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MTPOY METROPOLITAN BANK & TRUST CO UNSP ADR EACH REP 20 ORD

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  • 27.740
  • 0.0000.00%
15min DelayClose Oct 28 16:00 ET
6.24BMarket Cap7.98P/E (TTM)

METROPOLITAN BANK & TRUST CO UNSP ADR EACH REP 20 ORD Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Assets
Cash cash equivalents and federal funds sold
-25.04%259.05B
4.02%292.56B
-11.34%298.61B
-5.55%375.44B
-5.55%375.44B
12.24%345.6B
-20.83%281.24B
-27.88%336.82B
14.25%397.52B
14.25%397.52B
-Cash and cash equivalents
-25.04%259.05B
4.02%292.56B
-11.34%298.61B
-8.41%337.77B
-8.41%337.77B
12.24%345.6B
-20.83%281.24B
-27.88%336.82B
7.39%368.78B
7.39%368.78B
-Money market investments
----
----
----
31.08%37.67B
31.08%37.67B
----
----
----
533.93%28.74B
533.93%28.74B
Receivables
----
----
----
43.19%36.42B
43.19%36.42B
----
----
----
22.44%25.43B
22.44%25.43B
Prepaid assets
----
----
----
6.61%1.34B
6.61%1.34B
----
----
----
6.54%1.26B
6.54%1.26B
Net loan
16.57%1.72T
16.68%1.69T
10.12%1.6T
6.85%1.54T
6.85%1.54T
5.30%1.47T
6.45%1.45T
11.29%1.45T
12.26%1.44T
12.26%1.44T
-Allowance for loans and lease losses
----
----
----
0.29%51.59B
0.29%51.59B
----
----
----
-2.43%51.45B
-2.43%51.45B
-Unearned income
----
----
----
-15.50%-15.64B
-15.50%-15.64B
----
----
----
-5.19%-13.54B
-5.19%-13.54B
-Available for sale securities
-3.61%953.21B
2.70%1T
5.54%1T
18.55%1.02T
18.55%1.02T
23.06%988.9B
25.01%975.31B
33.00%949.06B
15.59%857.1B
15.59%857.1B
Long term equity investment
11.18%6.83B
-3.86%6.48B
-0.47%6.35B
5.97%6.46B
5.97%6.46B
-1.95%6.14B
13.27%6.74B
7.10%6.38B
0.43%6.1B
0.43%6.1B
Derivative assets
1,116.38%306.46B
44.23%34.6B
-0.39%19.24B
-10.30%21.92B
-10.30%21.92B
-38.76%25.19B
-11.14%23.99B
--19.32B
148.04%24.44B
148.04%24.44B
Net PPE
-0.18%27.28B
-2.07%26.91B
-3.47%27.16B
0.33%27.24B
0.33%27.24B
0.01%27.33B
2.73%27.47B
7.62%28.13B
5.31%27.15B
5.31%27.15B
-Gross PPE
----
----
----
5.63%61.06B
5.63%61.06B
----
----
----
6.89%57.8B
6.89%57.8B
-Accumulated depreciation
----
----
----
-10.33%-33.82B
-10.33%-33.82B
----
----
----
-8.32%-30.65B
-8.32%-30.65B
Goodwill and other intangible assets
-9.20%4.72B
-9.13%4.72B
-9.13%4.72B
11.08%10.39B
11.08%10.39B
0.00%5.19B
0.00%5.19B
0.00%5.19B
-3.35%9.35B
-3.35%9.35B
-Goodwill
-9.20%4.72B
-9.13%4.72B
-9.13%4.72B
-9.13%4.72B
-9.13%4.72B
0.00%5.19B
0.00%5.19B
0.00%5.19B
0.00%5.19B
0.00%5.19B
-Other intangible assets
----
----
----
36.34%5.67B
36.34%5.67B
----
----
----
-7.23%4.16B
-7.23%4.16B
Other assets
