US Stock MarketDetailed Quotes

MCB Metropolitan Bank

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  • 52.120
  • +3.860+8.00%
Close Aug 23 16:00 ET
  • 52.120
  • 0.0000.00%
Post 16:01 ET
583.38MMarket Cap8.30P/E (TTM)

Metropolitan Bank 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
21.25%244.66M
78.43%534.4M
4.68%269.47M
4.68%269.47M
-74.98%177.37M
-84.96%201.78M
-78.82%299.5M
-89.09%257.42M
-89.09%257.42M
-61.84%708.78M
-Cash and cash equivalents
21.25%244.66M
78.43%534.4M
4.68%269.47M
4.68%269.47M
-74.98%177.37M
-84.96%201.78M
-78.82%299.5M
-89.09%257.42M
-89.09%257.42M
-61.84%708.78M
Receivables
6.72%90.63M
12.01%93.85M
2.39%87.65M
2.39%87.65M
-16.63%79.89M
-1.73%84.92M
6.99%83.79M
114.74%85.61M
114.74%85.61M
55.04%95.83M
-Accounts receivable
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50.84%20.37M
-Other receivables
6.72%90.63M
12.01%93.85M
2.39%87.65M
2.39%87.65M
5.88%79.89M
24.49%84.92M
34.86%83.79M
114.74%85.61M
114.74%85.61M
56.22%75.46M
Prepaid assets
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175.01%37.31M
Net loan
13.36%5.78B
17.83%5.66B
16.08%5.57B
16.08%5.57B
15.90%5.3B
17.61%5.1B
17.65%4.8B
29.71%4.8B
29.71%4.8B
28.32%4.57B
-Gross loan
13.37%5.86B
17.91%5.74B
16.25%5.64B
16.25%5.64B
16.02%5.37B
17.76%5.17B
17.80%4.87B
29.79%4.85B
29.79%4.85B
28.21%4.63B
-Allowance for loans and lease losses
16.18%60.01M
22.59%58.54M
29.17%57.97M
29.17%57.97M
22.94%52.3M
27.42%51.65M
25.22%47.75M
29.22%44.88M
29.22%44.88M
11.59%42.54M
-Unearned income
-7.06%-16.64M
-26.82%-16.91M
-32.71%-17.22M
-32.71%-17.22M
-36.53%-15.73M
-42.13%-15.54M
-54.42%-13.33M
-70.73%-12.97M
-70.73%-12.97M
-61.82%-11.52M
Securities and investments
1.14%982.82M
1.84%992.82M
-0.94%971.16M
-0.94%971.16M
-1.91%945.77M
-4.34%971.79M
-1.70%974.88M
1.80%980.33M
1.80%980.33M
55.64%964.15M
-Available for sale securities
-4.65%28.71M
19.18%34.78M
70.08%41.09M
70.08%41.09M
89.79%37.03M
54.68%30.11M
60.70%29.19M
69.28%24.16M
69.28%24.16M
36.56%19.51M
-Held to maturity securities
-12.85%449.37M
-8.23%460.25M
-8.14%468.86M
-8.14%468.86M
-8.15%478.89M
-2.85%515.61M
7.19%501.53M
33.58%510.43M
33.58%510.43M
25,749.08%521.38M
-Short term investments
18.47%504.75M
12.07%497.79M
3.47%461.21M
3.47%461.21M
1.56%429.85M
-8.50%426.07M
-12.17%444.17M
-21.33%445.75M
-21.33%445.75M
-29.83%423.27M
Net PPE
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124.52%31.5M
Goodwill and other intangible assets
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----
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0.00%9.73M
-Goodwill
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0.00%9.73M
Other assets
1.70%168.6M
16.06%171.61M
16.34%172.57M
16.34%172.57M
--178.15M
--165.77M
--147.87M
254.58%148.34M
254.58%148.34M
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Total assets
11.40%7.27B
18.12%7.45B
12.77%7.07B
12.77%7.07B
4.07%6.68B
-5.02%6.52B
-4.78%6.31B
-11.93%6.27B
-11.93%6.27B
4.57%6.42B
Liabilities
Total deposits
16.66%6.17B
21.55%6.24B
8.70%5.74B
8.70%5.74B
-3.66%5.52B
-14.40%5.29B
-13.60%5.13B
-17.99%5.28B
-17.99%5.28B
5.02%5.73B
Federal funds purchased and securities sold under agreement to repurchase
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--243M
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Payables
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33.17%51.37M
