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Securities available forsale, amortized cost$3,065,885K Gross unrealizedgains$26,525K Securities available forsale, amortized cost$267,853K Securities available forsale, amortized cost$224,802K Securities available forsale, amortized cost$84,464K Securities available forsale, amortized cost$60,423K Securities available forsale, amortized cost$27,138K Securities available forsale, amortized cost$3,215K Gross unrealizedgains$504K Gross unrealizedgains$28K Gross unrealizedgains$135K Gross unrealizedgains$45K Loans and leases heldfor investment$4,272,812K Senior Asset BackedSecurities Structured...$3,092,410K Mortgage BackedSecurities Issued By...$236,061K Other Asset BackedSecurities Structured...$219,370K USGovernment Agencies DebtSecurities$73,862K Mortgage BackedSecurities$55,597K Other Debt Securities$26,803K Municipal Securities$2,606K Interest-bearing deposits inbanks$905,905K Cash and due frombanks$11,749K Gross unrealizedlosses-$32,296K Allowance for creditlosses-$4,093K Gross unrealizedlosses-$1,367K Gross unrealizedlosses-$10,602K Gross unrealizedlosses-$4,961K Gross unrealizedlosses-$380K Gross unrealizedlosses-$609K Loans and leases heldfor investment, net$3,997,069K Securities available forsale at fair value...$3,706,709K Loans held for sale atfair value$1,762,396K Total cash and cashequivalents$917,654K Loans held forinvestment at fair value$473,314K Other assets$368,086K Property, equipment andsoftware, net$254,088K Goodwill$75,717K Restricted cash$12,783K Allowance for loan andlease losses$275,743K Recovery asset value$36,924K Total assets$11,567,816K Gross allowance forloan and lease losses$312,667K Total liabilities andequity$11,567,816K Total liabilities$10,067,388K Total equity$1,500,428K Accumulated deficit-$201,799K Accumulated othercomprehensive loss-$18,160K Total deposits$9,833,870K Other liabilities$233,518K Additional paid-in capital$1,719,233K Common stock, 0.01 parvalue 180,000,000...$1,154K Interest-bearing$9,459,483K Noninterest-bearing$374,387K Accounts payable andaccrued expenses$87,341K Due to borrowers$60,254K Other$58,171K Operating leaseliabilities$15,826K Payable to investors$11,926K Savings and money marketaccounts$6,599,737K Certificates of deposit$2,434,422K Checking accounts$425,324K
Balance Sheet
source: myfinsight.com

LendingClub Corp (LC)

LendingClub Corp (LC)