At close: June 14 at 3:58 PM EDT
Breakdown
TTM
12/31/2023
12/31/2022
12/31/2021
12/31/2020
12/31/2019
Total Revenue
37,286,000.00
36,787,000.00
34,250,000.00
30,435,000.00
28,523,000.00
--
Credit Losses Provision
-10,314,000.00
-10,426,000.00
-5,847,000.00
1,944,000.00
-10,264,000.00
--
Non Interest Expense
20,508,000.00
20,316,000.00
19,091,000.00
16,570,000.00
15,029,000.00
--
Special Income Charges
--
--
-72,000.00
--
-27,000.00
--
Pretax Income
6,464,000.00
6,045,000.00
9,240,000.00
15,809,000.00
3,203,000.00
--
Tax Provision
1,257,000.00
1,158,000.00
1,880,000.00
3,415,000.00
486,000.00
--
Net Income Common Stockholders
4,895,000.00
4,582,000.00
7,044,000.00
11,965,000.00
2,375,000.00
--
Diluted NI Available to Com Stockholders
4,895,000.00
4,582,000.00
7,044,000.00
11,965,000.00
2,375,000.00
--
Interest Income after Provision for Loan Loss
19,229,000.00
18,815,000.00
21,267,000.00
26,115,000.00
12,649,000.00
--
Net Income from Continuing & Discontinued Operation
5,207,000.00
4,887,000.00
7,360,000.00
12,390,000.00
2,714,000.00
--
Normalized Income
5,207,000.00
4,887,000.00
7,417,384.00
12,394,000.00
2,739,896.00
--
Reconciled Depreciation
2,781,000.00
3,226,000.00
3,210,000.00
3,481,000.00
3,501,000.00
--
Net Income from Continuing Operation Net Minority Interest
5,207,000.00
4,887,000.00
7,360,000.00
12,394,000.00
2,717,000.00
--
Total Unusual Items Excluding Goodwill
--
--
-72,000.00
--
-27,000.00
--
Total Unusual Items
--
--
-72,000.00
--
-27,000.00
--
Tax Rate for Calcs
0.00
0.00
0.00
0.00
0.00
--
Tax Effect of Unusual Items
--
--
-14,616.00
--
-4,104.00
--
12/31/2019 - 9/5/2019
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