-Accounts payable
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33.17%51.37M
Long term debt and capital lease obligation
24.01%257.51M
1.21%407.55M
112.08%546.59M
112.08%546.59M
1,247.43%362.62M
548.03%207.66M
1,145.87%402.69M
350.78%257.73M
350.78%257.73M
-55.34%26.91M
-Long term debt
24.01%257.51M
1.21%407.55M
112.08%546.59M
112.08%546.59M
1,247.43%362.62M
548.03%207.66M
1,145.87%402.69M
350.78%257.73M
350.78%257.73M
-55.34%26.91M
Preferred securities outside stock equity
0.00%20.62M
0.00%20.62M
0.00%20.62M
0.00%20.62M
0.00%20.62M
0.00%20.62M
0.00%20.62M
0.00%20.62M
0.00%20.62M
0.00%20.62M
Other liabilities
-11.09%125.39M
-22.37%114.12M
-22.95%104.15M
-22.95%104.15M
1,428.67%143.62M
499.36%141.04M
510.15%147M
193.85%135.18M
193.85%135.18M
-56.46%9.4M
Total liabilities
11.39%6.57B
18.90%6.78B
12.60%6.41B
12.60%6.41B
3.57%6.05B
-6.23%5.9B
-6.01%5.7B
-13.23%5.69B
-13.23%5.69B
4.31%5.84B
Shareholders'equity
Share capital
1.82%112K
0.00%112K
1.83%111K
1.83%111K
0.92%110K
0.92%110K
2.75%112K
0.00%109K
0.00%109K
0.00%109K
-common stock
1.82%112K
0.00%112K
1.83%111K
1.83%111K
0.92%110K
0.92%110K
2.75%112K
0.00%109K
0.00%109K
2.83%109K
Paid-in capital
0.71%395.52M
-0.20%393.34M
1.69%395.87M
1.69%395.87M
1.58%393.54M
1.91%392.74M
2.82%394.12M
1.64%389.28M
1.64%389.28M
1.17%387.41M
Retained earnings
24.93%348.98M
25.93%332.18M
31.21%315.98M
31.21%315.98M
21.27%301.41M
24.93%279.34M
31.62%263.78M
32.76%240.81M
32.76%240.81M
52.96%248.55M
Gains losses not affecting retained earnings
-2.52%-52.21M
-3.91%-52.09M
2.51%-52.94M
2.51%-52.94M
-11.75%-60.15M
-46.46%-50.92M
-110.53%-50.13M
-623.59%-54.3M
-623.59%-54.3M
-1,772.28%-53.83M
Total stockholders'equity
11.45%692.4M
10.80%673.54M
14.43%659.02M
14.43%659.02M
9.05%634.91M
8.18%621.28M
8.55%607.89M
3.39%575.9M
3.39%575.9M
7.29%582.24M
Total equity
11.45%692.4M
10.80%673.54M
14.43%659.02M
14.43%659.02M
9.05%634.91M
8.18%621.28M
8.55%607.89M
3.39%575.9M
3.39%575.9M
7.29%582.24M
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
--
--
(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 21.25%244.66M78.43%534.4M4.68%269.47M4.68%269.47M-74.98%177.37M-84.96%201.78M-78.82%299.5M-89.09%257.42M-89.09%257.42M-61.84%708.78M
-Cash and cash equivalents 21.25%244.66M78.43%534.4M4.68%269.47M4.68%269.47M-74.98%177.37M-84.96%201.78M-78.82%299.5M-89.09%257.42M-89.09%257.42M-61.84%708.78M
Receivables 6.72%90.63M12.01%93.85M2.39%87.65M2.39%87.65M-16.63%79.89M-1.73%84.92M6.99%83.79M114.74%85.61M114.74%85.61M55.04%95.83M
-Accounts receivable ------------------------------------50.84%20.37M
-Other receivables 6.72%90.63M12.01%93.85M2.39%87.65M2.39%87.65M5.88%79.89M24.49%84.92M34.86%83.79M114.74%85.61M114.74%85.61M56.22%75.46M
Prepaid assets ------------------------------------175.01%37.31M
Net loan 13.36%5.78B17.83%5.66B16.08%5.57B16.08%5.57B15.90%5.3B17.61%5.1B17.65%4.8B29.71%4.8B29.71%4.8B28.32%4.57B
-Gross loan 13.37%5.86B17.91%5.74B16.25%5.64B16.25%5.64B16.02%5.37B17.76%5.17B17.80%4.87B29.79%4.85B29.79%4.85B28.21%4.63B
-Allowance for loans and lease losses 16.18%60.01M22.59%58.54M29.17%57.97M29.17%57.97M22.94%52.3M27.42%51.65M25.22%47.75M29.22%44.88M29.22%44.88M11.59%42.54M
-Unearned income -7.06%-16.64M-26.82%-16.91M-32.71%-17.22M-32.71%-17.22M-36.53%-15.73M-42.13%-15.54M-54.42%-13.33M-70.73%-12.97M-70.73%-12.97M-61.82%-11.52M
