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FBPRM FIRST BANCORP PUERTO RICO

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  • 0.0000.00%
15min DelayTrading Nov 27 09:30 ET
0Market Cap0.00P/E (TTM)

FIRST BANCORP PUERTO RICO Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q3)Sep 30, 2021
(Q2)Jun 30, 2021
(Q1)Mar 31, 2021
(FY)Dec 31, 2020
(Q4)Dec 31, 2020
Assets
Cash cash equivalents and federal funds sold
-79.17%553.23M
-54.71%1.26B
11.80%1.69B
77.23%2.54B
77.23%2.54B
12.49%2.66B
131.41%2.79B
53.04%1.52B
162.23%1.43B
162.23%1.43B
-Cash and cash equivalents
-79.17%553.23M
-54.71%1.26B
11.80%1.69B
77.23%2.54B
77.23%2.54B
12.49%2.66B
131.41%2.79B
53.04%1.52B
162.23%1.43B
162.23%1.43B
Receivables
4.54%61.11M
-1.26%62.5M
-6.64%57.43M
-11.51%61.51M
-11.51%61.51M
-24.32%58.45M
0.50%63.3M
24.45%61.51M
38.44%69.51M
38.44%69.51M
-Accounts receivable
4.54%61.11M
-1.26%62.5M
-6.64%57.43M
-11.51%61.51M
-11.51%61.51M
-24.32%58.45M
0.50%63.3M
24.45%61.51M
38.44%69.51M
38.44%69.51M
Net loan
1.56%11.05B
-1.06%10.98B
-4.05%10.88B
-5.37%10.83B
-5.37%10.83B
-5.46%10.88B
22.12%11.1B
29.47%11.34B
28.75%11.44B
28.75%11.44B
-Gross loan
1.25%11.31B
-1.67%11.23B
-4.89%11.13B
-6.19%11.1B
-6.19%11.1B
-6.09%11.17B
21.43%11.42B
29.24%11.7B
33.10%11.83B
33.10%11.83B
-Allowance for loans and lease losses
-10.58%257.86M
-22.40%252.15M
-31.62%245.45M
-30.28%269.03M
-30.28%269.03M
-25.05%288.36M
1.77%324.96M
22.60%358.94M
--385.89M
--385.89M
Securities and investments
-9.83%5.93B
1.23%6.36B
21.30%6.42B
38.24%6.34B
38.24%6.34B
99.47%6.57B
137.91%6.28B
182.47%5.3B
102.13%4.58B
102.13%4.58B
-Available for sale securities
-33.93%24.73M
-12.93%32.84M
-22.97%32.01M
-14.42%32.17M
-14.42%32.17M
-4.74%37.43M
4.03%37.72M
4.87%41.56M
-1.73%37.59M
-1.73%37.59M
-Held to maturity securities
158.19%437.61M
150.57%449.34M
-8.34%165.74M
-6.13%169.56M
-6.13%169.56M
-5.30%169.49M
38.73%179.33M
39.88%180.81M
30.26%180.64M
30.26%180.64M
-Short term investments
-14.16%5.46B
-3.09%5.88B
22.72%6.23B
40.53%6.13B
40.53%6.13B
106.90%6.37B
145.04%6.07B
197.40%5.07B
108.80%4.37B
108.80%4.37B
Net PPE
-4.31%143.43M
-4.95%145.4M
-5.71%145.85M
-7.45%146.42M
-7.45%146.42M
-6.18%149.89M
3.32%152.97M
3.22%154.68M
5.48%158.21M
5.48%158.21M
-Gross PPE
----
----
----
-16.52%398.08M
-16.52%398.08M
----
----
----
25.92%476.87M
25.92%476.87M
-Accumulated depreciation
----
----
----
21.03%-251.66M
21.03%-251.66M
----
----
----
-39.33%-318.66M
-39.33%-318.66M
Foreclosed assets
-11.68%38.68M
-37.37%41.71M
-45.85%42.89M
-50.82%40.85M
-50.82%40.85M
-50.82%43.8M
-30.87%66.59M
-20.53%79.21M
-18.27%83.06M
-18.27%83.06M
Goodwill and other intangible assets
-13.25%61.86M
-13.61%64.04M
-13.95%66.26M
-13.81%68.55M
-13.81%68.55M
-8.93%71.3M
--74.12M
--77M
122.94%79.53M
122.94%79.53M
-Goodwill
0.00%38.61M
0.00%38.61M
0.00%38.61M
-0.05%38.61M
-0.05%38.61M
12.24%38.61M
--38.61M
--38.61M
37.49%38.63M
