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BRBS Blue Ridge Bankshares

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  • 3.790
  • 0.0000.00%
Close Feb 14 16:00 ET
  • 3.790
  • 0.0000.00%
Post 20:01 ET
322.05MMarket Cap-12.23P/E (TTM)

Blue Ridge Bankshares 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
35.97%196.11M
35.97%196.11M
20.41%309.66M
1.39%153.99M
-36.32%157.12M
44.29%144.22M
44.29%144.22M
109.89%257.16M
22.72%151.87M
0.77%246.74M
-Cash and cash equivalents
57.06%173.53M
57.06%173.53M
18.08%281.7M
-5.49%124.61M
-48.11%117.46M
42.99%110.49M
42.99%110.49M
142.69%238.57M
75.34%131.84M
39.58%226.37M
-Money market investments
-81.17%838K
-81.17%838K
12.62%2.91M
109.43%5.22M
246.61%6.85M
212.13%4.45M
212.13%4.45M
-75.58%2.58M
-92.98%2.49M
-97.34%1.98M
-Restricted cash and investments
-25.77%21.73M
-25.77%21.73M
56.51%25.05M
37.76%24.16M
78.40%32.81M
37.75%29.28M
37.75%29.28M
17.35%16.01M
34.16%17.54M
119.30%18.39M
Receivables
-16.24%12.54M
-16.24%12.54M
-19.63%13.17M
-8.41%14.17M
-1.47%14.7M
29.37%14.97M
29.37%14.97M
71.11%16.39M
60.50%15.47M
50.13%14.92M
-Accounts receivable
-16.24%12.54M
-16.24%12.54M
-19.63%13.17M
-8.41%14.17M
-1.47%14.7M
29.37%14.97M
29.37%14.97M
71.11%16.39M
73.71%15.47M
56.92%14.92M
Net loan
-13.17%2.12B
-13.17%2.12B
-11.73%2.18B
-7.84%2.29B
-4.38%2.39B
-0.35%2.44B
-0.35%2.44B
13.31%2.47B
19.25%2.48B
32.10%2.5B
-Gross loan
-13.47%2.14B
-13.47%2.14B
-12.48%2.2B
-8.32%2.31B
-4.17%2.43B
-0.23%2.48B
-0.23%2.48B
14.41%2.52B
20.22%2.52B
32.78%2.53B
-Allowance for loans and lease losses
-35.86%23.02M
-35.86%23.02M
-48.72%25.45M
-34.90%28.04M
16.85%35.03M
16.76%35.89M
16.76%35.89M
141.70%49.63M
149.78%43.07M
149.51%29.97M
-Unearned income
----
----
86.60%905K
155.66%836K
310.14%725K
150.61%830K
150.61%830K
136.97%485K
121.10%327K
68.26%-345K
Securities and investments
-7.48%336.27M
-7.48%336.27M
-6.53%340.65M
-14.75%332.88M
-11.87%353.84M
-9.77%363.45M
-9.77%363.45M
-9.02%364.44M
-7.56%390.47M
-3.36%401.49M
-Available for sale securities
-42.79%24.24M
-42.79%24.24M
-48.79%25.87M
-48.94%25.45M
-20.30%39.45M
-12.54%42.37M
-12.54%42.37M
23.09%50.51M
21.93%49.85M
23.89%49.5M
-Short term investments
-2.82%312.04M
-2.82%312.04M
0.27%314.78M
-9.74%307.43M
-10.68%314.39M
-9.39%321.08M
-9.39%321.08M
-12.68%313.93M
-10.72%340.62M
-6.26%351.99M
Bank owned life insurance
-97.76%1.08M
-97.76%1.08M
-68.94%14.95M
-11.25%42.45M
2.64%48.79M
2.56%48.45M
2.56%48.45M
2.21%48.14M
1.55%47.83M
1.54%47.54M
Net PPE
-5.57%29.36M
-5.57%29.36M
-7.03%29.39M
4.76%29.95M
1.08%30.04M
3.43%31.09M
3.43%31.09M
4.79%31.61M
-6.57%28.59M
-5.47%29.71M
-Gross PPE
-24.00%29.36M
-24.00%29.36M
-7.03%29.39M
4.76%29.95M
1.08%30.04M
6.23%38.63M
6.23%38.63M
4.79%31.61M
-6.57%28.59M
-5.47%29.71M
-Accumulated depreciation
