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BSRR Sierra Bancorp

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  • 28.665
  • -0.295-1.02%
Trading Mar 5 10:00 ET
400.28MMarket Cap10.16P/E (TTM)

Sierra Bancorp 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
28.07%100.66M
28.07%100.66M
49.98%132.8M
77.80%183.99M
42.80%119.24M
1.91%78.6M
1.91%78.6M
2.14%88.54M
-36.07%103.48M
-67.06%83.51M
-Cash and cash equivalents
28.07%100.66M
28.07%100.66M
49.98%132.8M
77.80%183.99M
42.80%119.24M
1.91%78.6M
1.91%78.6M
2.14%88.54M
-36.07%103.48M
-67.06%83.51M
Receivables
-21.37%16M
-21.37%16M
----
----
----
10.86%20.35M
10.86%20.35M
----
----
----
-Accounts receivable
-21.37%16M
-21.37%16M
----
----
----
10.86%20.35M
10.86%20.35M
----
----
----
Net loan
11.46%2.33B
11.46%2.33B
10.61%2.3B
6.84%2.21B
6.12%2.13B
1.81%2.09B
1.81%2.09B
4.09%2.08B
3.64%2.07B
2.62%2.01B
-Gross loan
11.41%2.36B
11.41%2.36B
10.46%2.32B
6.69%2.23B
6.04%2.16B
1.79%2.12B
1.79%2.12B
3.98%2.1B
3.55%2.09B
2.55%2.03B
-Allowance for loans and lease losses
5.66%24.83M
5.66%24.83M
-1.52%22.71M
-5.95%21.64M
0.22%23.14M
1.91%23.5M
1.91%23.5M
-3.07%23.06M
0.91%23.01M
2.49%23.09M
-Unearned income
-69.90%93K
-69.90%93K
142.94%396K
294.52%288K
791.67%214K
351.22%309K
351.22%309K
146.84%163K
106.75%73K
102.00%24K
Securities and investments
-27.09%986.93M
-27.09%986.93M
-23.89%1.02B
-24.07%1.03B
-22.96%1.06B
5.60%1.35B
5.60%1.35B
8.83%1.33B
32.22%1.36B
34.01%1.37B
-Available for sale securities
76.85%25.45M
76.85%25.45M
----
----
----
43.17%14.39M
43.17%14.39M
----
----
----
-Held to maturity securities
-4.54%305.51M
-4.54%305.51M
-4.50%308.97M
-4.75%312.88M
-4.91%316.41M
-4.99%320.06M
-4.99%320.06M
107.12%323.54M
103.52%328.48M
--332.73M
-Short term investments
-35.64%655.97M
-35.64%655.97M
-30.09%706.31M
-30.24%716.79M
-28.74%741.79M
9.01%1.02B
9.01%1.02B
-5.52%1.01B
18.90%1.03B
1.55%1.04B
Long term equity investment
0.00%4.36M
0.00%4.36M
----
----
----
0.00%4.36M
0.00%4.36M
----
----
----
Federal home loan bank stock
0.13%14.68M
0.13%14.68M
----
----
----
15.15%14.66M
15.15%14.66M
----
----
----
Bank owned life insurance
3.07%53.15M
3.07%53.15M
5.20%54M
1.34%53.43M
1.28%52.98M
-1.14%51.57M
-1.14%51.57M
-1.55%51.33M
1.09%52.73M
-2.40%52.31M
Net PPE
-9.87%15.24M
-9.87%15.24M
-28.64%15.65M
-27.48%16.01M
-28.02%16.07M
-24.78%16.91M
-24.78%16.91M
-3.36%21.93M
-3.77%22.07M
-3.95%22.32M
-Gross PPE
-2.66%45.91M
-2.66%45.91M
----
----
----
-20.96%47.17M
-20.96%47.17M
----
----
----
-Accumulated depreciation
-1.37%-30.68M
-1.37%-30.68M
----
----
----
18.64%-30.26M
18.64%-30.26M
----
----
----
Goodwill and other intangible assets
-2.72%27.98M
-2.72%27.98M
-5.58%27.36M
-3.00%28.32M
-2.98%28.54M
-2.96%28.76M
-2.96%28.76M
-3.01%28.98M
-3.09%29.19M
-3.18%29.41M