37.49%38.63M
-Other intangible assets
-28.89%23.25M
-28.41%25.42M
-27.98%27.65M
-26.80%29.93M
-26.80%29.93M
-25.53%32.69M
--35.51M
--38.39M
439.98%40.89M
439.98%40.89M
Other assets
-24.22%437.56M
-21.49%449.43M
-24.45%442M
-9.63%555.32M
-9.63%555.32M
-22.03%577.41M
3.87%572.43M
-28.48%585.03M
99.52%614.53M
99.52%614.53M
Total assets
-13.24%18.44B
-8.60%19.53B
2.65%19.93B
10.60%20.79B
10.60%20.79B
13.91%21.26B
51.60%21.37B
48.79%19.41B
49.02%18.79B
49.02%18.79B
Liabilities
Total deposits
-7.87%16.57B
-5.15%17.14B
8.28%17.34B
16.11%17.78B
16.11%17.78B
18.30%17.98B
68.93%18.07B
67.43%16.01B
63.85%15.32B
63.85%15.32B
Federal funds purchased and securities sold under agreement to repurchase
-33.33%200M
-33.33%200M
-33.33%200M
0.00%300M
0.00%300M
0.00%300M
0.00%300M
0.00%300M
200.00%300M
200.00%300M
Payables
-17.20%223.36M
-14.22%249.83M
-11.71%228.77M
-22.37%214.85M
-22.37%214.85M
4.63%269.77M
38.21%291.25M
46.59%259.11M
53.23%276.75M
53.23%276.75M
-Accounts payable
-17.20%223.36M
-14.22%249.83M
-11.71%228.77M
-22.37%214.85M
-22.37%214.85M
4.63%269.77M
38.21%291.25M
46.59%259.11M
53.23%276.75M
53.23%276.75M
Long term debt and capital lease obligation
-63.52%183.76M
-23.82%383.76M
-38.48%383.76M
-38.48%383.76M
-38.48%383.76M
-25.23%503.76M
-25.27%503.76M
-19.94%623.76M
-17.29%623.76M
-17.29%623.76M
-Long term debt
-63.52%183.76M
-23.82%383.76M
-38.48%383.76M
-38.48%383.76M
-38.48%383.76M
-25.23%503.76M
-25.27%503.76M
-19.94%623.76M
-17.29%623.76M
-17.29%623.76M
Total liabilities
-9.87%17.18B
-6.22%17.97B
5.55%18.15B
13.11%18.68B
13.11%18.68B
15.96%19.06B
61.30%19.17B
58.49%17.19B
59.08%16.52B
59.08%16.52B
Shareholders'equity
Share capital
-61.75%22.37M
-61.75%22.37M
-61.75%22.37M
-61.71%22.37M
-61.71%22.37M
0.11%58.47M
0.11%58.47M
0.11%58.47M
0.16%58.41M
0.16%58.41M
-common stock
0.00%22.37M
0.01%22.37M
0.01%22.37M
0.28%22.37M
0.28%22.37M
0.28%22.37M
0.30%22.36M
0.30%22.36M
0.42%22.3M
0.42%22.3M
-Preferred stock
----
----
----
--0
--0
0.00%36.1M
0.00%36.1M
0.00%36.1M
0.00%36.1M
0.00%36.1M
Paid-in capital
21.30%969.37M
-30.47%589.18M
-27.33%687.07M
-22.00%738.29M
-22.00%738.29M
-15.45%799.13M
-10.21%847.41M
0.31%945.48M
0.51%946.48M
0.51%946.48M
Retained earnings
15.81%1.59B
17.18%1.54B
18.21%1.49B
17.44%1.43B
17.44%1.43B
16.91%1.38B
13.41%1.32B
9.59%1.26B
-0.53%1.22B
-0.53%1.22B
Less: Treasury stock
26,531.35%456.99M
146.76%3.2M
399.20%2.5M
354.79%2.18M
354.79%2.18M
257.50%1.72M
170.42%1.3M
4.17%500K
1.27%480K
1.27%480K
Gains losses not affecting retained earnings
-2,458.55%-862.69M
-3,850.83%-591.76M
-856.51%-415.83M
-251.47%-84M
-251.47%-84M
-174.39%-33.72M
-128.12%-14.98M
-188.51%-43.47M
719.86%55.46M
719.86%55.46M
Total stockholders'equity
-42.43%1.27B
-29.34%1.56B
-19.79%1.78B
-7.62%2.1B
-7.62%2.1B
-1.23%2.2B
-0.45%2.2B
0.94%2.22B
2.11%2.28B
2.11%2.28B
Total equity
-42.43%1.27B
-29.34%1.56B
-19.79%1.78B
-7.62%2.1B
-7.62%2.1B