6.37%17.23B
3.45%15.05B
19.13%17.61B
38.28%-2.92B
38.28%-2.92B
16.13%16.2B
29.88%14.55B
12.87%14.78B
-33.54%-4.73B
-33.54%-4.73B
Total assets
12.79%3.34T
14.54%3.28T
10.66%3.19T
9.21%3.1T
9.21%3.1T
8.20%2.96T
7.51%2.86T
8.90%2.88T
13.60%2.84T
13.60%2.84T
Liabilities
Total deposits
-2.66%2.28T
7.83%2.43T
4.93%2.37T
7.03%2.39T
7.03%2.39T
14.54%2.35T
9.34%2.25T
10.83%2.26T
15.02%2.24T
15.02%2.24T
Payables
26.56%27.36B
44.75%27.11B
45.16%24.84B
37.40%39.44B
37.40%39.44B
58.68%21.62B
39.22%18.73B
29.51%17.11B
24.49%28.7B
24.49%28.7B
-Accounts payable
22.72%21.82B
32.01%20.83B
34.24%19.33B
31.61%34.79B
31.61%34.79B
50.08%17.78B
47.45%15.78B
38.77%14.4B
27.06%26.44B
27.06%26.44B
-Total tax payable
44.34%5.54B
112.84%6.28B
103.33%5.5B
104.90%4.65B
104.90%4.65B
116.03%3.84B
7.23%2.95B
-4.45%2.71B
0.71%2.27B
0.71%2.27B
Long term debt and capital lease obligation
84.84%172.37B
47.42%131.85B
128.24%233.47B
-17.99%97.95B
-17.99%97.95B
-5.96%93.26B
-5.81%89.44B
-2.94%102.29B
13.10%119.44B
13.10%119.44B
Derivative product liabilities
-33.23%12.66B
23.40%22.57B
1.47%13.56B
0.00%16.87B
0.00%16.87B
-41.34%18.96B
-15.63%18.29B
47.93%13.36B
102.00%16.87B
102.00%16.87B
Preferred securities outside stock equity
--0
2.84%9.49B
6.13%10.18B
1.19%10.26B
1.19%10.26B
-5.03%9.3B
-8.65%9.23B
-14.06%9.59B
-4.52%10.14B
-4.52%10.14B
Other liabilities
289.57%447.44B
117.28%293.93B
20.57%173.42B
78.03%162.65B
78.03%162.65B
-45.47%114.85B
-9.82%135.28B
-3.98%143.83B
25.17%91.36B
25.17%91.36B
Total liabilities
13.03%2.94T
15.47%2.91T
11.01%2.83T
8.87%2.74T
8.87%2.74T
7.88%2.6T
7.37%2.52T
9.39%2.55T
15.63%2.52T
15.63%2.52T
Shareholders'equity
Share capital
0.00%89.95B
0.00%89.95B
0.00%89.95B
0.00%89.95B
0.00%89.95B
0.00%89.95B
0.00%89.95B
0.00%89.95B
0.00%89.95B
0.00%89.95B
-common stock
0.00%89.95B
0.00%89.95B
0.00%89.95B
0.00%89.95B
0.00%89.95B
0.00%89.95B
0.00%89.95B
0.00%89.95B
0.00%89.95B
0.00%89.95B
Paid-in capital
0.00%85.25B
0.00%85.25B
0.00%85.25B
0.00%85.25B
0.00%85.25B
0.00%85.25B
0.00%85.25B
0.00%85.25B
0.00%85.25B
0.00%85.25B
Retained earnings
12.06%217.96B
12.10%205.86B
12.09%194.28B
16.17%204.9B
16.17%204.9B
16.40%194.49B
15.32%183.64B
14.25%173.33B
12.15%176.37B
12.15%176.37B
Less: Treasury stock
--0
-8.70%63M
-2.90%67M
-2.78%70M
-2.78%70M
-2.78%70M
-4.17%69M
0.00%69M
2.86%72M
2.86%72M
Total stockholders'equity
11.09%380.14B
7.66%355.09B
8.03%345.69B
11.98%356.67B
11.98%356.67B
10.78%342.2B
8.70%329.84B
5.31%319.99B
0.00%318.51B
0.00%318.51B
Non controlling interests
7.43%10.66B
6.22%10.39B
5.70%10.23B