----
----
----
----
----
-19.54%-7.54M
-19.54%-7.54M
----
----
----
Foreclosed assets
----
----
----
----
----
--0
--0
--0
--0
--0
Goodwill and other intangible assets
-86.94%4.25M
-86.94%4.25M
-31.61%23.7M
-43.59%34.41M
-45.35%32.85M
-47.92%32.5M
-47.92%32.5M
-45.59%34.66M
-3.85%61M
-2.99%60.12M
-Goodwill
----
----
----
----
----
--0
--0
--0
0.00%26.83M
0.00%26.83M
-Other intangible assets
-86.94%4.25M
-86.94%4.25M
-31.61%23.7M
0.70%34.41M
-1.32%32.85M
-8.65%32.5M
-8.65%32.5M
-6.01%34.66M
-6.67%34.17M
-5.28%33.29M
Other assets
-46.82%10.6M
-46.82%10.6M
-41.77%17.88M
-34.15%18.55M
7.97%22.96M
40.59%19.93M
40.59%19.93M
80.08%30.7M
27.40%28.18M
26.51%21.26M
Total assets
-12.20%2.74B
-12.20%2.74B
-9.75%2.94B
-8.75%2.93B
-7.76%3.08B
-0.41%3.12B
-0.41%3.12B
13.31%3.26B
14.82%3.21B
22.40%3.33B
Liabilities
Total deposits
-15.07%2.18B
-15.07%2.18B
-15.48%2.35B
-10.99%2.33B
-10.69%2.47B
2.54%2.57B
2.54%2.57B
15.22%2.78B
11.88%2.61B
17.29%2.76B
Long term debt and capital lease obligation
-23.54%198.4M
-23.54%198.4M
19.24%238.34M
-5.30%251.67M
14.77%328.71M
-27.82%259.47M
-27.82%259.47M
1.27%199.89M
45.63%265.75M
392.81%286.4M
-Long term debt
-24.04%189.79M
-24.04%189.79M
21.03%229.81M
-6.28%242.72M
14.64%319.84M
-28.94%249.86M
-28.94%249.86M
-0.09%189.87M
48.03%258.99M
457.14%279M
-Long term capital lease obligation
-10.46%8.61M
-10.46%8.61M
-14.76%8.54M
32.25%8.95M
19.90%8.87M
22.38%9.62M
22.38%9.62M
36.37%10.02M
-10.24%6.77M
-7.96%7.4M
Other liabilities
-70.18%31.63M
-70.18%31.63M
-77.36%23.51M
-71.29%29.95M
237.38%100.8M
438.78%106.06M
438.78%106.06M
367.68%103.84M
427.17%104.31M
-11.88%29.88M
Total liabilities
-17.81%2.41B
-17.81%2.41B
-15.31%2.61B
-12.59%2.61B
-5.92%2.9B
1.73%2.93B
1.73%2.93B
17.15%3.08B
17.54%2.98B
25.81%3.08B
Shareholders'equity
Share capital
63.33%322.79M
63.33%322.79M
52.40%300.9M
52.86%301.11M
0.77%198M
0.86%197.64M
0.86%197.64M
1.07%197.45M
0.99%196.99M
0.93%196.5M
-common stock
63.33%322.79M
63.33%322.79M
52.33%300.76M
52.79%300.98M
0.77%198M
0.86%197.64M
0.86%197.64M
1.07%197.45M
0.99%196.99M
0.93%196.5M
-Preferred stock
----
----
--137K
--137K
----
----
----
----
----
----
Paid-in capital
11,680.56%29.69M
11,680.56%29.69M
19,802.78%50.16M
19,802.78%50.16M
0.00%252K
0.00%252K
0.00%252K
0.00%252K
0.00%252K
0.00%252K
Retained earnings
-46.40%17.77M
-46.40%17.77M
-49.19%19.78M
-76.55%18.83M
-70.35%30.26M
-66.06%33.16M
-66.06%33.16M
-62.68%38.92M
-22.69%80.29M
-2.81%102.07M
Gains losses not affecting retained earnings
5.76%-42.46M
5.76%-42.46M
35.88%-34.48M
3.84%-44.48M
-15.47%-47.61M
0.10%-45.06M
0.10%-45.06M
-8.90%-53.78M
-23.38%-46.26M
-92.01%-41.24M
Total stockholders'equity
76.24%327.79M
76.24%327.79M
83.96%336.35M
40.79%325.61M
-29.77%180.91M
-25.24%185.99M
-25.24%185.99M
-27.01%182.84M
