US Stock MarketDetailed Quotes

CVBF CVB Financial

Watchlist
  • 18.190
  • +1.090+6.37%
Close Aug 23 16:00 ET
  • 18.190
  • 0.0000.00%
Post 16:20 ET
2.54BMarket Cap12.29P/E (TTM)

CVB Financial 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
31.24%851.54M
301.80%962.22M
35.91%289.5M
35.91%289.5M
-24.94%244.8M
-7.85%648.83M
-85.57%239.48M
-87.89%213.01M
-87.89%213.01M
-87.40%326.13M
-Cash and cash equivalents
31.24%851.54M
301.80%962.22M
35.91%289.5M
35.91%289.5M
-24.94%244.8M
-7.85%648.83M
-85.57%239.48M
-87.89%213.01M
-87.89%213.01M
-87.40%326.13M
Receivables
10.82%300.44M
9.10%300.48M
-4.09%301.34M
-4.09%301.34M
9.43%335.22M
12.19%271.12M
47.80%275.41M
178.95%314.21M
178.95%314.21M
167.91%306.33M
-Accounts receivable
6.00%49.34M
8.39%47.89M
4.93%48.99M
4.93%48.99M
11.28%45.34M
13.65%46.55M
18.44%44.19M
36.51%46.69M
36.51%46.69M
34.68%40.75M
-Other receivables
11.81%251.1M
9.24%252.59M
-5.67%252.35M
-5.67%252.35M
9.15%289.88M
11.89%224.57M
55.15%231.22M
241.06%267.51M
241.06%267.51M
215.84%265.59M
Prepaid assets
----
----
8.91%9.48M
8.91%9.48M
----
----
----
9.44%8.71M
9.44%8.71M
----
Net loan
-2.45%8.53B
-1.83%8.62B
-1.89%8.74B
-1.89%8.74B
1.14%8.71B
2.28%8.74B
3.86%8.78B
14.61%8.91B
14.61%8.91B
11.35%8.62B
-Gross loan
-2.48%8.61B
-1.85%8.7B
-1.86%8.83B
-1.86%8.83B
1.20%8.8B
2.34%8.83B
3.95%8.86B
14.75%9B
14.75%9B
11.47%8.7B
-Allowance for loans and lease losses
-4.72%82.6M
-4.21%82.62M
2.14%86.63M
2.14%86.63M
7.75%88.75M
8.07%86.69M
13.55%86.26M
30.66%84.82M
30.66%84.82M
26.17%82.36M
-Unearned income
----
----
--0
--0
----
----
----
--0
--0
----
Securities and investments
-7.26%5.18B
-7.82%5.29B
-6.55%5.49B
-6.55%5.49B
-8.80%5.36B
-7.58%5.58B
-4.49%5.74B
13.54%5.88B
13.54%5.88B
26.83%5.88B
-Available for sale securities
----
----
6.24%69.94M
6.24%69.94M
----
----
----
1.65%65.83M
1.65%65.83M
----
-Held to maturity securities
-3.30%2.43B
-3.21%2.45B
-3.51%2.46B
-3.51%2.46B
-2.68%2.49B
4.16%2.51B
7.33%2.54B
32.62%2.55B
32.62%2.55B
49.50%2.56B
-Short term investments
-10.51%2.75B
-11.47%2.84B
-9.19%2.96B
-9.19%2.96B
-13.51%2.87B
-15.39%3.07B
-12.14%3.2B
2.24%3.26B
2.24%3.26B
13.56%3.32B
Federal home loan bank stock
-38.91%18.01M
-53.45%18.01M
-34.80%18.01M
-34.80%18.01M
0.00%18.01M
63.69%29.48M
114.84%38.7M
56.19%27.63M
56.19%27.63M
1.83%18.01M
Derivative assets
----
----
1,406.10%1.24M
1,406.10%1.24M
----
----
----
-99.42%82K
-99.42%82K
----
Bank owned life insurance
22.14%314.33M
21.05%310.74M
20.81%308.71M
20.81%308.71M
1.02%259.47M
-1.00%257.35M
-0.98%256.72M
1.57%255.53M
1.57%255.53M
2.01%256.85M
Net PPE
-5.02%43.23M
-4.11%43.45M
-4.37%66.36M
-4.37%66.36M
-6.03%44.56M
-3.36%45.52M
-15.21%45.31M
1.50%69.39M
1.50%69.39M
-4.80%47.42M
-Gross PPE
----
----
-2.80%139.87M
-2.80%139.87M
----
----
----
3.45%143.9M
3.45%143.9M
----
-Accumulated depreciation
----
----
1.35%-73.5M
1.35%-73.5M
----
----
----
-5.35%-74.51M
-5.35%-74.51M
----
Foreclosed assets
----
----
----
----
----
----
----
----
----
--0
Goodwill and other intangible assets
