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FDBC Fidelity D & D Bancorp

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  • 44.850
  • +1.420+3.27%
Close Feb 28 16:00 ET
  • 44.850
  • 0.0000.00%
Post 16:16 ET
257.27MMarket Cap12.46P/E (TTM)

Fidelity D & D 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
-24.63%87.31M
-24.63%87.31M
8.61%124.11M
11.85%82.05M
11.14%76.69M
237.19%115.85M
237.19%115.85M
-17.00%114.27M
-34.93%73.36M
-31.43%69.01M
-Cash and cash equivalents
-25.54%83.35M
-25.54%83.35M
8.78%120.17M
12.14%78.09M
15.38%72.73M
284.82%111.95M
284.82%111.95M
-17.58%110.47M
-36.19%69.63M
-35.28%63.04M
-Restricted cash and investments
1.43%3.96M
1.43%3.96M
3.79%3.94M
6.44%3.97M
-33.66%3.96M
-25.87%3.91M
-25.87%3.91M
4.42%3.8M
2.93%3.73M
84.71%5.97M
Receivables
----
----
-10.00%38.39M
-4.72%41M
-1.48%41.94M
2.36%42.69M
2.36%42.69M
5.84%42.66M
7.15%43.03M
23.17%42.57M
-Accounts receivable
----
----
11.92%9.8M
18.39%9.88M
8.45%9.4M
7.13%9.09M
7.13%9.09M
12.57%8.76M
5.49%8.34M
16.73%8.67M
-Other receivables
----
----
-15.67%28.59M
-10.28%31.13M
-4.01%32.54M
1.14%33.6M
1.14%33.6M
4.23%33.9M
7.56%34.69M
24.94%33.91M
Net loan
9.00%1.78B
9.00%1.78B
9.56%1.75B
6.33%1.68B
4.48%1.65B
7.83%1.63B
7.83%1.63B
8.13%1.59B
9.20%1.58B
9.71%1.58B
-Gross loan
8.81%1.8B
8.81%1.8B
9.49%1.77B
6.30%1.7B
4.50%1.67B
7.86%1.65B
7.86%1.65B
8.17%1.62B
9.21%1.6B
9.75%1.6B
-Allowance for loans and lease losses
4.57%19.67M
4.57%19.67M
4.65%19.63M
3.41%18.98M
5.45%18.89M
9.66%18.81M
9.66%18.81M
11.79%18.76M
10.61%18.35M
11.37%17.91M
-Unearned income
----
----
2.46%-1.94M
-9.02%-2.06M
-14.17%-2.08M
-16.78%-2.04M
-16.78%-2.04M
-10.93%-1.99M
-6.74%-1.89M
-27.25%-1.82M
Securities and investments
-1.94%557.22M
-1.94%557.22M
-2.93%559.82M
-8.57%552.5M
-9.03%559.02M
-11.70%568.27M
-11.70%568.27M
-9.30%576.69M
-10.46%604.26M
-13.64%614.53M
-Available for sale securities
--557.22M
--557.22M
----
----
----
----
----
----
----
----
-Held to maturity securities
----
----
0.68%225.37M
0.68%224.99M
0.67%224.61M
0.67%224.23M
0.67%224.23M
0.67%223.85M
0.66%223.48M
--223.11M
-Short term investments
----
----
-5.21%334.45M
-13.99%327.51M
-14.57%334.4M
-18.25%344.04M
-18.25%344.04M
-14.65%352.84M
-15.91%380.79M
-44.99%391.41M
Bank owned life insurance
6.41%58.07M
6.41%58.07M
6.35%57.67M
6.28%57.28M
2.53%54.92M
0.99%54.57M
0.99%54.57M
0.96%54.23M
0.95%53.89M
0.95%53.57M
Net PPE
-16.82%35.91M
-16.82%35.91M
8.96%45.93M
12.55%45.82M
10.03%45.07M
5.21%43.18M
5.21%43.18M
3.00%42.16M
-0.38%40.71M
-1.37%40.96M
-Gross PPE
----
----
6.98%45.93M
10.58%45.82M
10.42%45.97M
4.63%66.62M
4.63%66.62M
3.53%42.93M
0.21%41.44M
-0.79%41.63M
-Accumulated depreciation
----
----
----
----
-34.83%-898K
-3.58%-23.45M
-3.58%-23.45M
-42.67%-779K
-49.69%-726K
-55.24%-666K
Assets held for sale
----
----
