US Stock MarketDetailed Quotes

BANC Banc of California

Watchlist
  • 15.990
  • +0.290+1.85%
Close Jan 24 16:00 ET
  • 15.990
  • 0.0000.00%
Post 20:01 ET
2.70BMarket Cap30.75P/E (TTM)

Banc of California Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(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
Assets
Cash cash equivalents and federal funds sold
-53.47%2.5B
-53.47%2.5B
721.33%2.55B
851.19%2.7B
205.18%3.09B
140.05%5.38B
140.05%5.38B
21.45%310.99M
16.73%283.73M
297.63%1.01B
-Cash and cash equivalents
-53.47%2.5B
-53.47%2.5B
721.33%2.55B
851.19%2.7B
205.18%3.09B
140.05%5.38B
140.05%5.38B
21.45%310.99M
16.73%283.73M
297.63%1.01B
Receivables
----
----
--155.31M
--159.08M
--164.35M
-30.05%172.79M
-30.05%172.79M
----
----
----
-Accounts receivable
----
----
--129M
--134.36M
--138.26M
-11.83%138.52M
-11.83%138.52M
----
----
----
-Other receivables
----
----
--26.31M
--24.71M
--26.09M
-61.89%34.27M
-61.89%34.27M
----
----
----
Prepaid assets
----
----
--37.64M
--42.29M
--43.41M
62.60%43.5M
62.60%43.5M
----
----
----
Net loan
-6.96%23.57B
-6.96%23.57B
238.37%23.3B
252.16%24.92B
262.45%25.26B
-11.04%25.33B
-11.04%25.33B
-4.31%6.89B
-3.83%7.08B
-5.28%6.97B
-Gross loan
-7.21%23.81B
-7.21%23.81B
241.56%23.78B
255.05%25.41B
266.25%25.84B
-10.88%25.66B
-10.88%25.66B
-4.50%6.96B
-3.96%7.16B
-5.33%7.05B
-Allowance for loans and lease losses
-15.03%239.36M
-15.03%239.36M
241.91%254.35M
206.32%247.76M
244.73%291.5M
40.33%281.69M
40.33%281.69M
-19.53%74.39M
-13.76%80.88M
-9.30%84.56M
-Unearned income
----
----
---219.92M
---244.01M
---282.94M
61.46%-45.04M
61.46%-45.04M
----
----
----
Securities and investments
-3.62%4.55B
-3.62%4.55B
277.31%4.69B
270.27%4.63B
262.73%4.67B
-34.17%4.72B
-34.17%4.72B
5.70%1.24B
4.67%1.25B
4.79%1.29B
-Available for sale securities
----
----
--89.67M
--89.5M
--89.51M
41.87%89.78M
41.87%89.78M
----
----
----
-Held to maturity securities
0.82%2.31B
0.82%2.31B
600.99%2.3B
599.35%2.3B
597.67%2.29B
0.80%2.29B
0.80%2.29B
-0.14%328.29M
-0.26%328.41M
-0.26%328.52M
-Short term investments
-4.26%2.25B
-4.26%2.25B
151.38%2.3B
143.36%2.24B
138.59%2.29B
-51.55%2.35B
-51.55%2.35B
7.96%915.05M
6.55%922.09M
6.64%958.43M
Long term equity investment
----
----
--419.26M
--432.4M
--448.57M
15.90%452.91M
15.90%452.91M
----
----
----
Federal home loan bank stock
16.96%147.77M
16.96%147.77M
140.52%145.12M
119.60%132.38M
83.86%129.31M
268.46%126.35M
268.46%126.35M
10.85%60.34M
17.08%60.28M
36.69%70.33M
Derivative assets
----
----
-95.33%3.3M
--3.56M
--3.71M
-8.87%3.69M
-8.87%3.69M
--70.63M
----
----
Bank owned life insurance
-0.04%339.52M
-0.04%339.52M
164.13%343.21M
165.00%341.78M
166.99%341.81M
63.45%339.64M
63.45%339.64M
2.96%129.94M
2.91%128.97M
2.82%128.02M
Net PPE
-27.96%449.73M
-27.96%449.73M
415.27%562.37M
450.25%595.56M
464.56%610.22M
6.74%624.25M
6.74%624.25M
-20.94%109.14M
-23.32%108.24M
-24.83%108.09M
-Gross PPE
-37.45%449.73M
-37.45%449.73M
--562.37M
--595.56M
--610.22M
5.77%719M
5.77%719M
----
----
----
-Accumulated depreciation
