US Stock MarketDetailed Quotes

UCBIO United Community Banks Inc

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  • 23.880
  • 0.0000.00%
Close Aug 5 16:00 ET
0Market Cap0.00P/E (TTM)

United Community Banks Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q3)Sep 30, 2022
Assets
Cash cash equivalents and federal funds sold
-20.81%562.86M
23.69%961.93M
55.19%1B
55.19%1B
56.92%759.51M
-41.54%710.74M
-59.21%777.68M
-72.10%646.85M
-72.10%646.85M
-73.37%484.02M
-Cash and cash equivalents
-20.81%562.86M
23.69%961.93M
96.13%1B
96.13%1B
73.00%759.51M
-41.54%710.74M
-59.17%777.68M
-77.66%511.85M
-77.66%511.85M
-75.85%439.02M
-Money market investments
----
----
----
----
----
----
----
400.00%135M
400.00%135M
--45M
Receivables
----
----
20.57%87.78M
20.57%87.78M
----
----
----
69.32%72.81M
69.32%72.81M
----
-Accounts receivable
----
----
20.57%87.78M
20.57%87.78M
----
----
----
69.32%72.81M
69.32%72.81M
----
Net loan
4.74%18.05B
7.27%18.2B
19.45%18.14B
19.45%18.14B
22.24%18.04B
19.29%17.23B
19.01%16.97B
29.80%15.19B
29.80%15.19B
32.22%14.76B
-Gross loan
4.81%18.26B
7.40%18.41B
19.57%18.35B
19.57%18.35B
22.38%18.24B
19.48%17.42B
19.13%17.15B
30.02%15.35B
30.02%15.35B
32.37%14.9B
-Allowance for loans and lease losses
11.70%213.02M
19.49%210.93M
30.57%208.07M
30.57%208.07M
35.73%201.56M
39.28%190.71M
32.93%176.53M
55.42%159.36M
55.42%159.36M
49.07%148.5M
Securities and investments
2.09%6.04B
-0.96%5.86B
-6.52%5.82B
-6.52%5.82B
-12.82%5.7B
-11.51%5.91B
-7.72%5.92B
10.17%6.23B
10.17%6.23B
22.58%6.54B
-Held to maturity securities
-4.73%2.43B
-4.60%2.47B
-4.70%2.49B
-4.70%2.49B
-5.89%2.52B
-6.19%2.55B
3.32%2.58B
126.07%2.61B
126.07%2.61B
147.05%2.68B
-Short term investments
7.29%3.6B
1.87%3.39B
-7.84%3.33B
-7.84%3.33B
-17.62%3.18B
-15.16%3.36B
-14.79%3.33B
-19.62%3.61B
-19.62%3.61B
-9.14%3.86B
Derivative assets
----
----
-0.56%50.35M
-0.56%50.35M
----
----
----
19.20%50.64M
19.20%50.64M
----
Bank owned life insurance
0.35%344.16M
0.35%342.49M
15.39%345.37M
15.39%345.37M
14.74%344.65M
14.66%342.97M
14.83%341.29M
37.47%299.3M
37.47%299.3M
47.03%300.37M
Net PPE
11.85%395.2M
14.69%386.05M
26.79%378.42M
26.79%378.42M
28.70%371.44M
23.43%353.32M
18.71%336.62M
21.67%298.46M
21.67%298.46M
28.07%288.6M
-Gross PPE
----
----
20.55%556.28M
20.55%556.28M
----
----
----
16.92%461.44M
16.92%461.44M
----
-Accumulated depreciation
----
----
-9.12%-177.86M
-9.12%-177.86M
----
----
----
-9.12%-162.99M
-9.12%-162.99M
----
Goodwill and other intangible assets
2.17%978.65M
2.74%987.54M
27.06%990.09M
27.06%990.09M
27.31%994.14M
22.40%957.82M
22.56%961.24M
64.95%779.25M
64.95%779.25M
94.73%780.87M
-Goodwill
----
2.74%921.25M
22.46%919.91M
22.46%919.91M
--919.91M
--896.72M
--896.72M
66.19%751.17M
66.19%751.17M
----
-Other intangible assets
----
2.73%66.29M
