(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 | 32.36%68.6B | -35.26%47.09B | -28.11%57.66B | -9.62%75.17B | -9.62%75.17B | -42.80%51.83B | -38.37%72.73B | -44.91%80.2B | -28.86%83.18B | -28.86%83.18B |
-Cash and cash equivalents | 4.96%34.9B | -46.80%25.35B | -35.41%31.75B | 7.82%43.34B | 7.82%43.34B | -28.47%33.25B | -26.18%47.65B | -46.05%49.16B | -36.17%40.2B | -36.17%40.2B |
-Restricted cash and investments | 81.42%33.7B | -13.34%21.74B | -16.54%25.91B | -25.93%31.84B | -25.93%31.84B | -57.89%18.58B | -53.09%25.08B | -42.99%31.04B | -20.33%42.98B | -20.33%42.98B |
Receivables | ---- | 11.78%72.84B | 12.63%71.17B | 3.27%73.57B | 3.27%73.57B | -6.49%69.06B | -14.41%65.16B | -24.84%63.19B | -25.24%71.24B | -25.24%71.24B |
-Accounts receivable | 7.15%74B | 11.78%72.84B | 12.63%71.17B | 3.96%71.8B | 3.96%71.8B | -6.49%69.06B | -14.41%65.16B | -24.84%63.19B | -25.58%69.07B | -25.58%69.07B |
-Other receivables | ---- | ---- | ---- | -18.75%1.76B | -18.75%1.76B | ---- | ---- | ---- | -12.28%2.17B | -12.28%2.17B |
Net loan | ---- | 5.29%42.18B | 2.05%40.78B | -0.16%40.44B | -0.16%40.44B | -0.13%40.33B | 1.26%40.06B | 7.41%39.96B | 16.94%40.51B | 16.94%40.51B |
-Gross loan | ---- | 5.15%42.2B | 1.94%40.82B | -0.25%40.48B | -0.25%40.48B | -0.12%40.38B | 1.35%40.14B | 7.53%40.04B | 17.09%40.58B | 17.09%40.58B |
-Allowance for loans and lease losses | ---- | -73.33%20M | -56.76%32M | -47.95%38M | -47.95%38M | 10.20%54M | 102.70%75M | 164.29%74M | 305.56%73M | 305.56%73M |
Securities and investments | ---- | -18.89%236.92B | -19.99%249.02B | -16.50%266.72B | -16.50%266.72B | -20.20%265.61B | -20.06%292.1B | -17.51%311.25B | -18.76%319.42B | -18.76%319.42B |
-Available for sale securities | ---- | ---- | ---- | 66.68%5.06B | 66.68%5.06B | ---- | ---- | ---- | -2.44%3.03B | -2.44%3.03B |
-Held to maturity securities | -4.59%149.9B | -12.84%144.97B | -11.94%149.63B | -7.60%155.75B | -7.60%155.75B | 63.10%157.11B | 66.13%166.33B | 61.38%169.91B | --168.55B | --168.55B |
-Short term investments | ---- | -26.89%91.95B | -29.67%99.4B | -28.35%105.91B | -28.35%105.91B | -54.13%108.5B | -52.59%125.77B | -48.05%141.33B | -62.10%147.83B | -62.10%147.83B |
Security borrowed | ---- | ---- | ---- | 121.70%1.56B | 121.70%1.56B | ---- | ---- | ---- | 21.13%705M | 21.13%705M |
Federal home loan bank stock | ---- | ---- | ---- | -97.92%11M | -97.92%11M | ---- | ---- | ---- | --528M | --528M |
Net PPE | ---- | -6.78%3.44B | -3.55%3.58B | -6.25%4.32B | -6.25%4.32B | 1.17%3.73B | 0.44%3.69B | 6.20%3.72B | 7.56%4.61B | 7.56%4.61B |
-Gross PPE | ---- | ---- | ---- | 3.00%8.08B | 3.00%8.08B | ---- | ---- | --3.72B | 9.33%7.84B | 9.33%7.84B |
-Accumulated depreciation | ---- | ---- | ---- | -16.18%-3.76B | -16.18%-3.76B | ---- | ---- | ---- | -11.95%-3.23B | -11.95%-3.23B |
Goodwill and other intangible assets | ---- | -2.54%19.95B | -2.56%20.08B | -2.55%20.21B | -2.55%20.21B | -2.55%20.34B | -2.62%20.48B | -2.69%20.61B | -2.77%20.74B | -2.77%20.74B |
-Goodwill | ---- | 0.00%11.95B | 0.00%11.95B | 0.00%11.95B | 0.00%11.95B | 0.00%11.95B | 0.00%11.95B | -0.01%11.95B | -0.01%11.95B | -0.01%11.95B |
-Other intangible assets | ---- | -6.11%8B | -6.10%8.13B | -6.02%8.26B | -6.02%8.26B | -5.97%8.39B | -6.07%8.52B | -6.16%8.66B | -6.29%8.79B | -6.29%8.79B |
Other assets | 1,535.00%397.5B | 57.67%27.26B | 59.25%26.49B | 26.58%6.46B | 26.58%6.46B | 58.69%24.31B | 25.68%17.29B | 37.57%16.63B | 615.57%5.1B | 615.57%5.1B |