----
----
----
----
----
0.23%-94.75M
0.23%-94.75M
----
----
----
Foreclosed assets
----
----
--8.66M
--13.3M
--12.49M
47.23%7.39M
47.23%7.39M
----
----
----
Goodwill and other intangible assets
-4.57%347.47M
-4.57%347.47M
196.65%357.33M
201.72%364.82M
193.18%355.85M
-74.14%364.1M
-74.14%364.1M
-1.58%120.45M
21.15%120.92M
21.24%121.38M
-Goodwill
8.00%214.52M
8.00%214.52M
89.63%216.77M
88.89%215.93M
73.76%198.63M
-85.57%198.63M
-85.57%198.63M
0.00%114.31M
20.17%114.31M
20.17%114.31M
-Other intangible assets
-19.66%132.94M
-19.66%132.94M
2,188.54%140.56M
2,154.94%148.89M
2,125.42%157.23M
427.32%165.48M
427.32%165.48M
-23.99%6.14M
41.18%6.6M
41.58%7.07M
Other assets
300.74%913.95M
300.74%913.95M
-44.71%146.04M
-37.30%174.49M
-28.36%206.97M
53.24%228.07M
53.24%228.07M
22.26%264.15M
34.74%278.31M
17.82%288.91M
Total assets
-12.95%33.54B
-12.95%33.54B
261.55%33.43B
276.12%35.24B
259.34%36.07B
-6.54%38.53B
-6.54%38.53B
-1.30%9.25B
-1.39%9.37B
4.75%10.04B
Liabilities
Total deposits
-10.56%27.19B
-10.56%27.19B
304.00%26.83B
319.21%28.8B
315.60%28.89B
-10.42%30.4B
-10.42%30.4B
-8.79%6.64B
-9.10%6.87B
-7.06%6.95B
Current debt and capital lease obligation
----
----
--0
--545M
--1.55B
--2.62B
--2.62B
--185.8M
----
----
-Current debt
----
----
--0
--545M
--1.55B
--2.62B
--2.62B
--185.8M
----
----
Long term debt and capital lease obligation
89.79%2.33B
89.79%2.33B
97.57%2.53B
29.04%1.84B
-23.68%1.53B
-53.27%1.23B
-53.27%1.23B
22.53%1.28B
54.28%1.42B
130.74%2.01B
-Long term debt
89.79%2.33B
89.79%2.33B
97.57%2.53B
29.04%1.84B
-23.68%1.53B
-53.27%1.23B
-53.27%1.23B
26.77%1.28B
60.82%1.42B
141.64%2.01B
Other liabilities
-42.11%517.27M
-42.11%517.27M
321.10%574.16M
442.74%651.38M
489.71%709.74M
25.69%893.61M
25.69%893.61M
57.64%136.35M
73.19%120.02M
97.78%120.36M
Total liabilities
-14.51%30.04B
-14.51%30.04B
263.07%29.94B
278.40%31.84B
259.91%32.68B
-5.73%35.14B
-5.73%35.14B
-2.03%8.25B
-1.63%8.41B
5.53%9.08B
Shareholders'equity
Share capital
-0.00%500.21M
-0.00%500.21M
75,919.00%500.21M
75,919.00%500.21M
75,919.00%500.21M
0.09%500.21M
0.09%500.21M
0.15%658K
0.92%658K
1.08%658K
-common stock
-0.06%1.69M
-0.06%1.69M
156.69%1.69M
156.69%1.69M
156.69%1.69M
37.40%1.69M
37.40%1.69M
0.15%658K
0.92%658K
1.08%658K
-Preferred stock
0.00%498.52M
0.00%498.52M
--498.52M
--498.52M
--498.52M
0.00%498.52M
0.00%498.52M
----
----
----
Paid-in capital
-1.44%3.79B
-1.44%3.79B
337.27%3.8B
339.32%3.81B
341.85%3.83B
36.15%3.84B
36.15%3.84B
0.55%869.57M
1.39%867.99M
1.30%866.31M
Retained earnings
16.80%-431.2M
16.80%-431.2M
-253.15%-478.17M
-273.19%-477.01M
-288.75%-497.4M
-136.48%-518.3M
-136.48%-518.3M
35.11%312.22M
30.86%275.43M
40.58%263.52M
Less: Treasury stock
----
----
----
----
----
----
----
41.55%137.27M
63.39%137.27M
168.35%121.09M
Gains losses not affecting retained earnings
17.90%-354.78M
17.90%-354.78M
-655.18%-328.15M
-761.49%-428.66M
-764.42%-436.44M
45.36%-432.11M
45.36%-432.11M
8.67%-43.45M
-46.09%-49.76M
-163.35%-50.49M
Total stockholders'equity
3.22%3.5B
3.22%3.5B
