(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 | 1.75%276.22M | -17.40%245.8M | -12.60%257.89M | 29.48%254.44M | 29.48%254.44M | 64.29%271.48M | 73.40%297.57M | -35.02%295.07M | -49.22%196.51M | -49.22%196.51M |
-Cash and cash equivalents | 1.75%276.22M | -17.40%245.8M | -12.60%257.89M | 29.48%254.44M | 29.48%254.44M | 64.29%271.48M | 73.79%297.57M | -34.84%295.07M | -49.02%196.51M | -49.02%196.51M |
Receivables | 28.73%25.72M | 8.94%21.33M | 22.49%22.15M | 21.39%20.99M | 21.39%20.99M | 15.70%19.98M | 10.94%19.58M | 11.26%18.09M | 20.35%17.29M | 20.35%17.29M |
-Accounts receivable | -9.49%15.32M | 1.27%16.46M | 7.71%16.9M | 7.87%16.52M | 7.87%16.52M | 17.55%16.93M | 24.28%16.25M | 16.96%15.69M | 23.35%15.32M | 23.35%15.32M |
-Other receivables | 240.66%10.4M | 46.35%4.88M | 119.28%5.25M | 126.41%4.47M | 126.41%4.47M | 6.42%3.05M | -27.19%3.33M | -15.66%2.4M | 1.23%1.97M | 1.23%1.97M |
Net loan | -5.64%2.38B | -1.51%2.46B | 0.09%2.46B | 2.08%2.51B | 2.08%2.51B | 7.30%2.52B | 15.52%2.49B | 26.52%2.46B | 25.28%2.46B | 25.28%2.46B |
-Gross loan | -5.76%2.4B | -1.29%2.48B | 0.29%2.49B | 2.34%2.54B | 2.34%2.54B | 7.39%2.54B | 15.58%2.52B | 26.17%2.48B | 24.96%2.48B | 24.96%2.48B |
-Allowance for loans and lease losses | -18.90%18.8M | 23.93%27.32M | 24.12%24.63M | 39.27%23.93M | 39.27%23.93M | 44.11%23.18M | 53.54%22.04M | 42.91%19.84M | 25.13%17.18M | 25.13%17.18M |
Securities and investments | -5.01%82.49M | -1.38%89.73M | -17.27%76.76M | -7.84%81.26M | -7.84%81.26M | -10.51%86.84M | -0.43%90.99M | 53.76%92.79M | 51.63%88.17M | 51.63%88.17M |
-Available for sale securities | -49.17%5.75M | -20.08%10.8M | -66.26%4.46M | 0.63%7.16M | 0.63%7.16M | -11.56%11.31M | 210.62%13.52M | 717.69%13.22M | 175.15%7.11M | 175.15%7.11M |
-Held to maturity securities | 1.60%76.75M | 1.88%78.93M | -9.13%72.3M | -8.58%74.1M | -8.58%74.1M | -10.35%75.54M | -10.98%77.47M | --79.57M | --81.06M | --81.06M |
Bank owned life insurance | 2.56%16.85M | 2.50%16.74M | 2.42%16.64M | 2.34%16.53M | 2.34%16.53M | 2.27%16.43M | 2.23%16.33M | 2.22%16.24M | 2.21%16.15M | 2.21%16.15M |
Net PPE | -4.17%24.35M | -3.20%24.66M | -2.02%24.87M | 0.55%25.26M | 0.55%25.26M | 3.01%25.41M | 5.10%25.47M | 7.83%25.38M | 4.76%25.12M | 4.76%25.12M |
-Gross PPE | ---- | ---- | ---- | 6.30%38.13M | 6.30%38.13M | ---- | ---- | ---- | 3.12%35.86M | 3.12%35.86M |
-Accumulated depreciation | ---- | ---- | ---- | -19.76%-12.87M | -19.76%-12.87M | ---- | ---- | ---- | 0.52%-10.75M | 0.52%-10.75M |
Foreclosed assets | --37.04M | --11.42M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Goodwill and other intangible assets | -0.73%31.68M | -0.74%31.74M | -0.76%31.8M | -0.78%31.85M | -0.78%31.85M | -0.82%31.92M | -0.87%31.98M | -0.91%32.04M | 0.63%32.1M | 0.63%32.1M |
-Goodwill | --30.4M | --30.4M | --30.4M | 0.00%30.4M | 0.00%30.4M | ---- | ---- | ---- | -0.61%30.4M | -0.61%30.4M |