Securities and investments 1.14%982.82M1.84%992.82M-0.94%971.16M-0.94%971.16M-1.91%945.77M-4.34%971.79M-1.70%974.88M1.80%980.33M1.80%980.33M55.64%964.15M
-Available for sale securities -4.65%28.71M19.18%34.78M70.08%41.09M70.08%41.09M89.79%37.03M54.68%30.11M60.70%29.19M69.28%24.16M69.28%24.16M36.56%19.51M
-Held to maturity securities -12.85%449.37M-8.23%460.25M-8.14%468.86M-8.14%468.86M-8.15%478.89M-2.85%515.61M7.19%501.53M33.58%510.43M33.58%510.43M25,749.08%521.38M
-Short term investments 18.47%504.75M12.07%497.79M3.47%461.21M3.47%461.21M1.56%429.85M-8.50%426.07M-12.17%444.17M-21.33%445.75M-21.33%445.75M-29.83%423.27M
Net PPE ------------------------------------124.52%31.5M
Goodwill and other intangible assets ------------------------------------0.00%9.73M
-Goodwill ------------------------------------0.00%9.73M
Other assets 1.70%168.6M16.06%171.61M16.34%172.57M16.34%172.57M--178.15M--165.77M--147.87M254.58%148.34M254.58%148.34M----
Total assets 11.40%7.27B18.12%7.45B12.77%7.07B12.77%7.07B4.07%6.68B-5.02%6.52B-4.78%6.31B-11.93%6.27B-11.93%6.27B4.57%6.42B
Liabilities
Total deposits 16.66%6.17B21.55%6.24B8.70%5.74B8.70%5.74B-3.66%5.52B-14.40%5.29B-13.60%5.13B-17.99%5.28B-17.99%5.28B5.02%5.73B
Federal funds purchased and securities sold under agreement to repurchase ----------------------243M----------------
Payables ------------------------------------33.17%51.37M
-Accounts payable ------------------------------------33.17%51.37M
Long term debt and capital lease obligation 24.01%257.51M1.21%407.55M112.08%546.59M112.08%546.59M1,247.43%362.62M548.03%207.66M1,145.87%402.69M350.78%257.73M350.78%257.73M-55.34%26.91M
-Long term debt 24.01%257.51M1.21%407.55M112.08%546.59M112.08%546.59M1,247.43%362.62M548.03%207.66M1,145.87%402.69M350.78%257.73M350.78%257.73M-55.34%26.91M
Preferred securities outside stock equity 0.00%20.62M0.00%20.62M0.00%20.62M0.00%20.62M0.00%20.62M0.00%20.62M0.00%20.62M0.00%20.62M0.00%20.62M0.00%20.62M
Other liabilities -11.09%125.39M-22.37%114.12M-22.95%104.15M-22.95%104.15M1,428.67%143.62M499.36%141.04M510.15%147M193.85%135.18M193.85%135.18M-56.46%9.4M
Total liabilities 11.39%6.57B18.90%6.78B12.60%6.41B12.60%6.41B3.57%6.05B-6.23%5.9B-6.01%5.7B-13.23%5.69B-13.23%5.69B4.31%5.84B
Shareholders'equity
Share capital 1.82%112K0.00%112K1.83%111K1.83%111K0.92%110K0.92%110K2.75%112K0.00%109K0.00%109K0.00%109K
-common stock 1.82%112K0.00%112K1.83%111K1.83%111K0.92%110K0.92%110K2.75%112K0.00%109K0.00%109K2.83%109K
Paid-in capital 0.71%395.52M-0.20%393.34M1.69%395.87M1.69%395.87M1.58%393.54M1.91%392.74M2.82%394.12M1.64%389.28M1.64%389.28M1.17%387.41M
Retained earnings 24.93%348.98M25.93%332.18M31.21%315.98M31.21%315.98M21.27%301.41M24.93%279.34M31.62%263.78M32.76%240.81M32.76%240.81M52.96%248.55M
Gains losses not affecting retained earnings -2.52%-52.21M-3.91%-52.09M2.51%-52.94M2.51%-52.94M-11.75%-60.15M-46.46%-50.92M-110.53%-50.13M-623.59%-54.3M-623.59%-54.3M-1,772.28%-53.83M
Total stockholders'equity 11.45%692.4M10.80%673.54M14.43%659.02M14.43%659.02M9.05%634.91M8.18%621.28M8.55%607.89M3.39%575.9M3.39%575.9M7.29%582.24M
Total equity 11.45%692.4M10.80%673.54M14.43%659.02M14.43%659.02M9.05%634.91M8.18%621.28M8.55%607.89M3.39%575.9M3.39%575.9M7.29%582.24M
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----

Analysis

Analyst Rating

No Data

Price Target

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