149.96%70.17M
149.96%70.17M
--74.23M
--61.11M
--64.53M
37.62%28.07M
37.62%28.07M
----
Other assets
13.25%691.13M
9.64%626.3M
14.93%362.53M
14.93%362.53M
22.55%660.23M
21.65%610.29M
31.69%571.24M
49.35%315.42M
49.35%315.42M
161.96%538.77M
Total assets
3.59%27.06B
5.77%27.36B
13.70%27.3B
13.70%27.3B
13.43%26.87B
7.88%26.12B
6.14%25.87B
14.62%24.01B
14.62%24.01B
21.59%23.69B
Liabilities
Total deposits
3.28%22.98B
6.03%23.33B
17.28%23.31B
17.28%23.31B
12.48%22.86B
6.61%22.25B
4.50%22B
8.97%19.88B
8.97%19.88B
20.49%20.32B
Federal funds purchased and securities sold under agreement to repurchase
----
----
----
----
----
----
----
--158.93M
--158.93M
----
Current debt and capital lease obligation
----
----
----
----
--37.35M
--0
--7.22M
----
----
----
-Current debt
----
----
----
----
--37.35M
--0
--7.22M
----
----
----
Long term debt and capital lease obligation
0.04%324.89M
-8.42%324.85M
-62.86%324.82M
-62.86%324.82M
0.08%324.79M
0.12%324.75M
9.41%354.73M
253.60%874.66M
253.60%874.66M
31.31%324.52M
-Long term debt
0.04%324.89M
-8.42%324.85M
-62.86%324.82M
-62.86%324.82M
0.08%324.79M
0.12%324.75M
9.41%354.73M
253.60%874.66M
253.60%874.66M
31.31%324.52M
Derivative product liabilities
----
----
-14.80%84.81M
-14.80%84.81M
----
----
----
295.88%99.54M
295.88%99.54M
----
Other liabilities
-6.92%407.56M
-4.49%407.92M
5.67%315.48M
5.67%315.48M
14.21%465.38M
20.20%437.86M
42.94%427.11M
41.61%298.56M
41.61%298.56M
85.07%407.49M
Total liabilities
3.04%23.71B
5.58%24.06B
12.80%24.04B
12.80%24.04B
12.50%23.69B
6.74%23.01B
5.14%22.79B
13.80%21.31B
13.80%21.31B
21.28%21.05B
Shareholders'equity
Share capital
-1.89%207.44M
-1.97%207.4M
2.29%207.28M
2.29%207.28M
3.29%209.26M
4.43%211.43M
4.51%211.57M
9.08%202.65M
9.08%202.65M
10.71%202.59M
-common stock
3.39%119.18M
3.46%119.14M
12.04%119.01M
12.04%119.01M
12.07%118.98M
8.71%115.27M
8.61%115.15M
18.88%106.22M
18.88%106.22M
22.65%106.16M
-Preferred stock
-8.21%88.27M
-8.46%88.27M
-8.46%88.27M
-8.46%88.27M
-6.37%90.28M
-0.27%96.17M
0.00%96.42M
0.00%96.42M
0.00%96.42M
0.00%96.42M
Paid-in capital
3.63%2.71B
3.70%2.7B
17.03%2.7B
17.03%2.7B
17.06%2.7B
13.27%2.61B
13.21%2.61B
34.01%2.31B
34.01%2.31B
41.23%2.3B
Retained earnings
12.98%652.24M
13.27%614.61M
14.22%581.22M
14.22%581.22M
31.77%596.62M
45.43%577.32M
53.10%542.61M
53.89%508.84M
53.89%508.84M
51.69%452.79M
Gains losses not affecting retained earnings
23.33%-234.54M
19.63%-236.64M
27.40%-239.19M
27.40%-239.19M
1.38%-332.51M
-15.79%-305.91M
-67.92%-294.44M
-1,144.48%-329.49M
-1,144.48%-329.49M
-17,341.44%-337.14M
Other equity interest
-0.68%12.15M
-0.45%11.92M
6.52%13.11M
6.52%13.11M
6.82%12.78M
6.81%12.23M
5.89%11.98M
9.03%12.31M
9.03%12.31M
7.82%11.97M
Total stockholders'equity
7.63%3.34B
7.21%3.3B
20.77%3.26B
20.77%3.26B
20.84%3.18B
17.14%3.11B
14.22%3.08B