-0.75%778.24M
-0.79%779.68M
-0.82%781.11M
-0.82%781.11M
-0.85%782.56M
-0.89%784.13M
-0.92%785.85M
14.29%787.56M
14.29%787.56M
14.23%789.29M
-Goodwill
0.00%765.82M
0.00%765.82M
0.00%765.82M
0.00%765.82M
0.00%765.82M
0.00%765.82M
0.00%765.82M
15.39%765.82M
15.39%765.82M
15.39%765.82M
-Other intangible assets
-32.16%12.42M
-30.81%13.85M
-29.68%15.29M
-29.68%15.29M
-28.68%16.74M
-27.69%18.3M
-26.68%20.02M
-14.38%21.74M
-14.38%21.74M
-14.00%23.47M
Other assets
13.85%141.66M
26.36%145.82M
-15.10%9.88M
-15.10%9.88M
29.13%142.53M
11.10%124.43M
6.05%115.4M
-4.26%11.63M
-4.26%11.63M
-4.38%110.37M
Total assets
-2.02%16.15B
1.19%16.47B
-2.76%16.02B
-2.76%16.02B
-2.73%15.9B
-1.64%16.48B
-7.21%16.27B
3.73%16.48B
3.73%16.48B
0.91%16.35B
Liabilities
Total deposits
-4.90%11.79B
-3.07%11.89B
-10.93%11.43B
-10.93%11.43B
-10.91%12.36B
-11.90%12.4B
-15.30%12.27B
-1.08%12.84B
-1.08%12.84B
7.29%13.87B
Federal funds purchased and securities sold under agreement to repurchase
-40.57%268.83M
-43.76%275.72M
-51.96%271.64M
-51.96%271.64M
-42.38%269.55M
-10.03%452.37M
-18.15%490.24M
-11.98%565.43M
-11.98%565.43M
-29.07%467.84M
Payables
--34.4M
--45.4M
5,273.67%23.27M
5,273.67%23.27M
----
----
----
-99.14%433K
-99.14%433K
-97.94%8.7M
-Accounts payable
--34.4M
--45.4M
5,273.67%23.27M
5,273.67%23.27M
----
----
----
--433K
--433K
----
-Other payable
----
----
----
----
----
----
----
----
----
-97.94%8.7M
Current debt and capital lease obligation
----
----
108.04%2.07B
108.04%2.07B
--1.12B
--1.5B
--1.41B
43,521.22%995M
43,521.22%995M
--0
-Current debt
----
----
108.04%2.07B
108.04%2.07B
--1.12B
--1.5B
--1.41B
43,521.22%995M
43,521.22%995M
--0
Long term debt and capital lease obligation
--500M
--2B
----
----
----
----
----
----
----
----
-Long term debt
--500M
--2B
----
----
----
----
----
----
----
----
Employee benefits
1.39%23.42M
0.91%23.08M
1.10%22.34M
1.10%22.34M
1.06%22.13M
-3.44%23.1M
-4.49%22.87M
5.81%22.09M
5.81%22.09M
5.92%21.9M
Other liabilities
1,134.59%1.42B
56.10%147.19M
12.23%122.13M
12.23%122.13M
81.96%181.15M
16.84%115.19M
-1.24%94.29M
-0.95%108.82M
-0.95%108.82M
-5.60%99.55M
Total liabilities
-3.07%14.04B
0.68%14.38B
-4.03%13.94B
-4.03%13.94B
-3.59%13.95B
-1.99%14.48B
-7.63%14.28B
5.26%14.53B
5.26%14.53B
2.35%14.47B
Shareholders'equity
Share capital
0.56%1.29B
0.54%1.29B
-0.89%1.29B
-0.89%1.29B
-0.87%1.29B
-1.30%1.28B
-3.31%1.28B
7.49%1.3B
7.49%1.3B
7.38%1.3B
-common stock
0.56%1.29B
0.54%1.29B
-0.89%1.29B
-0.89%1.29B
-0.87%1.29B
-1.30%1.28B
-3.31%1.28B
7.49%1.3B
7.49%1.3B
7.38%1.3B
Retained earnings
8.78%1.16B
9.60%1.13B
10.95%1.11B
10.95%1.11B
13.21%1.09B
14.45%1.06B
15.46%1.03B
14.54%1B
14.54%1B
13.19%964.67M
Gains losses not affecting retained earnings
3.06%-334.33M
-2.81%-335.29M
8.80%-323.57M
8.80%-323.57M
-11.38%-427.14M
-39.72%-344.88M
-122.97%-326.13M
-8,841.43%-354.8M
-8,841.43%-354.8M
-12,559.29%-383.5M
Total stockholders'equity
5.55%2.11B
4.88%2.09B
6.64%2.08B
6.64%2.08B
3.86%1.95B
0.97%2B
-4.11%1.99B
-6.39%1.95B
-6.39%1.95B