405.75%440K
-89.66%9K
152.87%220K
-99.40%1K
-99.40%1K
-15.53%87K
-32.03%87K
-42.38%87K
Goodwill and other intangible assets
-1.48%20.5M
-1.48%20.5M
-1.54%20.58M
-1.58%20.65M
-1.63%20.73M
-1.68%20.81M
-1.68%20.81M
-1.73%20.9M
-1.77%20.98M
-1.82%21.07M
-Goodwill
----
----
-0.01%19.63M
0.00%19.63M
0.00%19.63M
0.00%19.63M
0.00%19.63M
0.00%19.63M
0.00%19.63M
0.00%19.63M
-Other intangible assets
----
----
-25.22%949K
-24.54%1.02M
-23.77%1.1M
-23.12%1.18M
-23.12%1.18M
-22.43%1.27M
-21.88%1.35M
-21.32%1.44M
Other assets
87.91%44.4M
87.91%44.4M
-29.99%21.66M
-13.39%22.93M
-5.61%24.44M
-11.99%23.63M
-11.99%23.63M
-0.08%30.94M
1.87%26.47M
18.26%25.89M
Total assets
3.25%2.58B
3.25%2.58B
5.62%2.62B
2.43%2.5B
1.06%2.47B
5.25%2.5B
5.25%2.5B
1.69%2.48B
1.09%2.44B
0.92%2.44B
Liabilities
Total deposits
8.45%2.34B
8.45%2.34B
8.86%2.34B
0.80%2.17B
3.40%2.22B
-0.39%2.16B
-0.39%2.16B
-4.50%2.15B
-2.96%2.15B
-3.03%2.14B
Current debt and capital lease obligation
--0
--0
-79.84%25M
28.92%98.12M
-71.91%25M
804.17%117M
804.17%117M
1,239,900.00%124M
761,010.00%76.11M
--88.99M
-Current debt
--0
--0
-79.84%25M
28.92%98.12M
-71.91%25M
804.17%117M
804.17%117M
1,239,900.00%124M
761,010.00%76.11M
--88.99M
Long term provisions
----
----
15.86%1.17M
-19.47%1.03M
-32.98%894K
1,826.53%944K
1,826.53%944K
--1.01M
--1.28M
--1.33M
Long term debt and capital lease obligation
-63.40%6.27M
-63.40%6.27M
-3.45%17.14M
2.93%18.18M
2.86%18.39M
-5.33%17.12M
-5.33%17.12M
-3.31%17.76M
-4.23%17.66M
-16.62%17.87M
-Long term debt
-15.00%6.27M
-15.00%6.27M
-15.00%6.32M
-3.48%7.24M
-3.45%7.3M
-3.24%7.37M
-3.24%7.37M
-3.24%7.44M
-3.08%7.5M
-28.49%7.56M
-Long term capital lease obligation
----
----
4.89%10.82M
7.67%10.94M
7.48%11.09M
-6.85%9.75M
-6.85%9.75M
-3.35%10.32M
-5.06%10.16M
-5.06%10.31M
Other liabilities
66.23%33.56M
66.23%33.56M
35.51%22.85M
12.47%18.49M
7.19%16.99M
15.80%20.19M
15.80%20.19M
-4.59%16.86M
1.19%16.44M
12.46%15.85M
Total liabilities
2.89%2.38B
2.89%2.38B
4.21%2.41B
1.83%2.3B
0.45%2.28B
4.44%2.31B
4.44%2.31B
0.97%2.31B
0.50%2.26B
0.96%2.27B
Shareholders'equity
Share capital
----
----
1.58%119.11M
1.55%118.78M
1.72%118.44M
1.80%117.7M
1.80%117.7M
1.66%117.26M
1.63%116.96M
1.54%116.44M
-common stock
----
----
1.58%119.11M
1.55%118.78M
1.72%118.44M
1.80%117.7M
1.80%117.7M
1.66%117.26M
1.63%116.96M
1.54%116.44M
-Preferred stock
----
----
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
----
----
5.10%136.6M
5.63%133.84M
6.24%131.11M
7.10%128.25M
7.10%128.25M
13.36%129.98M
16.41%126.71M
19.74%123.42M
Less: Treasury stock
----
----
--0
--0
--0
--0
--0
-76.03%296K
69.59%658K
--1.03M
Gains losses not affecting retained earnings
----
----
40.55%-48.45M
12.78%-56.93M
7.98%-57.91M
20.64%-56.47M
20.64%-56.47M
0.93%-81.5M
-7.14%-65.27M
-48.10%-62.94M
Total stockholders'equity
7.65%203.97M
