US Stock MarketDetailed Quotes

BHLB Berkshire Hills Bancorp

Watchlist
  • 27.580
  • -0.150-0.54%
Close Aug 26 16:00 ET
  • 27.580
  • 0.0000.00%
Post 20:01 ET
1.19BMarket Cap54.08P/E (TTM)

Berkshire Hills Bancorp 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
71.76%1.1B
18.59%1.19B
75.57%1.2B
75.57%1.2B
-4.52%663.47M
-26.45%640.6M
-37.37%1.01B
-57.90%685.36M
-57.90%685.36M
-67.29%694.91M
-Cash and cash equivalents
71.76%1.1B
18.59%1.19B
75.57%1.2B
75.57%1.2B
-4.52%663.47M
-26.45%640.6M
-37.37%1.01B
-57.90%685.36M
-57.90%685.36M
-67.29%694.91M
Receivables
----
----
6.65%86.66M
6.65%86.66M
----
----
----
26.67%81.25M
26.67%81.25M
----
-Accounts receivable
----
----
13.29%53.1M
13.29%53.1M
----
----
----
39.76%46.87M
39.76%46.87M
----
-Other receivables
----
----
-2.39%33.56M
-2.39%33.56M
----
----
----
12.32%34.39M
12.32%34.39M
----
Net loan
4.29%9.17B
4.65%8.98B
8.41%8.94B
8.41%8.94B
13.15%8.88B
14.09%8.79B
19.78%8.59B
22.56%8.24B
22.56%8.24B
16.69%7.85B
-Gross loan
4.38%9.28B
4.70%9.09B
8.42%9.04B
8.42%9.04B
13.07%8.99B
13.92%8.89B
19.49%8.68B
22.07%8.34B
22.07%8.34B
16.17%7.95B
-Allowance for loans and lease losses
11.92%112.17M
9.53%107.33M
9.44%105.36M
9.44%105.36M
7.06%102.79M
1.21%100.22M
-1.49%97.99M
-9.26%96.27M
-9.26%96.27M
-14.97%96.01M
Securities and investments
-40.19%1.15B
-41.23%1.18B
-21.78%1.58B
-21.78%1.58B
-12.06%1.83B
-17.13%1.92B
-24.96%2B
-20.16%2.03B
-20.16%2.03B
-10.21%2.08B
-Trading securities
-11.02%5.7M
-10.25%5.91M
-8.44%6.14M
-8.44%6.14M
-9.41%6.17M
-9.02%6.41M
-15.57%6.58M
-19.70%6.71M
-19.70%6.71M
-20.55%6.81M
-Available for sale securities
-0.48%12.74M
-1.84%12.76M
1.54%12.96M
1.54%12.96M
-3.46%12.26M
-8.98%12.8M
-11.07%13M
-16.83%12.77M
-16.83%12.77M
-17.97%12.7M
-Held to maturity securities
-7.73%520.17M
-7.45%531.82M
-6.87%543.35M
-6.87%543.35M
-6.67%552.98M
-6.45%563.77M
-6.14%574.61M
-8.33%583.45M
-8.33%583.45M
-9.11%592.5M
-Short term investments
-54.36%611.71M
-55.53%625.86M
-28.17%1.02B
-28.17%1.02B
-14.31%1.26B
-21.02%1.34B
-30.76%1.41B
-24.20%1.42B
-24.20%1.42B
-10.52%1.47B
Federal home loan bank stock
0.85%35.01M
-53.62%20.52M
214.30%22.69M
214.30%22.69M
435.68%38.91M
270.68%34.71M
308.58%44.25M
-33.16%7.22M
-33.16%7.22M
-39.67%7.26M
Derivative assets
----
----
-15.81%45.67M
-15.81%45.67M
----
----
----
-31.80%54.24M
-31.80%54.24M
----
Bank owned life insurance
1.44%244.79M
1.62%243.78M
1.42%242.31M
1.42%242.31M
1.73%242.17M
1.59%241.31M
1.40%239.9M
1.37%238.92M
1.37%238.92M
1.16%238.05M
Net PPE
-27.32%55.89M
-26.53%57.83M
-11.67%116.26M
-11.67%116.26M
-19.31%70.04M
-14.23%76.9M
-15.34%78.71M