-1.23%2.2B
-0.45%2.2B
0.94%2.22B
2.11%2.28B
2.11%2.28B
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
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
(Q3)Sep 30, 2022(Q2)Jun 30, 2022(Q1)Mar 31, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q3)Sep 30, 2021(Q2)Jun 30, 2021(Q1)Mar 31, 2021(FY)Dec 31, 2020(Q4)Dec 31, 2020
Assets
Cash cash equivalents and federal funds sold -79.17%553.23M-54.71%1.26B11.80%1.69B77.23%2.54B77.23%2.54B12.49%2.66B131.41%2.79B53.04%1.52B162.23%1.43B162.23%1.43B
-Cash and cash equivalents -79.17%553.23M-54.71%1.26B11.80%1.69B77.23%2.54B77.23%2.54B12.49%2.66B131.41%2.79B53.04%1.52B162.23%1.43B162.23%1.43B
Receivables 4.54%61.11M-1.26%62.5M-6.64%57.43M-11.51%61.51M-11.51%61.51M-24.32%58.45M0.50%63.3M24.45%61.51M38.44%69.51M38.44%69.51M
-Accounts receivable 4.54%61.11M-1.26%62.5M-6.64%57.43M-11.51%61.51M-11.51%61.51M-24.32%58.45M0.50%63.3M24.45%61.51M38.44%69.51M38.44%69.51M
Net loan 1.56%11.05B-1.06%10.98B-4.05%10.88B-5.37%10.83B-5.37%10.83B-5.46%10.88B22.12%11.1B29.47%11.34B28.75%11.44B28.75%11.44B
-Gross loan 1.25%11.31B-1.67%11.23B-4.89%11.13B-6.19%11.1B-6.19%11.1B-6.09%11.17B21.43%11.42B29.24%11.7B33.10%11.83B33.10%11.83B
-Allowance for loans and lease losses -10.58%257.86M-22.40%252.15M-31.62%245.45M-30.28%269.03M-30.28%269.03M-25.05%288.36M1.77%324.96M22.60%358.94M--385.89M--385.89M
Securities and investments -9.83%5.93B1.23%6.36B21.30%6.42B38.24%6.34B38.24%6.34B99.47%6.57B137.91%6.28B182.47%5.3B102.13%4.58B102.13%4.58B
-Available for sale securities -33.93%24.73M-12.93%32.84M-22.97%32.01M-14.42%32.17M-14.42%32.17M-4.74%37.43M4.03%37.72M4.87%41.56M-1.73%37.59M-1.73%37.59M
-Held to maturity securities 158.19%437.61M150.57%449.34M-8.34%165.74M-6.13%169.56M-6.13%169.56M-5.30%169.49M38.73%179.33M39.88%180.81M30.26%180.64M30.26%180.64M
-Short term investments -14.16%5.46B-3.09%5.88B22.72%6.23B40.53%6.13B40.53%6.13B106.90%6.37B145.04%6.07B197.40%5.07B108.80%4.37B108.80%4.37B
Net PPE -4.31%143.43M-4.95%145.4M-5.71%145.85M-7.45%146.42M-7.45%146.42M-6.18%149.89M3.32%152.97M3.22%154.68M5.48%158.21M5.48%158.21M
-Gross PPE -------------16.52%398.08M-16.52%398.08M------------25.92%476.87M25.92%476.87M
-Accumulated depreciation ------------21.03%-251.66M21.03%-251.66M-------------39.33%-318.66M-39.33%-318.66M
Foreclosed assets -11.68%38.68M-37.37%41.71M-45.85%42.89M-50.82%40.85M-50.82%40.85M-50.82%43.8M-30.87%66.59M-20.53%79.21M-18.27%83.06M-18.27%83.06M
Goodwill and other intangible assets -13.25%61.86M-13.61%64.04M-13.95%66.26M-13.81%68.55M-13.81%68.55M-8.93%71.3M--74.12M--77M122.94%79.53M122.94%79.53M
-Goodwill 0.00%38.61M0.00%38.61M0.00%38.61M-0.05%38.61M-0.05%38.61M12.24%38.61M--38.61M--38.61M37.49%38.63M37.49%38.63M
-Other intangible assets -28.89%23.25M-28.41%25.42M-27.98%27.65M-26.80%29.93M-26.80%29.93M-25.53%32.69M--35.51M--38.39M439.98%40.89M439.98%40.89M