-11.61%231.27M
-7.50%257.59M
Total equity
76.24%327.79M
76.24%327.79M
83.96%336.35M
40.79%325.61M
-29.77%180.91M
-25.24%185.99M
-25.24%185.99M
-27.01%182.84M
-11.61%231.27M
-7.50%257.59M
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
--
--
--
--
(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 35.97%196.11M35.97%196.11M20.41%309.66M1.39%153.99M-36.32%157.12M44.29%144.22M44.29%144.22M109.89%257.16M22.72%151.87M0.77%246.74M
-Cash and cash equivalents 57.06%173.53M57.06%173.53M18.08%281.7M-5.49%124.61M-48.11%117.46M42.99%110.49M42.99%110.49M142.69%238.57M75.34%131.84M39.58%226.37M
-Money market investments -81.17%838K-81.17%838K12.62%2.91M109.43%5.22M246.61%6.85M212.13%4.45M212.13%4.45M-75.58%2.58M-92.98%2.49M-97.34%1.98M
-Restricted cash and investments -25.77%21.73M-25.77%21.73M56.51%25.05M37.76%24.16M78.40%32.81M37.75%29.28M37.75%29.28M17.35%16.01M34.16%17.54M119.30%18.39M
Receivables -16.24%12.54M-16.24%12.54M-19.63%13.17M-8.41%14.17M-1.47%14.7M29.37%14.97M29.37%14.97M71.11%16.39M60.50%15.47M50.13%14.92M
-Accounts receivable -16.24%12.54M-16.24%12.54M-19.63%13.17M-8.41%14.17M-1.47%14.7M29.37%14.97M29.37%14.97M71.11%16.39M73.71%15.47M56.92%14.92M
Net loan -13.17%2.12B-13.17%2.12B-11.73%2.18B-7.84%2.29B-4.38%2.39B-0.35%2.44B-0.35%2.44B13.31%2.47B19.25%2.48B32.10%2.5B
-Gross loan -13.47%2.14B-13.47%2.14B-12.48%2.2B-8.32%2.31B-4.17%2.43B-0.23%2.48B-0.23%2.48B14.41%2.52B20.22%2.52B32.78%2.53B
-Allowance for loans and lease losses -35.86%23.02M-35.86%23.02M-48.72%25.45M-34.90%28.04M16.85%35.03M16.76%35.89M16.76%35.89M141.70%49.63M149.78%43.07M149.51%29.97M
-Unearned income --------86.60%905K155.66%836K310.14%725K150.61%830K150.61%830K136.97%485K121.10%327K68.26%-345K
Securities and investments -7.48%336.27M-7.48%336.27M-6.53%340.65M-14.75%332.88M-11.87%353.84M-9.77%363.45M-9.77%363.45M-9.02%364.44M-7.56%390.47M-3.36%401.49M
-Available for sale securities -42.79%24.24M-42.79%24.24M-48.79%25.87M-48.94%25.45M-20.30%39.45M-12.54%42.37M-12.54%42.37M23.09%50.51M21.93%49.85M23.89%49.5M
-Short term investments -2.82%312.04M-2.82%312.04M0.27%314.78M-9.74%307.43M-10.68%314.39M-9.39%321.08M-9.39%321.08M-12.68%313.93M-10.72%340.62M-6.26%351.99M
Bank owned life insurance -97.76%1.08M-97.76%1.08M-68.94%14.95M-11.25%42.45M2.64%48.79M2.56%48.45M2.56%48.45M2.21%48.14M1.55%47.83M1.54%47.54M
Net PPE -5.57%29.36M-5.57%29.36M-7.03%29.39M4.76%29.95M1.08%30.04M3.43%31.09M3.43%31.09M4.79%31.61M-6.57%28.59M-5.47%29.71M
-Gross PPE -24.00%29.36M-24.00%29.36M-7.03%29.39M4.76%29.95M1.08%30.04M6.23%38.63M6.23%38.63M4.79%31.61M-6.57%28.59M-5.47%29.71M
-Accumulated depreciation ---------------------19.54%-7.54M-19.54%-7.54M------------
Foreclosed assets ----------------------0--0--0--0--0