-10.19%131.63M
-10.19%131.63M
-12.52%86.81M
-Gross PPE
----
----
-5.70%213.71M
-5.70%213.71M
----
----
----
-3.73%226.63M
-3.73%226.63M
----
-Accumulated depreciation
----
----
-2.58%-97.45M
-2.58%-97.45M
----
----
----
-6.91%-95M
-6.91%-95M
----
Assets held for sale
828.31%76.31M
909.98%83.02M
235.52%10.94M
235.52%10.94M
191.31%11.16M
52.62%8.22M
106.12%8.22M
-28.77%3.26M
-28.77%3.26M
2.32%3.83M
Goodwill and other intangible assets
-21.54%17.32M
-20.70%18.46M
-15.38%31.76M
-15.38%31.76M
-18.99%20.87M
-18.38%22.07M
-17.83%23.28M
-17.77%37.53M
-17.77%37.53M
-16.65%25.76M
-Other intangible assets
-21.54%17.32M
-20.70%18.46M
-15.38%31.76M
-15.38%31.76M
-18.99%20.87M
-18.38%22.07M
-17.83%23.28M
-17.77%37.53M
-17.77%37.53M
-16.65%25.76M
Other assets
5.33%371.09M
10.99%368.19M
11.97%39.92M
11.97%39.92M
15.87%377.61M
12.66%352.31M
17.74%331.72M
49.25%35.65M
49.25%35.65M
11.71%325.89M
Total assets
1.07%12.22B
-1.41%12.15B
6.58%12.43B
6.58%12.43B
7.27%12.14B
4.42%12.09B
1.84%12.32B
0.93%11.66B
0.93%11.66B
-4.46%11.32B
Liabilities
Total deposits
-4.44%9.62B
-1.83%9.88B
2.96%10.63B
2.96%10.63B
-0.08%9.98B
-0.46%10.07B
-5.90%10.07B
2.57%10.33B
2.57%10.33B
-3.64%9.99B
Payables
----
----
755.03%13.77M
755.03%13.77M
----
----
----
107.74%1.61M
107.74%1.61M
----
-Accounts payable
----
----
755.03%13.77M
755.03%13.77M
----
----
----
107.74%1.61M
107.74%1.61M
----
Current debt and capital lease obligation
13.30%532.5M
-76.67%210M
--260M
--260M
--670M
840.00%470M
--900M
--0
--0
----
-Current debt
13.30%532.5M
-76.67%210M
--260M
--260M
--670M
840.00%470M
--900M
--0
--0
----
Long term provisions
----
----
7.78%9.26M
7.78%9.26M
----
----
----
--8.59M
--8.59M
----
Long term debt and capital lease obligation
-14.43%278.59M
97.97%248.59M
63.51%308.29M
63.51%308.29M
103.67%255.6M
59.44%325.58M
11.98%125.57M
6.90%188.55M
6.90%188.55M
13.24%125.5M
-Long term debt
-14.43%278.59M
97.97%248.59M
96.47%246.59M
96.47%246.59M
103.67%255.6M
59.44%325.58M
11.98%125.57M
13.23%125.51M
13.23%125.51M
13.24%125.5M
-Long term capital lease obligation
----
----
-2.12%61.71M
-2.12%61.71M
----
----
----
-3.81%63.04M
-3.81%63.04M
----
Employee benefits
----
----
-4.72%43.04M
-4.72%43.04M
----
----
----
-0.71%45.18M
-0.71%45.18M
----
Derivative product liabilities
----
----
-21.72%75.96M
-21.72%75.96M
----
----
----
175.70%97.03M
175.70%97.03M
----
Liabilities of discontinued operations
--486.65M
--497.46M
----
----
----
----
----
----
----
----
Other liabilities
13.58%287.31M
28.65%297.66M
84.58%74.9M
84.58%74.9M
8.40%282.81M
29.02%252.95M
20.63%231.38M
-11.16%40.58M
-11.16%40.58M
36.19%260.9M