7.65%203.97M
25.28%207.26M
10.10%195.69M
8.95%191.64M
16.28%189.48M
16.28%189.48M
12.93%165.43M
9.30%177.74M
0.37%175.89M
Total equity
7.65%203.97M
7.65%203.97M
25.28%207.26M
10.10%195.69M
8.95%191.64M
16.28%189.48M
16.28%189.48M
12.93%165.43M
9.30%177.74M
0.37%175.89M
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 -24.63%87.31M-24.63%87.31M8.61%124.11M11.85%82.05M11.14%76.69M237.19%115.85M237.19%115.85M-17.00%114.27M-34.93%73.36M-31.43%69.01M
-Cash and cash equivalents -25.54%83.35M-25.54%83.35M8.78%120.17M12.14%78.09M15.38%72.73M284.82%111.95M284.82%111.95M-17.58%110.47M-36.19%69.63M-35.28%63.04M
-Restricted cash and investments 1.43%3.96M1.43%3.96M3.79%3.94M6.44%3.97M-33.66%3.96M-25.87%3.91M-25.87%3.91M4.42%3.8M2.93%3.73M84.71%5.97M
Receivables ---------10.00%38.39M-4.72%41M-1.48%41.94M2.36%42.69M2.36%42.69M5.84%42.66M7.15%43.03M23.17%42.57M
-Accounts receivable --------11.92%9.8M18.39%9.88M8.45%9.4M7.13%9.09M7.13%9.09M12.57%8.76M5.49%8.34M16.73%8.67M
-Other receivables ---------15.67%28.59M-10.28%31.13M-4.01%32.54M1.14%33.6M1.14%33.6M4.23%33.9M7.56%34.69M24.94%33.91M
Net loan 9.00%1.78B9.00%1.78B9.56%1.75B6.33%1.68B4.48%1.65B7.83%1.63B7.83%1.63B8.13%1.59B9.20%1.58B9.71%1.58B
-Gross loan 8.81%1.8B8.81%1.8B9.49%1.77B6.30%1.7B4.50%1.67B7.86%1.65B7.86%1.65B8.17%1.62B9.21%1.6B9.75%1.6B
-Allowance for loans and lease losses 4.57%19.67M4.57%19.67M4.65%19.63M3.41%18.98M5.45%18.89M9.66%18.81M9.66%18.81M11.79%18.76M10.61%18.35M11.37%17.91M
-Unearned income --------2.46%-1.94M-9.02%-2.06M-14.17%-2.08M-16.78%-2.04M-16.78%-2.04M-10.93%-1.99M-6.74%-1.89M-27.25%-1.82M
Securities and investments -1.94%557.22M-1.94%557.22M-2.93%559.82M-8.57%552.5M-9.03%559.02M-11.70%568.27M-11.70%568.27M-9.30%576.69M-10.46%604.26M-13.64%614.53M
-Available for sale securities --557.22M--557.22M--------------------------------
-Held to maturity securities --------0.68%225.37M0.68%224.99M0.67%224.61M0.67%224.23M0.67%224.23M0.67%223.85M0.66%223.48M--223.11M
-Short term investments ---------5.21%334.45M-13.99%327.51M-14.57%334.4M-18.25%344.04M-18.25%344.04M-14.65%352.84M-15.91%380.79M-44.99%391.41M
Bank owned life insurance 6.41%58.07M6.41%58.07M6.35%57.67M6.28%57.28M2.53%54.92M0.99%54.57M0.99%54.57M0.96%54.23M0.95%53.89M0.95%53.57M
Net PPE -16.82%35.91M-16.82%35.91M8.96%45.93M12.55%45.82M10.03%45.07M5.21%43.18M5.21%43.18M3.00%42.16M-0.38%40.71M-1.37%40.96M
-Gross PPE --------6.98%45.93M10.58%45.82M10.42%45.97M4.63%66.62M4.63%66.62M3.53%42.93M0.21%41.44M-0.79%41.63M
-Accumulated depreciation -----------------34.83%-898K-3.58%-23.45M-3.58%-23.45M-42.67%-779K-49.69%-726K-55.24%-666K
Assets held for sale --------405.75%440K-89.66%9K152.87%220K-99.40%1K-99.40%1K-15.53%87K-32.03%87K-42.38%87K
Goodwill and other intangible assets -1.48%20.5M-1.48%20.5M-1.54%20.58M-1.58%20.65M-1.63%20.73M-1.68%20.81M-1.68%20.81M-1.73%20.9M-1.77%20.98M-1.82%21.07M