-Goodwill
0.00%27.36M
0.00%27.36M
0.00%27.36M
0.00%27.36M
0.00%27.36M
0.00%27.36M
0.00%27.36M
0.00%27.36M
0.00%27.36M
0.00%27.36M
-Other intangible assets
-55.83%618K
-55.83%618K
----
-47.69%961K
-42.61%1.18M
-38.51%1.4M
-38.51%1.4M
-35.72%1.62M
-33.66%1.84M
-31.97%2.06M
Other assets
1.53%41M
1.53%41M
12.10%152.76M
22.82%156.61M
18.24%144.11M
100.50%40.39M
100.50%40.39M
14.48%136.27M
21.24%127.52M
66.10%121.89M
Total assets
-3.10%3.61B
-3.10%3.61B
-1.14%3.7B
-2.16%3.68B
-3.81%3.55B
3.36%3.73B
3.36%3.73B
5.85%3.74B
10.77%3.76B
8.05%3.69B
Liabilities
Total deposits
4.72%2.89B
4.72%2.89B
3.22%2.96B
0.81%2.94B
-3.46%2.85B
-2.98%2.76B
-2.98%2.76B
-0.55%2.87B
2.38%2.92B
2.93%2.95B
Federal funds purchased and securities sold under agreement to repurchase
-54.09%108.86M
-54.09%108.86M
32.33%125.53M
100.76%148M
29.54%121.85M
117.21%237.12M
117.21%237.12M
-15.31%94.87M
-37.53%73.72M
-12.71%94.06M
Current debt and capital lease obligation
--0
--0
--0
--0
--0
-31.28%150.5M
-31.28%150.5M
129.87%237M
--245.2M
--216.8M
-Current debt
--0
--0
--0
--0
--0
-31.28%150.5M
-31.28%150.5M
129.87%237M
--245.2M
--216.8M
Long term provisions
39.22%710K
39.22%710K
----
-30.67%520K
-36.47%540K
-39.29%510K
-39.29%510K
-36.17%600K
-16.01%750K
-18.27%850K
Long term debt and capital lease obligation
0.16%165.23M
0.16%165.23M
0.16%165.17M
0.16%165.1M
94.70%165.03M
94.77%164.96M
94.77%164.96M
94.84%164.9M
94.91%164.83M
0.31%84.76M
-Long term debt
0.16%165.23M
0.16%165.23M
0.16%165.17M
0.16%165.1M
94.70%165.03M
94.77%164.96M
94.77%164.96M
94.84%164.9M
94.91%164.83M
0.31%84.76M
Other liabilities
16.95%90.5M
16.95%90.5M
34.41%84.6M
51.49%75.15M
77.18%73.55M
71.43%77.38M
71.43%77.38M
23.25%62.94M
15.06%49.61M
18.87%41.51M
Total liabilities
-3.97%3.26B
-3.97%3.26B
-2.70%3.34B
-3.52%3.33B
-5.28%3.21B
2.62%3.39B
2.62%3.39B
5.96%3.43B
11.47%3.45B
9.50%3.39B
Shareholders'equity
Share capital
-1.34%108.97M
-1.34%108.97M
-1.10%108.44M
-1.97%107.93M
-2.24%109.3M
-2.20%110.45M
-2.20%110.45M
-2.21%109.64M
-1.46%110.1M
0.11%111.8M
-common stock
-1.34%108.97M
-1.34%108.97M
-1.10%108.44M
-1.97%107.93M
-2.24%109.3M
-2.20%110.45M
-2.20%110.45M
-2.21%109.64M
-1.46%110.1M
0.11%111.8M
Paid-in capital
-1.57%4.51M
-1.57%4.51M
6.67%5.26M
9.19%5.34M
5.57%4.82M
10.44%4.58M
10.44%4.58M
10.38%4.93M
6.59%4.89M
6.54%4.56M
Retained earnings
6.19%275.09M
6.19%275.09M
6.78%273.58M
6.51%267.48M
6.56%262.91M
6.57%259.05M
6.57%259.05M
6.98%256.2M
7.69%251.12M
8.48%246.72M
Gains losses not affecting retained earnings
13.13%-31.26M
13.13%-31.26M
53.85%-28.58M
45.63%-30.72M
43.07%-31.92M
36.40%-35.98M
36.40%-35.98M
-1.49%-61.91M
-12.03%-56.51M
-216.66%-56.08M
Total stockholders'equity
5.68%357.3M
5.68%357.3M
16.14%358.7M
13.06%350.02M
12.40%345.09M
11.37%338.1M
11.37%338.1M