21.53%2.7B
21.53%2.7B
24.14%2.63B
Total equity
7.63%3.34B
7.21%3.3B
20.77%3.26B
20.77%3.26B
20.84%3.18B
17.14%3.11B
14.22%3.08B
21.53%2.7B
21.53%2.7B
24.14%2.63B
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
--
--
(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(Q3)Sep 30, 2022
Assets
Cash cash equivalents and federal funds sold -20.81%562.86M23.69%961.93M55.19%1B55.19%1B56.92%759.51M-41.54%710.74M-59.21%777.68M-72.10%646.85M-72.10%646.85M-73.37%484.02M
-Cash and cash equivalents -20.81%562.86M23.69%961.93M96.13%1B96.13%1B73.00%759.51M-41.54%710.74M-59.17%777.68M-77.66%511.85M-77.66%511.85M-75.85%439.02M
-Money market investments ----------------------------400.00%135M400.00%135M--45M
Receivables --------20.57%87.78M20.57%87.78M------------69.32%72.81M69.32%72.81M----
-Accounts receivable --------20.57%87.78M20.57%87.78M------------69.32%72.81M69.32%72.81M----
Net loan 4.74%18.05B7.27%18.2B19.45%18.14B19.45%18.14B22.24%18.04B19.29%17.23B19.01%16.97B29.80%15.19B29.80%15.19B32.22%14.76B
-Gross loan 4.81%18.26B7.40%18.41B19.57%18.35B19.57%18.35B22.38%18.24B19.48%17.42B19.13%17.15B30.02%15.35B30.02%15.35B32.37%14.9B
-Allowance for loans and lease losses 11.70%213.02M19.49%210.93M30.57%208.07M30.57%208.07M35.73%201.56M39.28%190.71M32.93%176.53M55.42%159.36M55.42%159.36M49.07%148.5M
Securities and investments 2.09%6.04B-0.96%5.86B-6.52%5.82B-6.52%5.82B-12.82%5.7B-11.51%5.91B-7.72%5.92B10.17%6.23B10.17%6.23B22.58%6.54B
-Held to maturity securities -4.73%2.43B-4.60%2.47B-4.70%2.49B-4.70%2.49B-5.89%2.52B-6.19%2.55B3.32%2.58B126.07%2.61B126.07%2.61B147.05%2.68B
-Short term investments 7.29%3.6B1.87%3.39B-7.84%3.33B-7.84%3.33B-17.62%3.18B-15.16%3.36B-14.79%3.33B-19.62%3.61B-19.62%3.61B-9.14%3.86B
Derivative assets ---------0.56%50.35M-0.56%50.35M------------19.20%50.64M19.20%50.64M----
Bank owned life insurance 0.35%344.16M0.35%342.49M15.39%345.37M15.39%345.37M14.74%344.65M14.66%342.97M14.83%341.29M37.47%299.3M37.47%299.3M47.03%300.37M
Net PPE 11.85%395.2M14.69%386.05M26.79%378.42M26.79%378.42M28.70%371.44M23.43%353.32M18.71%336.62M21.67%298.46M21.67%298.46M28.07%288.6M
-Gross PPE --------20.55%556.28M20.55%556.28M------------16.92%461.44M16.92%461.44M----
-Accumulated depreciation ---------9.12%-177.86M-9.12%-177.86M-------------9.12%-162.99M-9.12%-162.99M----
Goodwill and other intangible assets 2.17%978.65M2.74%987.54M27.06%990.09M27.06%990.09M27.31%994.14M22.40%957.82M22.56%961.24M64.95%779.25M64.95%779.25M94.73%780.87M
-Goodwill ----2.74%921.25M22.46%919.91M22.46%919.91M--919.91M--896.72M--896.72M66.19%751.17M66.19%751.17M----
-Other intangible assets ----2.73%66.29M149.96%70.17M149.96%70.17M--74.23M--61.11M--64.53M37.62%28.07M37.62%28.07M----
Other assets 13.25%691.13M9.64%626.3M14.93%362.53M14.93%362.53M22.55%660.23M21.65%610.29M31.69%571.24M49.35%315.42M49.35%315.42M161.96%538.77M