-8.97%1.88B
Total equity
5.55%2.11B
4.88%2.09B
6.64%2.08B
6.64%2.08B
3.86%1.95B
0.97%2B
-4.11%1.99B
-6.39%1.95B
-6.39%1.95B
-8.97%1.88B
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
--
--
(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 31.24%851.54M301.80%962.22M35.91%289.5M35.91%289.5M-24.94%244.8M-7.85%648.83M-85.57%239.48M-87.89%213.01M-87.89%213.01M-87.40%326.13M
-Cash and cash equivalents 31.24%851.54M301.80%962.22M35.91%289.5M35.91%289.5M-24.94%244.8M-7.85%648.83M-85.57%239.48M-87.89%213.01M-87.89%213.01M-87.40%326.13M
Receivables 10.82%300.44M9.10%300.48M-4.09%301.34M-4.09%301.34M9.43%335.22M12.19%271.12M47.80%275.41M178.95%314.21M178.95%314.21M167.91%306.33M
-Accounts receivable 6.00%49.34M8.39%47.89M4.93%48.99M4.93%48.99M11.28%45.34M13.65%46.55M18.44%44.19M36.51%46.69M36.51%46.69M34.68%40.75M
-Other receivables 11.81%251.1M9.24%252.59M-5.67%252.35M-5.67%252.35M9.15%289.88M11.89%224.57M55.15%231.22M241.06%267.51M241.06%267.51M215.84%265.59M
Prepaid assets --------8.91%9.48M8.91%9.48M------------9.44%8.71M9.44%8.71M----
Net loan -2.45%8.53B-1.83%8.62B-1.89%8.74B-1.89%8.74B1.14%8.71B2.28%8.74B3.86%8.78B14.61%8.91B14.61%8.91B11.35%8.62B
-Gross loan -2.48%8.61B-1.85%8.7B-1.86%8.83B-1.86%8.83B1.20%8.8B2.34%8.83B3.95%8.86B14.75%9B14.75%9B11.47%8.7B
-Allowance for loans and lease losses -4.72%82.6M-4.21%82.62M2.14%86.63M2.14%86.63M7.75%88.75M8.07%86.69M13.55%86.26M30.66%84.82M30.66%84.82M26.17%82.36M
-Unearned income ----------0--0--------------0--0----
Securities and investments -7.26%5.18B-7.82%5.29B-6.55%5.49B-6.55%5.49B-8.80%5.36B-7.58%5.58B-4.49%5.74B13.54%5.88B13.54%5.88B26.83%5.88B
-Available for sale securities --------6.24%69.94M6.24%69.94M------------1.65%65.83M1.65%65.83M----
-Held to maturity securities -3.30%2.43B-3.21%2.45B-3.51%2.46B-3.51%2.46B-2.68%2.49B4.16%2.51B7.33%2.54B32.62%2.55B32.62%2.55B49.50%2.56B
-Short term investments -10.51%2.75B-11.47%2.84B-9.19%2.96B-9.19%2.96B-13.51%2.87B-15.39%3.07B-12.14%3.2B2.24%3.26B2.24%3.26B13.56%3.32B
Federal home loan bank stock -38.91%18.01M-53.45%18.01M-34.80%18.01M-34.80%18.01M0.00%18.01M63.69%29.48M114.84%38.7M56.19%27.63M56.19%27.63M1.83%18.01M
Derivative assets --------1,406.10%1.24M1,406.10%1.24M-------------99.42%82K-99.42%82K----
Bank owned life insurance 22.14%314.33M21.05%310.74M20.81%308.71M20.81%308.71M1.02%259.47M-1.00%257.35M-0.98%256.72M1.57%255.53M1.57%255.53M2.01%256.85M
Net PPE -5.02%43.23M-4.11%43.45M-4.37%66.36M-4.37%66.36M-6.03%44.56M-3.36%45.52M-15.21%45.31M1.50%69.39M1.50%69.39M-4.80%47.42M
-Gross PPE ---------2.80%139.87M-2.80%139.87M------------3.45%143.9M3.45%143.9M----
-Accumulated depreciation --------1.35%-73.5M1.35%-73.5M-------------5.35%-74.51M-5.35%-74.51M----
Foreclosed assets --------------------------------------0
Goodwill and other intangible assets -0.75%778.24M-0.79%779.68M-0.82%781.11M-0.82%781.11M-0.85%782.56M-0.89%784.13M-0.92%785.85M14.29%787.56M14.29%787.56M14.23%789.29M