Goodwill and other intangible assets -86.94%4.25M-86.94%4.25M-31.61%23.7M-43.59%34.41M-45.35%32.85M-47.92%32.5M-47.92%32.5M-45.59%34.66M-3.85%61M-2.99%60.12M
-Goodwill ----------------------0--0--00.00%26.83M0.00%26.83M
-Other intangible assets -86.94%4.25M-86.94%4.25M-31.61%23.7M0.70%34.41M-1.32%32.85M-8.65%32.5M-8.65%32.5M-6.01%34.66M-6.67%34.17M-5.28%33.29M
Other assets -46.82%10.6M-46.82%10.6M-41.77%17.88M-34.15%18.55M7.97%22.96M40.59%19.93M40.59%19.93M80.08%30.7M27.40%28.18M26.51%21.26M
Total assets -12.20%2.74B-12.20%2.74B-9.75%2.94B-8.75%2.93B-7.76%3.08B-0.41%3.12B-0.41%3.12B13.31%3.26B14.82%3.21B22.40%3.33B
Liabilities
Total deposits -15.07%2.18B-15.07%2.18B-15.48%2.35B-10.99%2.33B-10.69%2.47B2.54%2.57B2.54%2.57B15.22%2.78B11.88%2.61B17.29%2.76B
Long term debt and capital lease obligation -23.54%198.4M-23.54%198.4M19.24%238.34M-5.30%251.67M14.77%328.71M-27.82%259.47M-27.82%259.47M1.27%199.89M45.63%265.75M392.81%286.4M
-Long term debt -24.04%189.79M-24.04%189.79M21.03%229.81M-6.28%242.72M14.64%319.84M-28.94%249.86M-28.94%249.86M-0.09%189.87M48.03%258.99M457.14%279M
-Long term capital lease obligation -10.46%8.61M-10.46%8.61M-14.76%8.54M32.25%8.95M19.90%8.87M22.38%9.62M22.38%9.62M36.37%10.02M-10.24%6.77M-7.96%7.4M
Other liabilities -70.18%31.63M-70.18%31.63M-77.36%23.51M-71.29%29.95M237.38%100.8M438.78%106.06M438.78%106.06M367.68%103.84M427.17%104.31M-11.88%29.88M
Total liabilities -17.81%2.41B-17.81%2.41B-15.31%2.61B-12.59%2.61B-5.92%2.9B1.73%2.93B1.73%2.93B17.15%3.08B17.54%2.98B25.81%3.08B
Shareholders'equity
Share capital 63.33%322.79M63.33%322.79M52.40%300.9M52.86%301.11M0.77%198M0.86%197.64M0.86%197.64M1.07%197.45M0.99%196.99M0.93%196.5M
-common stock 63.33%322.79M63.33%322.79M52.33%300.76M52.79%300.98M0.77%198M0.86%197.64M0.86%197.64M1.07%197.45M0.99%196.99M0.93%196.5M
-Preferred stock ----------137K--137K------------------------
Paid-in capital 11,680.56%29.69M11,680.56%29.69M19,802.78%50.16M19,802.78%50.16M0.00%252K0.00%252K0.00%252K0.00%252K0.00%252K0.00%252K
Retained earnings -46.40%17.77M-46.40%17.77M-49.19%19.78M-76.55%18.83M-70.35%30.26M-66.06%33.16M-66.06%33.16M-62.68%38.92M-22.69%80.29M-2.81%102.07M
Gains losses not affecting retained earnings 5.76%-42.46M5.76%-42.46M35.88%-34.48M3.84%-44.48M-15.47%-47.61M0.10%-45.06M0.10%-45.06M-8.90%-53.78M-23.38%-46.26M-92.01%-41.24M
Total stockholders'equity 76.24%327.79M76.24%327.79M83.96%336.35M40.79%325.61M-29.77%180.91M-25.24%185.99M-25.24%185.99M-27.01%182.84M-11.61%231.27M-7.50%257.59M
Total equity 76.24%327.79M76.24%327.79M83.96%336.35M40.79%325.61M-29.77%180.91M-25.24%185.99M-25.24%185.99M-27.01%182.84M-11.61%231.27M-7.50%257.59M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------Unqualified Opinion with Explanatory Notes--------
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