
1.75%1.28M
-Other receivables
----
----
-37.63%310K
-50.91%271K
-56.20%159K
22.31%148K
22.31%148K
162.96%497K
688.57%552K
4,437.50%363K
Prepaid assets
-15.07%400K
-15.07%400K
-10.70%434K
8.73%386K
3.04%474K
-0.84%471K
-0.84%471K
-9.67%486K
-7.07%355K
-3.97%460K
Net loan
12.91%228.51M
12.91%228.51M
4.17%212.75M
5.98%210.78M
16.37%204.7M
16.21%202.38M
16.21%202.38M
18.25%204.23M
11.52%198.88M
-3.33%175.92M
-Gross loan
12.67%231.22M
12.67%231.22M
4.03%215.32M
5.89%213.36M
16.55%207.39M
16.40%205.22M
16.40%205.22M
18.41%206.98M
11.60%201.5M
-3.36%177.95M
-Allowance for loans and lease losses
-4.33%2.72M
-4.33%2.72M
-6.55%2.57M
-1.45%2.59M
32.14%2.69M
31.62%2.84M
31.62%2.84M
31.23%2.75M
18.14%2.63M
-5.83%2.04M
Securities and investments
-4.13%71.47M
-4.13%71.47M
-13.19%104.14M
-10.76%104.57M
-17.17%106.62M
-40.94%74.55M
-40.94%74.55M
-15.94%119.96M
-22.30%117.18M
-11.05%128.73M
-Short term investments
-4.13%71.47M
-4.13%71.47M
-13.19%104.14M
-10.76%104.57M
-17.17%106.62M
-40.94%74.55M
-40.94%74.55M
-15.94%119.96M
-22.30%117.18M
-11.05%128.73M
Bank owned life insurance
2.01%9.01M
2.01%9.01M
2.01%8.97M
2.02%8.92M
2.03%8.88M
2.04%8.83M
2.04%8.83M
2.03%8.79M
2.01%8.74M
1.97%8.7M
Net PPE
-9.07%2.44M
-9.07%2.44M
-9.55%2.46M
-9.11%2.58M
-10.89%2.61M
-12.08%2.68M
-12.08%2.68M
-14.29%2.72M
-13.52%2.83M
-7.66%2.93M
-Gross PPE
-4.03%15.63M
-4.03%15.63M
----
----
----
-0.80%16.28M
-0.80%16.28M
----
----
----
-Accumulated depreciation
3.04%-13.19M
3.04%-13.19M
----
----
----
-1.77%-13.61M
-1.77%-13.61M
----
----
----
Goodwill and other intangible assets
--317K
--317K
--317K
----
----
--0
--0
----
----
----
-Goodwill
--317K
--317K
--317K
----
----
--0
--0
----
----
----
Other assets
-2.50%33.02M
-2.50%33.02M
82.08%1.12M
-16.59%382K
-13.08%319K
149.21%33.87M
149.21%33.87M
62.86%614K
31.61%458K
10.21%367K
Total assets
0.27%359.92M
0.27%359.92M
-4.50%351.79M
-1.40%350.72M
-3.22%357.97M
2.03%358.96M
2.03%358.96M
3.66%368.36M
-2.17%355.72M
1.78%369.87M
Liabilities
Total deposits
7.50%332.38M
7.50%332.38M
4.71%329.07M
3.74%317.32M
2.60%317.26M
3.04%309.19M
3.04%309.19M
-0.18%314.27M
-7.09%305.87M
-9.85%309.23M
Current debt and capital lease obligation
-86.67%4M
-86.67%4M
--0
-56.67%13M
-50.00%20M
0.00%30M
0.00%30M
20.00%30M
100.00%30M
--40M
-Current debt
-86.67%4M
-86.67%4M
--0
-56.67%13M
-50.00%20M
0.00%30M
0.00%30M
20.00%30M
100.00%30M
--40M
Employee benefits
3.64%342K
3.64%342K
3.65%341K
3.66%340K
3.36%338K
1.85%330K
1.85%330K
2.17%329K
2.50%328K
2.83%327K
Other liabilities
9.07%1.77M
9.07%1.77M
-36.27%1.66M
-44.81%1.13M
-45.17%1.2M
-22.75%1.62M
-22.75%1.62M
27.30%2.6M
13.69%2.05M
18.26%2.18M
Total liabilities
-0.78%338.49M
-0.78%338.49M
-4.65%331.07M
-1.91%331.79M
-3.68%338.79M
2.60%341.14M
2.60%341.14M
1.46%347.2M
-2.34%338.25M
1.90%351.74M
Shareholders'equity