-Other intangible assets | --1.28M | --1.34M | -95.64%1.4M | -14.67%1.45M | -14.67%1.45M | ---- | ---- | -0.91%32.04M | 29.68%1.7M | 29.68%1.7M |
Other assets | 47.18%36.33M | 48.06%34.41M | 52.11%35.05M | 14.13%24.49M | 14.13%24.49M | 16.35%24.68M | 5.83%23.24M | 0.45%23.04M | -8.02%21.46M | -8.02%21.46M |
Total assets | -3.02%2.91B | -2.27%2.94B | -1.22%2.93B | 3.79%2.98B | 3.79%2.98B | 10.04%3B | 18.26%3.01B | 15.21%2.97B | 13.42%2.87B | 13.42%2.87B |
Liabilities | ||||||||||
Total deposits | 3.43%2.5B | 1.49%2.41B | 5.85%2.53B | 5.15%2.53B | 5.15%2.53B | 11.65%2.42B | 9.47%2.38B | 5.27%2.39B | 9.05%2.41B | 9.05%2.41B |
Payables | 4.25%3.34M | 25.45%2.24M | 35.22%2.42M | 237.16%3.79M | 237.16%3.79M | 382.38%3.2M | 488.16%1.79M | 472.44%1.79M | 216.90%1.13M | 216.90%1.13M |
-Accounts payable | 4.25%3.34M | 25.45%2.24M | 35.22%2.42M | 237.16%3.79M | 237.16%3.79M | 382.38%3.2M | 488.16%1.79M | 472.44%1.79M | 216.90%1.13M | 216.90%1.13M |
Long term debt and capital lease obligation | -63.20%114.88M | -33.13%243.96M | -61.13%121.88M | -10.54%178.05M | -10.54%178.05M | 2.09%312.21M | 204.59%364.82M | 421.73%313.55M | 156.27%199.02M | 156.27%199.02M |
-Long term debt | -63.20%114.88M | -33.13%243.96M | -61.13%121.88M | -10.54%178.05M | -10.54%178.05M | 2.09%312.21M | 204.59%364.82M | 421.73%313.55M | 156.27%199.02M | 156.27%199.02M |
Other liabilities | 98.41%41.84M | 56.97%33.59M | 42.03%30.42M | 6.48%21.84M | 6.48%21.84M | 5.88%21.09M | -8.52%21.4M | 2.63%21.42M | -17.06%20.51M | -17.06%20.51M |
Total liabilities | -3.39%2.66B | -2.63%2.69B | -1.54%2.69B | 4.07%2.73B | 4.07%2.73B | 10.53%2.76B | 19.45%2.76B | 15.95%2.73B | 13.75%2.63B | 13.75%2.63B |
Shareholders'equity | ||||||||||
Share capital | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 |
-Preferred stock | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 |
Paid-in capital | 0.36%193.27M | 0.48%192.89M | 0.43%192.72M | 1.26%192.89M | 1.26%192.89M | 1.33%192.57M | 1.31%191.97M | 1.38%191.9M | 0.99%190.49M | 0.99%190.49M |
Retained earnings | 4.62%56.77M | 6.82%54.63M | 7.90%53.56M | -1.63%51.04M | -1.63%51.04M | 16.90%54.26M | 27.24%51.14M | 38.99%49.64M | 71.87%51.89M | 71.87%51.89M |
Gains losses not affecting retained earnings | -109.34%-1.21M | 25.32%-649K | 56.12%-753K | 21.03%-1.2M | 21.03%-1.2M | 63.69%-578K | 47.81%-869K | 0.81%-1.72M | -780.27%-1.52M | -780.27%-1.52M |
Total stockholders'equity | 1.05%248.83M | 1.91%246.88M | 2.38%245.53M | 0.78%242.74M | 0.78%242.74M | 4.85%246.26M | 6.24%242.24M | 7.42%239.82M | 9.96%240.86M | 9.96%240.86M |
Total equity | 1.05%248.83M | 1.91%246.88M | 2.38%245.53M | 0.78%242.74M | 0.78%242.74M | 4.85%246.26M | 6.24%242.24M | 7.42%239.82M | 9.96%240.86M | 9.96%240.86M |
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 | -- |
No Data