-Goodwill ---------0.01%19.63M0.00%19.63M0.00%19.63M0.00%19.63M0.00%19.63M0.00%19.63M0.00%19.63M0.00%19.63M
-Other intangible assets ---------25.22%949K-24.54%1.02M-23.77%1.1M-23.12%1.18M-23.12%1.18M-22.43%1.27M-21.88%1.35M-21.32%1.44M
Other assets 87.91%44.4M87.91%44.4M-29.99%21.66M-13.39%22.93M-5.61%24.44M-11.99%23.63M-11.99%23.63M-0.08%30.94M1.87%26.47M18.26%25.89M
Total assets 3.25%2.58B3.25%2.58B5.62%2.62B2.43%2.5B1.06%2.47B5.25%2.5B5.25%2.5B1.69%2.48B1.09%2.44B0.92%2.44B
Liabilities
Total deposits 8.45%2.34B8.45%2.34B8.86%2.34B0.80%2.17B3.40%2.22B-0.39%2.16B-0.39%2.16B-4.50%2.15B-2.96%2.15B-3.03%2.14B
Current debt and capital lease obligation --0--0-79.84%25M28.92%98.12M-71.91%25M804.17%117M804.17%117M1,239,900.00%124M761,010.00%76.11M--88.99M
-Current debt --0--0-79.84%25M28.92%98.12M-71.91%25M804.17%117M804.17%117M1,239,900.00%124M761,010.00%76.11M--88.99M
Long term provisions --------15.86%1.17M-19.47%1.03M-32.98%894K1,826.53%944K1,826.53%944K--1.01M--1.28M--1.33M
Long term debt and capital lease obligation -63.40%6.27M-63.40%6.27M-3.45%17.14M2.93%18.18M2.86%18.39M-5.33%17.12M-5.33%17.12M-3.31%17.76M-4.23%17.66M-16.62%17.87M
-Long term debt -15.00%6.27M-15.00%6.27M-15.00%6.32M-3.48%7.24M-3.45%7.3M-3.24%7.37M-3.24%7.37M-3.24%7.44M-3.08%7.5M-28.49%7.56M
-Long term capital lease obligation --------4.89%10.82M7.67%10.94M7.48%11.09M-6.85%9.75M-6.85%9.75M-3.35%10.32M-5.06%10.16M-5.06%10.31M
Other liabilities 66.23%33.56M66.23%33.56M35.51%22.85M12.47%18.49M7.19%16.99M15.80%20.19M15.80%20.19M-4.59%16.86M1.19%16.44M12.46%15.85M
Total liabilities 2.89%2.38B2.89%2.38B4.21%2.41B1.83%2.3B0.45%2.28B4.44%2.31B4.44%2.31B0.97%2.31B0.50%2.26B0.96%2.27B
Shareholders'equity
Share capital --------1.58%119.11M1.55%118.78M1.72%118.44M1.80%117.7M1.80%117.7M1.66%117.26M1.63%116.96M1.54%116.44M
-common stock --------1.58%119.11M1.55%118.78M1.72%118.44M1.80%117.7M1.80%117.7M1.66%117.26M1.63%116.96M1.54%116.44M
-Preferred stock ----------0--0--0--0--0--0--0--0
Retained earnings --------5.10%136.6M5.63%133.84M6.24%131.11M7.10%128.25M7.10%128.25M13.36%129.98M16.41%126.71M19.74%123.42M
Less: Treasury stock ----------0--0--0--0--0-76.03%296K69.59%658K--1.03M
Gains losses not affecting retained earnings --------40.55%-48.45M12.78%-56.93M7.98%-57.91M20.64%-56.47M20.64%-56.47M0.93%-81.5M-7.14%-65.27M-48.10%-62.94M
Total stockholders'equity 7.65%203.97M7.65%203.97M25.28%207.26M10.10%195.69M8.95%191.64M16.28%189.48M16.28%189.48M12.93%165.43M9.30%177.74M0.37%175.89M
Total equity 7.65%203.97M7.65%203.97M25.28%207.26M10.10%195.69M8.95%191.64M16.28%189.48M16.28%189.48M12.93%165.43M9.30%177.74M0.37%175.89M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------Unqualified Opinion with Explanatory Notes--------