Share capital
0.65%2.92M
0.65%2.92M
0.65%2.92M
0.24%2.9M
0.48%2.9M
0.62%2.9M
0.62%2.9M
0.83%2.9M
0.73%2.89M
0.63%2.89M
-common stock
0.65%2.92M
0.65%2.92M
0.65%2.92M
0.24%2.9M
0.48%2.9M
0.62%2.9M
0.62%2.9M
0.83%2.9M
0.73%2.89M
0.63%2.89M
Paid-in capital
0.74%11.12M
0.74%11.12M
0.74%11.12M
0.21%11.04M
0.44%11.04M
0.67%11.04M
0.67%11.04M
0.89%11.04M
0.92%11.01M
0.93%10.99M
Retained earnings
-0.13%22.85M
-0.13%22.85M
0.12%22.95M
-1.12%22.82M
-2.29%23.04M
-4.09%22.88M
-4.09%22.88M
-4.42%22.92M
-2.68%23.08M
-0.64%23.58M
Gains losses not affecting retained earnings
19.04%-15.39M
19.04%-15.39M
-3.03%-16.17M
8.66%-17.83M
7.92%-17.79M
-3.38%-19M
-3.38%-19M
36.28%-15.7M
3.59%-19.52M
-0.38%-19.32M
Other equity interest
---81K
---81K
---84K
----
----
----
----
----
----
----
Total stockholders'equity
20.25%21.43M
20.25%21.43M
-2.04%20.73M
8.37%18.93M
5.80%19.18M
-7.80%17.82M
-7.80%17.82M
60.78%21.16M
1.23%17.47M
-0.58%18.13M
Total equity
20.25%21.43M
20.25%21.43M
-2.04%20.73M
8.37%18.93M
5.80%19.18M
-7.80%17.82M
-7.80%17.82M
60.78%21.16M
1.23%17.47M
-0.58%18.13M
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
--
--
--
--
(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 -77.25%5.95M-77.25%5.95M-45.05%12.48M-20.52%13.54M-41.98%24.88M58.80%26.14M58.80%26.14M46.48%22.71M40.17%17.03M190.02%42.87M
-Cash and cash equivalents -77.50%5.51M-77.50%5.51M-45.57%12.23M-24.53%12.67M-44.46%23.68M60.51%24.46M60.51%24.46M54.68%22.46M42.88%16.79M192.13%42.63M
-Restricted cash and investments -73.61%441K-73.61%441K2.03%251K253.25%869K388.21%1.2M37.30%1.67M37.30%1.67M-74.90%246K-38.96%246K28.80%246K
Receivables -13.73%1.29M-13.73%1.29M-16.46%1.65M-22.67%1.48M-14.72%1.4M13.71%1.49M13.71%1.49M26.44%1.98M57.98%1.91M29.76%1.64M
-Accounts receivable -4.24%1.29M-4.24%1.29M-9.34%1.34M-11.19%1.21M-2.97%1.24M12.84%1.35M12.84%1.35M7.65%1.48M19.23%1.36M1.75%1.28M
-Other receivables ---------37.63%310K-50.91%271K-56.20%159K22.31%148K22.31%148K162.96%497K688.57%552K4,437.50%363K
Prepaid assets -15.07%400K-15.07%400K-10.70%434K8.73%386K3.04%474K-0.84%471K-0.84%471K-9.67%486K-7.07%355K-3.97%460K
Net loan 12.91%228.51M12.91%228.51M4.17%212.75M5.98%210.78M16.37%204.7M16.21%202.38M16.21%202.38M18.25%204.23M11.52%198.88M-3.33%175.92M
-Gross loan 12.67%231.22M12.67%231.22M4.03%215.32M5.89%213.36M16.55%207.39M16.40%205.22M16.40%205.22M18.41%206.98M11.60%201.5M-3.36%177.95M
-Allowance for loans and lease losses -4.33%2.72M-4.33%2.72M-6.55%2.57M-1.45%2.59M32.14%2.69M31.62%2.84M31.62%2.84M31.23%2.75M18.14%2.63M-5.83%2.04M
Securities and investments -4.13%71.47M-4.13%71.47M-13.19%104.14M-10.76%104.57M-17.17%106.62M-40.94%74.55M-40.94%74.55M-15.94%119.96M-22.30%117.18M-11.05%128.73M
-Short term investments -4.13%71.47M-4.13%71.47M-13.19%104.14M-10.76%104.57M-17.17%106.62M-40.94%74.55M-40.94%74.55M-15.94%119.96M-22.30%117.18M-11.05%128.73M