4.67%308.86M
3.53%309.59M
-5.74%307.01M
Total equity
5.68%357.3M
5.68%357.3M
16.14%358.7M
13.06%350.02M
12.40%345.09M
11.37%338.1M
11.37%338.1M
4.67%308.86M
3.53%309.59M
-5.74%307.01M
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
--
--
--
--
(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 28.07%100.66M28.07%100.66M49.98%132.8M77.80%183.99M42.80%119.24M1.91%78.6M1.91%78.6M2.14%88.54M-36.07%103.48M-67.06%83.51M
-Cash and cash equivalents 28.07%100.66M28.07%100.66M49.98%132.8M77.80%183.99M42.80%119.24M1.91%78.6M1.91%78.6M2.14%88.54M-36.07%103.48M-67.06%83.51M
Receivables -21.37%16M-21.37%16M------------10.86%20.35M10.86%20.35M------------
-Accounts receivable -21.37%16M-21.37%16M------------10.86%20.35M10.86%20.35M------------
Net loan 11.46%2.33B11.46%2.33B10.61%2.3B6.84%2.21B6.12%2.13B1.81%2.09B1.81%2.09B4.09%2.08B3.64%2.07B2.62%2.01B
-Gross loan 11.41%2.36B11.41%2.36B10.46%2.32B6.69%2.23B6.04%2.16B1.79%2.12B1.79%2.12B3.98%2.1B3.55%2.09B2.55%2.03B
-Allowance for loans and lease losses 5.66%24.83M5.66%24.83M-1.52%22.71M-5.95%21.64M0.22%23.14M1.91%23.5M1.91%23.5M-3.07%23.06M0.91%23.01M2.49%23.09M
-Unearned income -69.90%93K-69.90%93K142.94%396K294.52%288K791.67%214K351.22%309K351.22%309K146.84%163K106.75%73K102.00%24K
Securities and investments -27.09%986.93M-27.09%986.93M-23.89%1.02B-24.07%1.03B-22.96%1.06B5.60%1.35B5.60%1.35B8.83%1.33B32.22%1.36B34.01%1.37B
-Available for sale securities 76.85%25.45M76.85%25.45M------------43.17%14.39M43.17%14.39M------------
-Held to maturity securities -4.54%305.51M-4.54%305.51M-4.50%308.97M-4.75%312.88M-4.91%316.41M-4.99%320.06M-4.99%320.06M107.12%323.54M103.52%328.48M--332.73M
-Short term investments -35.64%655.97M-35.64%655.97M-30.09%706.31M-30.24%716.79M-28.74%741.79M9.01%1.02B9.01%1.02B-5.52%1.01B18.90%1.03B1.55%1.04B
Long term equity investment 0.00%4.36M0.00%4.36M------------0.00%4.36M0.00%4.36M------------
Federal home loan bank stock 0.13%14.68M0.13%14.68M------------15.15%14.66M15.15%14.66M------------
Bank owned life insurance 3.07%53.15M3.07%53.15M5.20%54M1.34%53.43M1.28%52.98M-1.14%51.57M-1.14%51.57M-1.55%51.33M1.09%52.73M-2.40%52.31M
Net PPE -9.87%15.24M-9.87%15.24M-28.64%15.65M-27.48%16.01M-28.02%16.07M-24.78%16.91M-24.78%16.91M-3.36%21.93M-3.77%22.07M-3.95%22.32M
-Gross PPE -2.66%45.91M-2.66%45.91M-------------20.96%47.17M-20.96%47.17M------------
-Accumulated depreciation -1.37%-30.68M-1.37%-30.68M------------18.64%-30.26M18.64%-30.26M------------
Goodwill and other intangible assets -2.72%27.98M-2.72%27.98M-5.58%27.36M-3.00%28.32M-2.98%28.54M-2.96%28.76M-2.96%28.76M-3.01%28.98M-3.09%29.19M-3.18%29.41M
-Goodwill 0.00%27.36M0.00%27.36M0.00%27.36M0.00%27.36M0.00%27.36M0.00%27.36M0.00%27.36M0.00%27.36M0.00%27.36M0.00%27.36M