249.02%3.5B
256.08%3.41B
253.96%3.39B
-14.17%3.39B
-14.17%3.39B
5.22%1B
0.83%957.05M
-2.05%958.91M
Total equity
3.22%3.5B
3.22%3.5B
249.02%3.5B
256.08%3.41B
253.96%3.39B
-14.17%3.39B
-14.17%3.39B
5.22%1B
0.83%957.05M
-2.05%958.91M
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
(FY)Dec 31, 2024(Q4)Dec 31, 2024(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
Assets
Cash cash equivalents and federal funds sold -53.47%2.5B-53.47%2.5B721.33%2.55B851.19%2.7B205.18%3.09B140.05%5.38B140.05%5.38B21.45%310.99M16.73%283.73M297.63%1.01B
-Cash and cash equivalents -53.47%2.5B-53.47%2.5B721.33%2.55B851.19%2.7B205.18%3.09B140.05%5.38B140.05%5.38B21.45%310.99M16.73%283.73M297.63%1.01B
Receivables ----------155.31M--159.08M--164.35M-30.05%172.79M-30.05%172.79M------------
-Accounts receivable ----------129M--134.36M--138.26M-11.83%138.52M-11.83%138.52M------------
-Other receivables ----------26.31M--24.71M--26.09M-61.89%34.27M-61.89%34.27M------------
Prepaid assets ----------37.64M--42.29M--43.41M62.60%43.5M62.60%43.5M------------
Net loan -6.96%23.57B-6.96%23.57B238.37%23.3B252.16%24.92B262.45%25.26B-11.04%25.33B-11.04%25.33B-4.31%6.89B-3.83%7.08B-5.28%6.97B
-Gross loan -7.21%23.81B-7.21%23.81B241.56%23.78B255.05%25.41B266.25%25.84B-10.88%25.66B-10.88%25.66B-4.50%6.96B-3.96%7.16B-5.33%7.05B
-Allowance for loans and lease losses -15.03%239.36M-15.03%239.36M241.91%254.35M206.32%247.76M244.73%291.5M40.33%281.69M40.33%281.69M-19.53%74.39M-13.76%80.88M-9.30%84.56M
-Unearned income -----------219.92M---244.01M---282.94M61.46%-45.04M61.46%-45.04M------------
Securities and investments -3.62%4.55B-3.62%4.55B277.31%4.69B270.27%4.63B262.73%4.67B-34.17%4.72B-34.17%4.72B5.70%1.24B4.67%1.25B4.79%1.29B
-Available for sale securities ----------89.67M--89.5M--89.51M41.87%89.78M41.87%89.78M------------
-Held to maturity securities 0.82%2.31B0.82%2.31B600.99%2.3B599.35%2.3B597.67%2.29B0.80%2.29B0.80%2.29B-0.14%328.29M-0.26%328.41M-0.26%328.52M
-Short term investments -4.26%2.25B-4.26%2.25B151.38%2.3B143.36%2.24B138.59%2.29B-51.55%2.35B-51.55%2.35B7.96%915.05M6.55%922.09M6.64%958.43M
Long term equity investment ----------419.26M--432.4M--448.57M15.90%452.91M15.90%452.91M------------
Federal home loan bank stock 16.96%147.77M16.96%147.77M140.52%145.12M119.60%132.38M83.86%129.31M268.46%126.35M268.46%126.35M10.85%60.34M17.08%60.28M36.69%70.33M
Derivative assets ---------95.33%3.3M--3.56M--3.71M-8.87%3.69M-8.87%3.69M--70.63M--------
Bank owned life insurance -0.04%339.52M-0.04%339.52M164.13%343.21M165.00%341.78M166.99%341.81M63.45%339.64M63.45%339.64M2.96%129.94M2.91%128.97M2.82%128.02M
Net PPE -27.96%449.73M-27.96%449.73M415.27%562.37M450.25%595.56M464.56%610.22M6.74%624.25M6.74%624.25M-20.94%109.14M-23.32%108.24M-24.83%108.09M
-Gross PPE -37.45%449.73M-37.45%449.73M--562.37M--595.56M--610.22M5.77%719M5.77%719M------------
-Accumulated depreciation --------------------0.23%-94.75M0.23%-94.75M------------
Foreclosed assets ----------8.66M--13.3M--12.49M47.23%7.39M47.23%7.39M------------
