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CRBC Balance Sheet

Click line-items for a historical chart and %
Cash and due from banks 173.51M
Money market investments 186.35M
Securities available for sale, at fair value 1.7B
Securities held to maturity, at amortized cost (fair value of $1,489,461, $469,421 and $115,832, respectively) 1.23B
Total investment securities 2.92B
FHLB and Federal Reserve Stock 126.76M
Commercial and industrial 1.66B
Commercial real estate 1.24B
Total commercial 2.9B
Residential mortgage 546.51M
Direct consumer 844.24M
Indirect consumer 969.58M
Total portfolio loans 5.26B
Less: Allowance for loan losses -110.44M
Net portfolio loans 5.15B
Loans held for sale 10.72M
Premises and equipment 90.29M
Goodwill 318.15M
Other intangible assets 5.31M
Bank owned life insurance 223.24M
Other assets 107.04M
Total assets 9.59B
Noninterest-bearing deposits 1.75B
Interest-bearing demand deposits 1.1B
Savings deposits 2.59B
Time deposits 1.71B
Total deposits 7.16B
Federal funds purchased and securities sold under agreements to repurchase 42.75M
Other short-term borrowings
Other liabilities 161.74M
Long-term debt 850.91M
Total liabilities 8.22B
Preferred stock - no par value, Authorized - 5,000,000 shares; Issued and outstanding - 300,000 at 6/30/11, 12/31/10, and 6/30/10, redemption value of $300 million 292.47M
Common stock - no par value, Authorized - 105,000,000 shares at 6/30/11,12/31/10, and 6/30/10; Issued and outstanding - 40,251,874 at 6/30/11, 39,716,714 at 12/31/10 and 39,697,912 at 6/30/10 1.44B
Retained deficit -346.63M
Accumulated other comprehensive (loss) income -13.21M
Total shareholders' equity 1.37B
Total liabilities and shareholders' equity 9.59B