-Other intangible assets -55.83%618K-55.83%618K-----47.69%961K-42.61%1.18M-38.51%1.4M-38.51%1.4M-35.72%1.62M-33.66%1.84M-31.97%2.06M
Other assets 1.53%41M1.53%41M12.10%152.76M22.82%156.61M18.24%144.11M100.50%40.39M100.50%40.39M14.48%136.27M21.24%127.52M66.10%121.89M
Total assets -3.10%3.61B-3.10%3.61B-1.14%3.7B-2.16%3.68B-3.81%3.55B3.36%3.73B3.36%3.73B5.85%3.74B10.77%3.76B8.05%3.69B
Liabilities
Total deposits 4.72%2.89B4.72%2.89B3.22%2.96B0.81%2.94B-3.46%2.85B-2.98%2.76B-2.98%2.76B-0.55%2.87B2.38%2.92B2.93%2.95B
Federal funds purchased and securities sold under agreement to repurchase -54.09%108.86M-54.09%108.86M32.33%125.53M100.76%148M29.54%121.85M117.21%237.12M117.21%237.12M-15.31%94.87M-37.53%73.72M-12.71%94.06M
Current debt and capital lease obligation --0--0--0--0--0-31.28%150.5M-31.28%150.5M129.87%237M--245.2M--216.8M
-Current debt --0--0--0--0--0-31.28%150.5M-31.28%150.5M129.87%237M--245.2M--216.8M
Long term provisions 39.22%710K39.22%710K-----30.67%520K-36.47%540K-39.29%510K-39.29%510K-36.17%600K-16.01%750K-18.27%850K
Long term debt and capital lease obligation 0.16%165.23M0.16%165.23M0.16%165.17M0.16%165.1M94.70%165.03M94.77%164.96M94.77%164.96M94.84%164.9M94.91%164.83M0.31%84.76M
-Long term debt 0.16%165.23M0.16%165.23M0.16%165.17M0.16%165.1M94.70%165.03M94.77%164.96M94.77%164.96M94.84%164.9M94.91%164.83M0.31%84.76M
Other liabilities 16.95%90.5M16.95%90.5M34.41%84.6M51.49%75.15M77.18%73.55M71.43%77.38M71.43%77.38M23.25%62.94M15.06%49.61M18.87%41.51M
Total liabilities -3.97%3.26B-3.97%3.26B-2.70%3.34B-3.52%3.33B-5.28%3.21B2.62%3.39B2.62%3.39B5.96%3.43B11.47%3.45B9.50%3.39B
Shareholders'equity
Share capital -1.34%108.97M-1.34%108.97M-1.10%108.44M-1.97%107.93M-2.24%109.3M-2.20%110.45M-2.20%110.45M-2.21%109.64M-1.46%110.1M0.11%111.8M
-common stock -1.34%108.97M-1.34%108.97M-1.10%108.44M-1.97%107.93M-2.24%109.3M-2.20%110.45M-2.20%110.45M-2.21%109.64M-1.46%110.1M0.11%111.8M
Paid-in capital -1.57%4.51M-1.57%4.51M6.67%5.26M9.19%5.34M5.57%4.82M10.44%4.58M10.44%4.58M10.38%4.93M6.59%4.89M6.54%4.56M
Retained earnings 6.19%275.09M6.19%275.09M6.78%273.58M6.51%267.48M6.56%262.91M6.57%259.05M6.57%259.05M6.98%256.2M7.69%251.12M8.48%246.72M
Gains losses not affecting retained earnings 13.13%-31.26M13.13%-31.26M53.85%-28.58M45.63%-30.72M43.07%-31.92M36.40%-35.98M36.40%-35.98M-1.49%-61.91M-12.03%-56.51M-216.66%-56.08M
Total stockholders'equity 5.68%357.3M5.68%357.3M16.14%358.7M13.06%350.02M12.40%345.09M11.37%338.1M11.37%338.1M4.67%308.86M3.53%309.59M-5.74%307.01M
Total equity 5.68%357.3M5.68%357.3M16.14%358.7M13.06%350.02M12.40%345.09M11.37%338.1M11.37%338.1M4.67%308.86M3.53%309.59M-5.74%307.01M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------Unqualified Opinion--------

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