Goodwill and other intangible assets -4.57%347.47M-4.57%347.47M196.65%357.33M201.72%364.82M193.18%355.85M-74.14%364.1M-74.14%364.1M-1.58%120.45M21.15%120.92M21.24%121.38M
-Goodwill 8.00%214.52M8.00%214.52M89.63%216.77M88.89%215.93M73.76%198.63M-85.57%198.63M-85.57%198.63M0.00%114.31M20.17%114.31M20.17%114.31M
-Other intangible assets -19.66%132.94M-19.66%132.94M2,188.54%140.56M2,154.94%148.89M2,125.42%157.23M427.32%165.48M427.32%165.48M-23.99%6.14M41.18%6.6M41.58%7.07M
Other assets 300.74%913.95M300.74%913.95M-44.71%146.04M-37.30%174.49M-28.36%206.97M53.24%228.07M53.24%228.07M22.26%264.15M34.74%278.31M17.82%288.91M
Total assets -12.95%33.54B-12.95%33.54B261.55%33.43B276.12%35.24B259.34%36.07B-6.54%38.53B-6.54%38.53B-1.30%9.25B-1.39%9.37B4.75%10.04B
Liabilities
Total deposits -10.56%27.19B-10.56%27.19B304.00%26.83B319.21%28.8B315.60%28.89B-10.42%30.4B-10.42%30.4B-8.79%6.64B-9.10%6.87B-7.06%6.95B
Current debt and capital lease obligation ----------0--545M--1.55B--2.62B--2.62B--185.8M--------
-Current debt ----------0--545M--1.55B--2.62B--2.62B--185.8M--------
Long term debt and capital lease obligation 89.79%2.33B89.79%2.33B97.57%2.53B29.04%1.84B-23.68%1.53B-53.27%1.23B-53.27%1.23B22.53%1.28B54.28%1.42B130.74%2.01B
-Long term debt 89.79%2.33B89.79%2.33B97.57%2.53B29.04%1.84B-23.68%1.53B-53.27%1.23B-53.27%1.23B26.77%1.28B60.82%1.42B141.64%2.01B
Other liabilities -42.11%517.27M-42.11%517.27M321.10%574.16M442.74%651.38M489.71%709.74M25.69%893.61M25.69%893.61M57.64%136.35M73.19%120.02M97.78%120.36M
Total liabilities -14.51%30.04B-14.51%30.04B263.07%29.94B278.40%31.84B259.91%32.68B-5.73%35.14B-5.73%35.14B-2.03%8.25B-1.63%8.41B5.53%9.08B
Shareholders'equity
Share capital -0.00%500.21M-0.00%500.21M75,919.00%500.21M75,919.00%500.21M75,919.00%500.21M0.09%500.21M0.09%500.21M0.15%658K0.92%658K1.08%658K
-common stock -0.06%1.69M-0.06%1.69M156.69%1.69M156.69%1.69M156.69%1.69M37.40%1.69M37.40%1.69M0.15%658K0.92%658K1.08%658K
-Preferred stock 0.00%498.52M0.00%498.52M--498.52M--498.52M--498.52M0.00%498.52M0.00%498.52M------------
Paid-in capital -1.44%3.79B-1.44%3.79B337.27%3.8B339.32%3.81B341.85%3.83B36.15%3.84B36.15%3.84B0.55%869.57M1.39%867.99M1.30%866.31M
Retained earnings 16.80%-431.2M16.80%-431.2M-253.15%-478.17M-273.19%-477.01M-288.75%-497.4M-136.48%-518.3M-136.48%-518.3M35.11%312.22M30.86%275.43M40.58%263.52M
Less: Treasury stock ----------------------------41.55%137.27M63.39%137.27M168.35%121.09M
Gains losses not affecting retained earnings 17.90%-354.78M17.90%-354.78M-655.18%-328.15M-761.49%-428.66M-764.42%-436.44M45.36%-432.11M45.36%-432.11M8.67%-43.45M-46.09%-49.76M-163.35%-50.49M
Total stockholders'equity 3.22%3.5B3.22%3.5B249.02%3.5B256.08%3.41B253.96%3.39B-14.17%3.39B-14.17%3.39B5.22%1B0.83%957.05M-2.05%958.91M
Total equity 3.22%3.5B3.22%3.5B249.02%3.5B256.08%3.41B253.96%3.39B-14.17%3.39B-14.17%3.39B5.22%1B0.83%957.05M-2.05%958.91M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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