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Interest income
$749,668K
Service charges and fees
$65,072K
Trust and other
financial services income
$32,314K
Other revenue
$31,704K
Gain/(loss) on sale of
investments
$178K
Total income
$878,936K
Segment net interest
income and noninterest...
$654,670K
Canceled cashflow
$224,266K
Proceeds from sale of
loans held-for-sale
$193,380K
Net income
$126,013K
Provision for credit
losses
$55,584K
Increase in other
liabilities
$11,168K
Noncash compensation
expense related to stock...
$6,115K
Noncash write-down of
real estate owned
$325K
Net depreciation,
amortization and accretion
$136K
Canceled cashflow
$528,657K
Interest expense
$224,266K
Net cash provided by
operating activities
$153,415K
Canceled cashflow
$239,306K
Compensation and employee
benefits
$237,910K
Other segment items
$70,254K
Processing expenses
$58,489K
Provision for credit
losses
$55,584K
Income tax expense
$36,777K
Premises and occupancy
costs
$31,399K
Office operations
$13,599K
Professional services
$13,122K
Federal deposit
insurance premiums
$11,523K
Net
(decrease)/increase in cash and cash...
-$54,731K
Canceled cashflow
$153,415K
Proceeds from loan
maturities and principal...
$4,402,932K
Proceeds from maturities
and principal...
$146,125K
Proceeds from sale of
marketable securities...
$79,459K
Proceeds from maturities
and principal...
$66,471K
Acquisitions, net of cash
received
-$30,899K
Net redemptions of
fhlb stock
-$13,786K
Proceeds from sale of real
estate owned
$896K
Proceeds from bank-owned
life insurance
$776K
Net increase in
deposits
$180,851K
Proceeds from stock
options exercised
$930K
Origination of loans
held-for-sale
$195,843K
Increase in other assets
$29,776K
Deferred income tax
(benefit)/expense
-$6,425K
Mortgage banking
activity
$3,606K
Gain on sale of sba
loans
$2,835K
Net amortization on
marketable securities
$511K
(gain)/loss on sale of
investments
$178K
Net (gain)/loss on
sale of assets
$132K
Net cash (used
in)/provided by investing...
-$127,352K
Canceled cashflow
$4,741,344K
Net cash (used
in)/provided by financing...
-$80,794K
Canceled cashflow
$181,781K
Loan originations
$4,361,333K
Purchase of marketable
securities...
$495,733K
Purchases of premises and
equipment, net
$11,630K
Net decrease in
short-term borrowings
-$112,546K
Cash dividends paid
on common stock
$109,913K
Repayments of long-term
borrowings
$35,383K
Decrease in advances by
borrowers for taxes and...
-$4,733K
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Cash Flow
source: myfinsight.com
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