Other assets -24.22%437.56M-21.49%449.43M-24.45%442M-9.63%555.32M-9.63%555.32M-22.03%577.41M3.87%572.43M-28.48%585.03M99.52%614.53M99.52%614.53M
Total assets -13.24%18.44B-8.60%19.53B2.65%19.93B10.60%20.79B10.60%20.79B13.91%21.26B51.60%21.37B48.79%19.41B49.02%18.79B49.02%18.79B
Liabilities
Total deposits -7.87%16.57B-5.15%17.14B8.28%17.34B16.11%17.78B16.11%17.78B18.30%17.98B68.93%18.07B67.43%16.01B63.85%15.32B63.85%15.32B
Federal funds purchased and securities sold under agreement to repurchase -33.33%200M-33.33%200M-33.33%200M0.00%300M0.00%300M0.00%300M0.00%300M0.00%300M200.00%300M200.00%300M
Payables -17.20%223.36M-14.22%249.83M-11.71%228.77M-22.37%214.85M-22.37%214.85M4.63%269.77M38.21%291.25M46.59%259.11M53.23%276.75M53.23%276.75M
-Accounts payable -17.20%223.36M-14.22%249.83M-11.71%228.77M-22.37%214.85M-22.37%214.85M4.63%269.77M38.21%291.25M46.59%259.11M53.23%276.75M53.23%276.75M
Long term debt and capital lease obligation -63.52%183.76M-23.82%383.76M-38.48%383.76M-38.48%383.76M-38.48%383.76M-25.23%503.76M-25.27%503.76M-19.94%623.76M-17.29%623.76M-17.29%623.76M
-Long term debt -63.52%183.76M-23.82%383.76M-38.48%383.76M-38.48%383.76M-38.48%383.76M-25.23%503.76M-25.27%503.76M-19.94%623.76M-17.29%623.76M-17.29%623.76M
Total liabilities -9.87%17.18B-6.22%17.97B5.55%18.15B13.11%18.68B13.11%18.68B15.96%19.06B61.30%19.17B58.49%17.19B59.08%16.52B59.08%16.52B
Shareholders'equity
Share capital -61.75%22.37M-61.75%22.37M-61.75%22.37M-61.71%22.37M-61.71%22.37M0.11%58.47M0.11%58.47M0.11%58.47M0.16%58.41M0.16%58.41M
-common stock 0.00%22.37M0.01%22.37M0.01%22.37M0.28%22.37M0.28%22.37M0.28%22.37M0.30%22.36M0.30%22.36M0.42%22.3M0.42%22.3M
-Preferred stock --------------0--00.00%36.1M0.00%36.1M0.00%36.1M0.00%36.1M0.00%36.1M
Paid-in capital 21.30%969.37M-30.47%589.18M-27.33%687.07M-22.00%738.29M-22.00%738.29M-15.45%799.13M-10.21%847.41M0.31%945.48M0.51%946.48M0.51%946.48M
Retained earnings 15.81%1.59B17.18%1.54B18.21%1.49B17.44%1.43B17.44%1.43B16.91%1.38B13.41%1.32B9.59%1.26B-0.53%1.22B-0.53%1.22B
Less: Treasury stock 26,531.35%456.99M146.76%3.2M399.20%2.5M354.79%2.18M354.79%2.18M257.50%1.72M170.42%1.3M4.17%500K1.27%480K1.27%480K
Gains losses not affecting retained earnings -2,458.55%-862.69M-3,850.83%-591.76M-856.51%-415.83M-251.47%-84M-251.47%-84M-174.39%-33.72M-128.12%-14.98M-188.51%-43.47M719.86%55.46M719.86%55.46M
Total stockholders'equity -42.43%1.27B-29.34%1.56B-19.79%1.78B-7.62%2.1B-7.62%2.1B-1.23%2.2B-0.45%2.2B0.94%2.22B2.11%2.28B2.11%2.28B
Total equity -42.43%1.27B-29.34%1.56B-19.79%1.78B-7.62%2.1B-7.62%2.1B-1.23%2.2B-0.45%2.2B0.94%2.22B2.11%2.28B2.11%2.28B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--

Analysis

Analyst Rating

No Data

Price Target

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Heat List
US
Overall
Symbol
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% Chg

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