| Balance Sheets | 2025-09-30 | |||
|---|---|---|---|---|
| Cash and due from banks | 874 | |||
| Interest-earning deposits at banks | 24,798 | |||
| Securities purchased under agreements to resell | 83 | |||
| Investment in marketable equity securities (cost of 78 at september30, 2025 and 79 at december31, 2024) | 110 | |||
| Investment securities available for sale (cost of 35,187 at september30, 2025 and 34,512 at december31, 2024) | 34,963 | |||
| Gross unrealized gains-USTreasury Securities | 0 | |||
| Gross unrealized losses-USTreasury Securities | 18 | |||
| Fair value-USTreasury Securities | 369 | |||
| Gross unrealized gains-Agency Securities | 0 | |||
| Gross unrealized losses-Agency Securities | 64 | |||
| Fair value-Agency Securities | 1,395 | |||
| Gross unrealized gains-Residential Mortgage Backed Securities | 28 | |||
| Gross unrealized losses-Residential Mortgage Backed Securities | 513 | |||
| Fair value-Residential Mortgage Backed Securities | 4,083 | |||
| Gross unrealized gains-Commercial Mortgage Backed Securities | 0 | |||
| Gross unrealized losses-Commercial Mortgage Backed Securities | 625 | |||
| Fair value-Commercial Mortgage Backed Securities | 2,733 | |||
| Gross unrealized gains-Supranational Securities | 0 | |||
| Gross unrealized losses-Supranational Securities | 21 | |||
| Fair value-Supranational Securities | 256 | |||
| Gross unrealized gains-Other Debt Securities | 0 | |||
| Gross unrealized losses-Other Debt Securities | 0 | |||
| Fair value-Other Debt Securities | 2 | |||
| Investment securities held to maturity (fair value of 8,838 at september30, 2025 and 8,702 at december31, 2024) | 10,051 | |||
| Assets held for sale | 112 | |||
| Loans and leases | 144,758 | |||
| Allowance for loan and lease losses | 1,652 | |||
| Loans and leases, net of allowance for loan and lease losses | 143,106 | |||
| Operating lease equipment, net | 9,446 | |||
| Premises and equipment, net | 2,283 | |||
| Goodwill | 346 | |||
| Other intangible assets, net | 208 | |||
| Other assets | 7,108 | |||
| Total assets | 233,488 | |||
| Noninterest-bearing | 42,752 | |||
| Interest-bearing | 120,438 | |||
| Total deposits | 163,190 | |||
| Credit balances of factoring clients | 1,326 | |||
| Short-term borrowings | 423 | |||
| Long-term borrowings | 38,252 | |||
| Total borrowings | 38,675 | |||
| Other liabilities | 8,311 | |||
| Total liabilities | 211,502 | |||
| Preferred stock - 0.01 par value (20,000,000 shares authorized at september30, 2025 and december31, 2024) | 881 | |||
| Common stock-Common Class A | 12 | |||
| Common stock-Common Class B | 1 | |||
| Additional paid in capital | 270 | |||
| Retained earnings | 20,866 | |||
| Accumulated other comprehensive loss | -44 | |||
| Total stockholders equity | 21,986 | |||
| Total liabilities and stockholders equity | 233,488 | |||
FIRST CITIZENS BANCSHARES INC DE (FCNCA)
FIRST CITIZENS BANCSHARES INC DE (FCNCA)