Total liabilities
0.81%11.21B
-1.66%11.14B
6.63%11.42B
6.63%11.42B
7.85%11.19B
5.23%11.12B
2.92%11.32B
3.24%10.71B
3.24%10.71B
-2.75%10.37B
Shareholders'equity
Share capital
0.00%528K
0.00%528K
0.00%528K
0.00%528K
0.00%528K
0.00%528K
0.00%528K
0.00%528K
0.00%528K
0.00%528K
-common stock
0.00%528K
0.00%528K
0.00%528K
0.00%528K
0.00%528K
0.00%528K
0.00%528K
0.00%528K
0.00%528K
0.00%528K
Paid-in capital
-0.18%1.42B
-0.13%1.42B
-0.06%1.42B
-0.06%1.42B
-0.03%1.42B
-0.02%1.42B
0.06%1.42B
0.05%1.42B
0.05%1.42B
0.06%1.42B
Retained earnings
-26.44%-44.87M
-18.97%-61.15M
53.61%-33.14M
53.61%-33.14M
74.58%-23.85M
66.83%-35.49M
58.99%-51.4M
48.75%-71.43M
48.75%-71.43M
38.86%-93.82M
Less: Treasury stock
9.52%235.25M
8.75%226.46M
7.51%225.32M
7.51%225.32M
15.82%219M
28.06%214.8M
78.76%208.23M
133.23%209.57M
133.23%209.57M
109.75%189.08M
Gains losses not affecting retained earnings
38.41%-114.7M
28.07%-114.42M
21.01%-143.02M
21.01%-143.02M
-15.86%-218.39M
-51.42%-186.24M
-103.31%-159.07M
-5,482.86%-181.05M
-5,482.86%-181.05M
-2,700.28%-188.49M
Other equity interest
2.81%-14.06M
-3.45%-11.3M
-17.57%-10.11M
-17.57%-10.11M
-11.91%-12M
-12.84%-14.47M
-6.18%-10.92M
5.06%-8.6M
5.06%-8.6M
-13.66%-10.73M
Total stockholders'equity
4.06%1.01B
1.45%1.01B
6.10%1.01B
6.10%1.01B
0.90%951.01M
-4.01%973.38M
-8.99%995.48M
-19.31%954.06M
-19.31%954.06M
-19.99%942.56M
Total equity
4.06%1.01B
1.45%1.01B
6.10%1.01B
6.10%1.01B
0.90%951.01M
-4.01%973.38M
-8.99%995.48M
-19.31%954.06M
-19.31%954.06M
-19.99%942.56M
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
--
--
(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 71.76%1.1B18.59%1.19B75.57%1.2B75.57%1.2B-4.52%663.47M-26.45%640.6M-37.37%1.01B-57.90%685.36M-57.90%685.36M-67.29%694.91M
-Cash and cash equivalents 71.76%1.1B18.59%1.19B75.57%1.2B75.57%1.2B-4.52%663.47M-26.45%640.6M-37.37%1.01B-57.90%685.36M-57.90%685.36M-67.29%694.91M
Receivables --------6.65%86.66M6.65%86.66M------------26.67%81.25M26.67%81.25M----
-Accounts receivable --------13.29%53.1M13.29%53.1M------------39.76%46.87M39.76%46.87M----
-Other receivables ---------2.39%33.56M-2.39%33.56M------------12.32%34.39M12.32%34.39M----
Net loan 4.29%9.17B4.65%8.98B8.41%8.94B8.41%8.94B13.15%8.88B14.09%8.79B19.78%8.59B22.56%8.24B22.56%8.24B16.69%7.85B
-Gross loan 4.38%9.28B4.70%9.09B8.42%9.04B8.42%9.04B13.07%8.99B13.92%8.89B19.49%8.68B22.07%8.34B22.07%8.34B16.17%7.95B
-Allowance for loans and lease losses 11.92%112.17M9.53%107.33M9.44%105.36M9.44%105.36M7.06%102.79M1.21%100.22M-1.49%97.99M-9.26%96.27M-9.26%96.27M-14.97%96.01M