Total assets 3.59%27.06B5.77%27.36B13.70%27.3B13.70%27.3B13.43%26.87B7.88%26.12B6.14%25.87B14.62%24.01B14.62%24.01B21.59%23.69B
Liabilities
Total deposits 3.28%22.98B6.03%23.33B17.28%23.31B17.28%23.31B12.48%22.86B6.61%22.25B4.50%22B8.97%19.88B8.97%19.88B20.49%20.32B
Federal funds purchased and securities sold under agreement to repurchase ------------------------------158.93M--158.93M----
Current debt and capital lease obligation ------------------37.35M--0--7.22M------------
-Current debt ------------------37.35M--0--7.22M------------
Long term debt and capital lease obligation 0.04%324.89M-8.42%324.85M-62.86%324.82M-62.86%324.82M0.08%324.79M0.12%324.75M9.41%354.73M253.60%874.66M253.60%874.66M31.31%324.52M
-Long term debt 0.04%324.89M-8.42%324.85M-62.86%324.82M-62.86%324.82M0.08%324.79M0.12%324.75M9.41%354.73M253.60%874.66M253.60%874.66M31.31%324.52M
Derivative product liabilities ---------14.80%84.81M-14.80%84.81M------------295.88%99.54M295.88%99.54M----
Other liabilities -6.92%407.56M-4.49%407.92M5.67%315.48M5.67%315.48M14.21%465.38M20.20%437.86M42.94%427.11M41.61%298.56M41.61%298.56M85.07%407.49M
Total liabilities 3.04%23.71B5.58%24.06B12.80%24.04B12.80%24.04B12.50%23.69B6.74%23.01B5.14%22.79B13.80%21.31B13.80%21.31B21.28%21.05B
Shareholders'equity
Share capital -1.89%207.44M-1.97%207.4M2.29%207.28M2.29%207.28M3.29%209.26M4.43%211.43M4.51%211.57M9.08%202.65M9.08%202.65M10.71%202.59M
-common stock 3.39%119.18M3.46%119.14M12.04%119.01M12.04%119.01M12.07%118.98M8.71%115.27M8.61%115.15M18.88%106.22M18.88%106.22M22.65%106.16M
-Preferred stock -8.21%88.27M-8.46%88.27M-8.46%88.27M-8.46%88.27M-6.37%90.28M-0.27%96.17M0.00%96.42M0.00%96.42M0.00%96.42M0.00%96.42M
Paid-in capital 3.63%2.71B3.70%2.7B17.03%2.7B17.03%2.7B17.06%2.7B13.27%2.61B13.21%2.61B34.01%2.31B34.01%2.31B41.23%2.3B
Retained earnings 12.98%652.24M13.27%614.61M14.22%581.22M14.22%581.22M31.77%596.62M45.43%577.32M53.10%542.61M53.89%508.84M53.89%508.84M51.69%452.79M
Gains losses not affecting retained earnings 23.33%-234.54M19.63%-236.64M27.40%-239.19M27.40%-239.19M1.38%-332.51M-15.79%-305.91M-67.92%-294.44M-1,144.48%-329.49M-1,144.48%-329.49M-17,341.44%-337.14M
Other equity interest -0.68%12.15M-0.45%11.92M6.52%13.11M6.52%13.11M6.82%12.78M6.81%12.23M5.89%11.98M9.03%12.31M9.03%12.31M7.82%11.97M
Total stockholders'equity 7.63%3.34B7.21%3.3B20.77%3.26B20.77%3.26B20.84%3.18B17.14%3.11B14.22%3.08B21.53%2.7B21.53%2.7B24.14%2.63B
Total equity 7.63%3.34B7.21%3.3B20.77%3.26B20.77%3.26B20.84%3.18B17.14%3.11B14.22%3.08B21.53%2.7B21.53%2.7B24.14%2.63B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

Analysis

Analyst Rating

No Data

Price Target

No Data

Heat List
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