5.12%10.07B
5.12%10.07B
4.39%9.92B
4.03%9.78B
3.89%9.68B
3.85%9.58B
3.85%9.58B
Total equity
10.98%390.79B
7.61%365.48B
7.97%355.92B
11.78%366.74B
11.78%366.74B
10.59%352.12B
8.56%339.62B
5.27%329.66B
0.11%328.09B
0.11%328.09B
Currency Unit
PHP
PHP
PHP
PHP
PHP
PHP
PHP
PHP
PHP
PHP
(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(FY)Dec 31, 2022(Q4)Dec 31, 2022
Assets
Cash cash equivalents and federal funds sold -25.04%259.05B4.02%292.56B-11.34%298.61B-5.55%375.44B-5.55%375.44B12.24%345.6B-20.83%281.24B-27.88%336.82B14.25%397.52B14.25%397.52B
-Cash and cash equivalents -25.04%259.05B4.02%292.56B-11.34%298.61B-8.41%337.77B-8.41%337.77B12.24%345.6B-20.83%281.24B-27.88%336.82B7.39%368.78B7.39%368.78B
-Money market investments ------------31.08%37.67B31.08%37.67B------------533.93%28.74B533.93%28.74B
Receivables ------------43.19%36.42B43.19%36.42B------------22.44%25.43B22.44%25.43B
Prepaid assets ------------6.61%1.34B6.61%1.34B------------6.54%1.26B6.54%1.26B
Net loan 16.57%1.72T16.68%1.69T10.12%1.6T6.85%1.54T6.85%1.54T5.30%1.47T6.45%1.45T11.29%1.45T12.26%1.44T12.26%1.44T
-Allowance for loans and lease losses ------------0.29%51.59B0.29%51.59B-------------2.43%51.45B-2.43%51.45B
-Unearned income -------------15.50%-15.64B-15.50%-15.64B-------------5.19%-13.54B-5.19%-13.54B
-Available for sale securities -3.61%953.21B2.70%1T5.54%1T18.55%1.02T18.55%1.02T23.06%988.9B25.01%975.31B33.00%949.06B15.59%857.1B15.59%857.1B
Long term equity investment 11.18%6.83B-3.86%6.48B-0.47%6.35B5.97%6.46B5.97%6.46B-1.95%6.14B13.27%6.74B7.10%6.38B0.43%6.1B0.43%6.1B
Derivative assets 1,116.38%306.46B44.23%34.6B-0.39%19.24B-10.30%21.92B-10.30%21.92B-38.76%25.19B-11.14%23.99B--19.32B148.04%24.44B148.04%24.44B
Net PPE -0.18%27.28B-2.07%26.91B-3.47%27.16B0.33%27.24B0.33%27.24B0.01%27.33B2.73%27.47B7.62%28.13B5.31%27.15B5.31%27.15B
-Gross PPE ------------5.63%61.06B5.63%61.06B------------6.89%57.8B6.89%57.8B
-Accumulated depreciation -------------10.33%-33.82B-10.33%-33.82B-------------8.32%-30.65B-8.32%-30.65B
Goodwill and other intangible assets -9.20%4.72B-9.13%4.72B-9.13%4.72B11.08%10.39B11.08%10.39B0.00%5.19B0.00%5.19B0.00%5.19B-3.35%9.35B-3.35%9.35B
-Goodwill -9.20%4.72B-9.13%4.72B-9.13%4.72B-9.13%4.72B-9.13%4.72B0.00%5.19B0.00%5.19B0.00%5.19B0.00%5.19B0.00%5.19B
-Other intangible assets ------------36.34%5.67B36.34%5.67B-------------7.23%4.16B-7.23%4.16B
Other assets 6.37%17.23B3.45%15.05B19.13%17.61B38.28%-2.92B38.28%-2.92B16.13%16.2B29.88%14.55B12.87%14.78B-33.54%-4.73B-33.54%-4.73B