Securities and investments -40.19%1.15B-41.23%1.18B-21.78%1.58B-21.78%1.58B-12.06%1.83B-17.13%1.92B-24.96%2B-20.16%2.03B-20.16%2.03B-10.21%2.08B
-Trading securities -11.02%5.7M-10.25%5.91M-8.44%6.14M-8.44%6.14M-9.41%6.17M-9.02%6.41M-15.57%6.58M-19.70%6.71M-19.70%6.71M-20.55%6.81M
-Available for sale securities -0.48%12.74M-1.84%12.76M1.54%12.96M1.54%12.96M-3.46%12.26M-8.98%12.8M-11.07%13M-16.83%12.77M-16.83%12.77M-17.97%12.7M
-Held to maturity securities -7.73%520.17M-7.45%531.82M-6.87%543.35M-6.87%543.35M-6.67%552.98M-6.45%563.77M-6.14%574.61M-8.33%583.45M-8.33%583.45M-9.11%592.5M
-Short term investments -54.36%611.71M-55.53%625.86M-28.17%1.02B-28.17%1.02B-14.31%1.26B-21.02%1.34B-30.76%1.41B-24.20%1.42B-24.20%1.42B-10.52%1.47B
Federal home loan bank stock 0.85%35.01M-53.62%20.52M214.30%22.69M214.30%22.69M435.68%38.91M270.68%34.71M308.58%44.25M-33.16%7.22M-33.16%7.22M-39.67%7.26M
Derivative assets ---------15.81%45.67M-15.81%45.67M-------------31.80%54.24M-31.80%54.24M----
Bank owned life insurance 1.44%244.79M1.62%243.78M1.42%242.31M1.42%242.31M1.73%242.17M1.59%241.31M1.40%239.9M1.37%238.92M1.37%238.92M1.16%238.05M
Net PPE -27.32%55.89M-26.53%57.83M-11.67%116.26M-11.67%116.26M-19.31%70.04M-14.23%76.9M-15.34%78.71M-10.19%131.63M-10.19%131.63M-12.52%86.81M
-Gross PPE ---------5.70%213.71M-5.70%213.71M-------------3.73%226.63M-3.73%226.63M----
-Accumulated depreciation ---------2.58%-97.45M-2.58%-97.45M-------------6.91%-95M-6.91%-95M----
Assets held for sale 828.31%76.31M909.98%83.02M235.52%10.94M235.52%10.94M191.31%11.16M52.62%8.22M106.12%8.22M-28.77%3.26M-28.77%3.26M2.32%3.83M
Goodwill and other intangible assets -21.54%17.32M-20.70%18.46M-15.38%31.76M-15.38%31.76M-18.99%20.87M-18.38%22.07M-17.83%23.28M-17.77%37.53M-17.77%37.53M-16.65%25.76M
-Other intangible assets -21.54%17.32M-20.70%18.46M-15.38%31.76M-15.38%31.76M-18.99%20.87M-18.38%22.07M-17.83%23.28M-17.77%37.53M-17.77%37.53M-16.65%25.76M
Other assets 5.33%371.09M10.99%368.19M11.97%39.92M11.97%39.92M15.87%377.61M12.66%352.31M17.74%331.72M49.25%35.65M49.25%35.65M11.71%325.89M
Total assets 1.07%12.22B-1.41%12.15B6.58%12.43B6.58%12.43B7.27%12.14B4.42%12.09B1.84%12.32B0.93%11.66B0.93%11.66B-4.46%11.32B
Liabilities
Total deposits -4.44%9.62B-1.83%9.88B2.96%10.63B2.96%10.63B-0.08%9.98B-0.46%10.07B-5.90%10.07B2.57%10.33B2.57%10.33B-3.64%9.99B
Payables --------755.03%13.77M755.03%13.77M------------107.74%1.61M107.74%1.61M----
-Accounts payable --------755.03%13.77M755.03%13.77M------------107.74%1.61M107.74%1.61M----
Current debt and capital lease obligation 13.30%532.5M-76.67%210M--260M--260M--670M840.00%470M--900M--0--0----