-Goodwill 0.00%765.82M0.00%765.82M0.00%765.82M0.00%765.82M0.00%765.82M0.00%765.82M0.00%765.82M15.39%765.82M15.39%765.82M15.39%765.82M
-Other intangible assets -32.16%12.42M-30.81%13.85M-29.68%15.29M-29.68%15.29M-28.68%16.74M-27.69%18.3M-26.68%20.02M-14.38%21.74M-14.38%21.74M-14.00%23.47M
Other assets 13.85%141.66M26.36%145.82M-15.10%9.88M-15.10%9.88M29.13%142.53M11.10%124.43M6.05%115.4M-4.26%11.63M-4.26%11.63M-4.38%110.37M
Total assets -2.02%16.15B1.19%16.47B-2.76%16.02B-2.76%16.02B-2.73%15.9B-1.64%16.48B-7.21%16.27B3.73%16.48B3.73%16.48B0.91%16.35B
Liabilities
Total deposits -4.90%11.79B-3.07%11.89B-10.93%11.43B-10.93%11.43B-10.91%12.36B-11.90%12.4B-15.30%12.27B-1.08%12.84B-1.08%12.84B7.29%13.87B
Federal funds purchased and securities sold under agreement to repurchase -40.57%268.83M-43.76%275.72M-51.96%271.64M-51.96%271.64M-42.38%269.55M-10.03%452.37M-18.15%490.24M-11.98%565.43M-11.98%565.43M-29.07%467.84M
Payables --34.4M--45.4M5,273.67%23.27M5,273.67%23.27M-------------99.14%433K-99.14%433K-97.94%8.7M
-Accounts payable --34.4M--45.4M5,273.67%23.27M5,273.67%23.27M--------------433K--433K----
-Other payable -------------------------------------97.94%8.7M
Current debt and capital lease obligation --------108.04%2.07B108.04%2.07B--1.12B--1.5B--1.41B43,521.22%995M43,521.22%995M--0
-Current debt --------108.04%2.07B108.04%2.07B--1.12B--1.5B--1.41B43,521.22%995M43,521.22%995M--0
Long term debt and capital lease obligation --500M--2B--------------------------------
-Long term debt --500M--2B--------------------------------
Employee benefits 1.39%23.42M0.91%23.08M1.10%22.34M1.10%22.34M1.06%22.13M-3.44%23.1M-4.49%22.87M5.81%22.09M5.81%22.09M5.92%21.9M
Other liabilities 1,134.59%1.42B56.10%147.19M12.23%122.13M12.23%122.13M81.96%181.15M16.84%115.19M-1.24%94.29M-0.95%108.82M-0.95%108.82M-5.60%99.55M
Total liabilities -3.07%14.04B0.68%14.38B-4.03%13.94B-4.03%13.94B-3.59%13.95B-1.99%14.48B-7.63%14.28B5.26%14.53B5.26%14.53B2.35%14.47B
Shareholders'equity
Share capital 0.56%1.29B0.54%1.29B-0.89%1.29B-0.89%1.29B-0.87%1.29B-1.30%1.28B-3.31%1.28B7.49%1.3B7.49%1.3B7.38%1.3B
-common stock 0.56%1.29B0.54%1.29B-0.89%1.29B-0.89%1.29B-0.87%1.29B-1.30%1.28B-3.31%1.28B7.49%1.3B7.49%1.3B7.38%1.3B
Retained earnings 8.78%1.16B9.60%1.13B10.95%1.11B10.95%1.11B13.21%1.09B14.45%1.06B15.46%1.03B14.54%1B14.54%1B13.19%964.67M
Gains losses not affecting retained earnings 3.06%-334.33M-2.81%-335.29M8.80%-323.57M8.80%-323.57M-11.38%-427.14M-39.72%-344.88M-122.97%-326.13M-8,841.43%-354.8M-8,841.43%-354.8M-12,559.29%-383.5M
Total stockholders'equity 5.55%2.11B4.88%2.09B6.64%2.08B6.64%2.08B3.86%1.95B0.97%2B-4.11%1.99B-6.39%1.95B-6.39%1.95B-8.97%1.88B
Total equity 5.55%2.11B4.88%2.09B6.64%2.08B6.64%2.08B3.86%1.95B0.97%2B-4.11%1.99B-6.39%1.95B-6.39%1.95B-8.97%1.88B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --------------Unqualified Opinion----

Analysis

Analyst Rating

No Data

Price Target

No Data

Heat List
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Symbol
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