Total assets 12.79%3.34T14.54%3.28T10.66%3.19T9.21%3.1T9.21%3.1T8.20%2.96T7.51%2.86T8.90%2.88T13.60%2.84T13.60%2.84T
Liabilities
Total deposits -2.66%2.28T7.83%2.43T4.93%2.37T7.03%2.39T7.03%2.39T14.54%2.35T9.34%2.25T10.83%2.26T15.02%2.24T15.02%2.24T
Payables 26.56%27.36B44.75%27.11B45.16%24.84B37.40%39.44B37.40%39.44B58.68%21.62B39.22%18.73B29.51%17.11B24.49%28.7B24.49%28.7B
-Accounts payable 22.72%21.82B32.01%20.83B34.24%19.33B31.61%34.79B31.61%34.79B50.08%17.78B47.45%15.78B38.77%14.4B27.06%26.44B27.06%26.44B
-Total tax payable 44.34%5.54B112.84%6.28B103.33%5.5B104.90%4.65B104.90%4.65B116.03%3.84B7.23%2.95B-4.45%2.71B0.71%2.27B0.71%2.27B
Long term debt and capital lease obligation 84.84%172.37B47.42%131.85B128.24%233.47B-17.99%97.95B-17.99%97.95B-5.96%93.26B-5.81%89.44B-2.94%102.29B13.10%119.44B13.10%119.44B
Derivative product liabilities -33.23%12.66B23.40%22.57B1.47%13.56B0.00%16.87B0.00%16.87B-41.34%18.96B-15.63%18.29B47.93%13.36B102.00%16.87B102.00%16.87B
Preferred securities outside stock equity --02.84%9.49B6.13%10.18B1.19%10.26B1.19%10.26B-5.03%9.3B-8.65%9.23B-14.06%9.59B-4.52%10.14B-4.52%10.14B
Other liabilities 289.57%447.44B117.28%293.93B20.57%173.42B78.03%162.65B78.03%162.65B-45.47%114.85B-9.82%135.28B-3.98%143.83B25.17%91.36B25.17%91.36B
Total liabilities 13.03%2.94T15.47%2.91T11.01%2.83T8.87%2.74T8.87%2.74T7.88%2.6T7.37%2.52T9.39%2.55T15.63%2.52T15.63%2.52T
Shareholders'equity
Share capital 0.00%89.95B0.00%89.95B0.00%89.95B0.00%89.95B0.00%89.95B0.00%89.95B0.00%89.95B0.00%89.95B0.00%89.95B0.00%89.95B
-common stock 0.00%89.95B0.00%89.95B0.00%89.95B0.00%89.95B0.00%89.95B0.00%89.95B0.00%89.95B0.00%89.95B0.00%89.95B0.00%89.95B
Paid-in capital 0.00%85.25B0.00%85.25B0.00%85.25B0.00%85.25B0.00%85.25B0.00%85.25B0.00%85.25B0.00%85.25B0.00%85.25B0.00%85.25B
Retained earnings 12.06%217.96B12.10%205.86B12.09%194.28B16.17%204.9B16.17%204.9B16.40%194.49B15.32%183.64B14.25%173.33B12.15%176.37B12.15%176.37B
Less: Treasury stock --0-8.70%63M-2.90%67M-2.78%70M-2.78%70M-2.78%70M-4.17%69M0.00%69M2.86%72M2.86%72M
Total stockholders'equity 11.09%380.14B7.66%355.09B8.03%345.69B11.98%356.67B11.98%356.67B10.78%342.2B8.70%329.84B5.31%319.99B0.00%318.51B0.00%318.51B
Non controlling interests 7.43%10.66B6.22%10.39B5.70%10.23B5.12%10.07B5.12%10.07B4.39%9.92B4.03%9.78B3.89%9.68B3.85%9.58B3.85%9.58B
Total equity 10.98%390.79B7.61%365.48B7.97%355.92B11.78%366.74B11.78%366.74B10.59%352.12B8.56%339.62B5.27%329.66B0.11%328.09B0.11%328.09B
Currency Unit PHPPHPPHPPHPPHPPHPPHPPHPPHPPHP
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