-Current debt 13.30%532.5M-76.67%210M--260M--260M--670M840.00%470M--900M--0--0----
Long term provisions --------7.78%9.26M7.78%9.26M--------------8.59M--8.59M----
Long term debt and capital lease obligation -14.43%278.59M97.97%248.59M63.51%308.29M63.51%308.29M103.67%255.6M59.44%325.58M11.98%125.57M6.90%188.55M6.90%188.55M13.24%125.5M
-Long term debt -14.43%278.59M97.97%248.59M96.47%246.59M96.47%246.59M103.67%255.6M59.44%325.58M11.98%125.57M13.23%125.51M13.23%125.51M13.24%125.5M
-Long term capital lease obligation ---------2.12%61.71M-2.12%61.71M-------------3.81%63.04M-3.81%63.04M----
Employee benefits ---------4.72%43.04M-4.72%43.04M-------------0.71%45.18M-0.71%45.18M----
Derivative product liabilities ---------21.72%75.96M-21.72%75.96M------------175.70%97.03M175.70%97.03M----
Liabilities of discontinued operations --486.65M--497.46M--------------------------------
Other liabilities 13.58%287.31M28.65%297.66M84.58%74.9M84.58%74.9M8.40%282.81M29.02%252.95M20.63%231.38M-11.16%40.58M-11.16%40.58M36.19%260.9M
Total liabilities 0.81%11.21B-1.66%11.14B6.63%11.42B6.63%11.42B7.85%11.19B5.23%11.12B2.92%11.32B3.24%10.71B3.24%10.71B-2.75%10.37B
Shareholders'equity
Share capital 0.00%528K0.00%528K0.00%528K0.00%528K0.00%528K0.00%528K0.00%528K0.00%528K0.00%528K0.00%528K
-common stock 0.00%528K0.00%528K0.00%528K0.00%528K0.00%528K0.00%528K0.00%528K0.00%528K0.00%528K0.00%528K
Paid-in capital -0.18%1.42B-0.13%1.42B-0.06%1.42B-0.06%1.42B-0.03%1.42B-0.02%1.42B0.06%1.42B0.05%1.42B0.05%1.42B0.06%1.42B
Retained earnings -26.44%-44.87M-18.97%-61.15M53.61%-33.14M53.61%-33.14M74.58%-23.85M66.83%-35.49M58.99%-51.4M48.75%-71.43M48.75%-71.43M38.86%-93.82M
Less: Treasury stock 9.52%235.25M8.75%226.46M7.51%225.32M7.51%225.32M15.82%219M28.06%214.8M78.76%208.23M133.23%209.57M133.23%209.57M109.75%189.08M
Gains losses not affecting retained earnings 38.41%-114.7M28.07%-114.42M21.01%-143.02M21.01%-143.02M-15.86%-218.39M-51.42%-186.24M-103.31%-159.07M-5,482.86%-181.05M-5,482.86%-181.05M-2,700.28%-188.49M
Other equity interest 2.81%-14.06M-3.45%-11.3M-17.57%-10.11M-17.57%-10.11M-11.91%-12M-12.84%-14.47M-6.18%-10.92M5.06%-8.6M5.06%-8.6M-13.66%-10.73M
Total stockholders'equity 4.06%1.01B1.45%1.01B6.10%1.01B6.10%1.01B0.90%951.01M-4.01%973.38M-8.99%995.48M-19.31%954.06M-19.31%954.06M-19.99%942.56M
Total equity 4.06%1.01B1.45%1.01B6.10%1.01B6.10%1.01B0.90%951.01M-4.01%973.38M-8.99%995.48M-19.31%954.06M-19.31%954.06M-19.99%942.56M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --------------Unqualified Opinion with Explanatory Notes----

Analysis

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