Total assets | -1.92%466.1B | -12.09%449.68B | -12.47%468.78B | -10.62%493.18B | -10.62%493.18B | -17.72%475.2B | -19.77%511.51B | -21.35%535.55B | -17.31%551.77B | -17.31%551.77B |
Liabilities | ||||||||||
Total deposits | ---- | -17.08%252.42B | -17.28%269.46B | -20.93%289.95B | -20.93%289.95B | -28.13%284.41B | -31.13%304.41B | -30.07%325.75B | -17.36%366.72B | -17.36%366.72B |
Payables | ---- | -5.69%79.97B | -4.05%84.01B | -12.98%84.79B | -12.98%84.79B | -33.81%72.82B | -26.19%84.8B | -30.13%87.55B | -22.47%97.44B | -22.47%97.44B |
-Accounts payable | 22.50%89.2B | -5.69%79.97B | -4.05%84.01B | -12.98%84.79B | -12.98%84.79B | -33.81%72.82B | -26.19%84.8B | -30.13%87.55B | -22.47%97.44B | -22.47%97.44B |
Current debt and capital lease obligation | -15.63%33.2B | -29.56%34.4B | -38.48%32.41B | 93.27%32.95B | 93.27%32.95B | 7,770.00%39.35B | 3,517.11%48.83B | 1,144.00%52.67B | 251.18%17.05B | 251.18%17.05B |
-Current debt | -15.63%33.2B | -29.56%34.4B | -38.48%32.41B | 93.27%32.95B | 93.27%32.95B | 7,770.00%39.35B | 3,517.11%48.83B | 1,144.00%52.67B | 251.18%17.05B | 251.18%17.05B |
Long term debt and capital lease obligation | ---- | -0.15%22.45B | 14.23%22.87B | 25.45%26.13B | 25.45%26.13B | 18.99%24.8B | 6.49%22.48B | -8.49%20.02B | 10.12%20.83B | 10.12%20.83B |
-Long term debt | ---- | -0.19%22.39B | 14.20%22.79B | 25.45%26.04B | 25.45%26.04B | 19.21%24.76B | 6.67%22.43B | -8.38%19.96B | 10.31%20.76B | 10.31%20.76B |
-Long term capital lease obligation | ---- | 17.31%61M | 25.00%75M | 25.00%85M | 25.00%85M | -40.79%45M | -38.10%52M | -34.07%60M | -27.66%68M | -27.66%68M |
Other liabilities | 2,511.43%418.9B | 19.19%16.49B | 33.41%17.64B | 40.20%18.4B | 40.20%18.4B | 19.26%16.04B | 1.00%13.84B | -15.32%13.22B | -26.23%13.12B | -26.23%13.12B |
Total liabilities | -4.23%418.9B | -14.47%405.72B | -14.59%426.37B | -12.22%452.22B | -12.22%452.22B | -19.07%437.42B | -20.01%474.36B | -21.12%499.21B | -15.69%515.16B | -15.69%515.16B |
Shareholders'equity | ||||||||||
Share capital | ---- | 0.00%9.21B | 0.00%9.21B | -5.29%9.21B | -5.29%9.21B | -10.72%9.21B | -14.03%9.21B | -14.03%9.21B | -2.49%9.73B | -2.49%9.73B |
-common stock | ---- | 0.00%21M | 0.00%21M | 0.00%21M | 0.00%21M | 0.00%21M | 0.00%21M | 0.00%21M | 0.00%21M | 0.00%21M |
-Preferred stock | ---- | 0.00%9.19B | 0.00%9.19B | -5.31%9.19B | -5.31%9.19B | -10.74%9.19B | -14.05%9.19B | -14.05%9.19B | -2.49%9.71B | -2.49%9.71B |
Paid-in capital | ---- | 0.92%27.47B | 0.82%27.36B | 0.94%27.33B | 0.94%27.33B | 1.18%27.29B | 1.12%27.22B | 1.16%27.14B | 1.25%27.08B | 1.25%27.08B |
Retained earnings | ---- | 7.89%35.46B | 7.95%34.7B | 9.13%33.9B | 9.13%33.9B | 12.74%33.43B | 16.65%32.87B | 19.52%32.14B | 19.52%31.07B | 19.52%31.07B |
Less: Treasury stock | ---- | -1.48%11.25B | -1.50%11.28B | 31.43%11.35B | 31.43%11.35B | 68.83%11.4B | 116.62%11.42B | 116.42%11.46B | 61.84%8.64B | 61.84%8.64B |
Gains losses not affecting retained earnings | ---- | 18.30%-16.94B | 15.05%-17.58B | 19.85%-18.13B | 19.85%-18.13B | 10.37%-20.75B | -29.38%-20.73B | -87.32%-20.69B | -1,939.77%-22.62B | -1,939.77%-22.62B |
Total stockholders'equity | 24.92%47.2B | 18.32%43.95B | 16.69%42.41B | 11.88%40.96B | 11.88%40.96B | 2.01%37.78B | -16.55%37.15B | -24.43%36.35B | -34.93%36.61B | -34.93%36.61B |
Total equity | 24.92%47.2B | 18.32%43.95B | 16.69%42.41B | 11.88%40.96B | 11.88%40.96B | 2.01%37.78B | -16.55%37.15B | -24.43%36.35B | -34.93%36.61B | -34.93%36.61B |
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 | -- | -- | -- | -- | Unqualified Opinion | -- |
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