Bank owned life insurance 2.01%9.01M2.01%9.01M2.01%8.97M2.02%8.92M2.03%8.88M2.04%8.83M2.04%8.83M2.03%8.79M2.01%8.74M1.97%8.7M
Net PPE -9.07%2.44M-9.07%2.44M-9.55%2.46M-9.11%2.58M-10.89%2.61M-12.08%2.68M-12.08%2.68M-14.29%2.72M-13.52%2.83M-7.66%2.93M
-Gross PPE -4.03%15.63M-4.03%15.63M-------------0.80%16.28M-0.80%16.28M------------
-Accumulated depreciation 3.04%-13.19M3.04%-13.19M-------------1.77%-13.61M-1.77%-13.61M------------
Goodwill and other intangible assets --317K--317K--317K----------0--0------------
-Goodwill --317K--317K--317K----------0--0------------
Other assets -2.50%33.02M-2.50%33.02M82.08%1.12M-16.59%382K-13.08%319K149.21%33.87M149.21%33.87M62.86%614K31.61%458K10.21%367K
Total assets 0.27%359.92M0.27%359.92M-4.50%351.79M-1.40%350.72M-3.22%357.97M2.03%358.96M2.03%358.96M3.66%368.36M-2.17%355.72M1.78%369.87M
Liabilities
Total deposits 7.50%332.38M7.50%332.38M4.71%329.07M3.74%317.32M2.60%317.26M3.04%309.19M3.04%309.19M-0.18%314.27M-7.09%305.87M-9.85%309.23M
Current debt and capital lease obligation -86.67%4M-86.67%4M--0-56.67%13M-50.00%20M0.00%30M0.00%30M20.00%30M100.00%30M--40M
-Current debt -86.67%4M-86.67%4M--0-56.67%13M-50.00%20M0.00%30M0.00%30M20.00%30M100.00%30M--40M
Employee benefits 3.64%342K3.64%342K3.65%341K3.66%340K3.36%338K1.85%330K1.85%330K2.17%329K2.50%328K2.83%327K
Other liabilities 9.07%1.77M9.07%1.77M-36.27%1.66M-44.81%1.13M-45.17%1.2M-22.75%1.62M-22.75%1.62M27.30%2.6M13.69%2.05M18.26%2.18M
Total liabilities -0.78%338.49M-0.78%338.49M-4.65%331.07M-1.91%331.79M-3.68%338.79M2.60%341.14M2.60%341.14M1.46%347.2M-2.34%338.25M1.90%351.74M
Shareholders'equity
Share capital 0.65%2.92M0.65%2.92M0.65%2.92M0.24%2.9M0.48%2.9M0.62%2.9M0.62%2.9M0.83%2.9M0.73%2.89M0.63%2.89M
-common stock 0.65%2.92M0.65%2.92M0.65%2.92M0.24%2.9M0.48%2.9M0.62%2.9M0.62%2.9M0.83%2.9M0.73%2.89M0.63%2.89M
Paid-in capital 0.74%11.12M0.74%11.12M0.74%11.12M0.21%11.04M0.44%11.04M0.67%11.04M0.67%11.04M0.89%11.04M0.92%11.01M0.93%10.99M
Retained earnings -0.13%22.85M-0.13%22.85M0.12%22.95M-1.12%22.82M-2.29%23.04M-4.09%22.88M-4.09%22.88M-4.42%22.92M-2.68%23.08M-0.64%23.58M
Gains losses not affecting retained earnings 19.04%-15.39M19.04%-15.39M-3.03%-16.17M8.66%-17.83M7.92%-17.79M-3.38%-19M-3.38%-19M36.28%-15.7M3.59%-19.52M-0.38%-19.32M
Other equity interest ---81K---81K---84K----------------------------
Total stockholders'equity 20.25%21.43M20.25%21.43M-2.04%20.73M8.37%18.93M5.80%19.18M-7.80%17.82M-7.80%17.82M60.78%21.16M1.23%17.47M-0.58%18.13M
Total equity 20.25%21.43M20.25%21.43M-2.04%20.73M8.37%18.93M5.80%19.18M-7.80%17.82M-7.80%17.82M60.78%21.16M1.23%17.47M-0.58%18.13M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------Unqualified Opinion--------
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