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Regulatory profile
FDIC certificate #21606 · RSSD 183668
Peer interpretation
Under $1B asset cohort · 3246 institutions
Deterministic peer comparison, not a regulatory rating or diagnosis. “Opportunity” means lower favorable percentile within this asset cohort.
Historical peer positioning
Period-matched asset cohort. Position describes the distribution only; it is not a rating.
| Metric | 2021-09 | 2022-06 | 2024-06 | 2024-09 | 2026-03 | 2026-06 |
|---|---|---|---|---|---|---|
| Total assetsASSET | < P25 | < P25 | < P25 | < P25 | — | — |
| Total depositsDEP | < P25 | < P25 | < P25 | < P25 | — | — |
| Net loansLNLSNET | < P25 | < P25 | < P25 | < P25 | — | — |
| Return on assetsROA | > P75 | > P75 | > P75 | > P75 | — | — |
| Return on equityROE | > P75 | > P75 | > P75 | > P75 | — | — |
| Net interest marginNIMY | P25–75 | P25–75 | > P75 | > P75 | — | — |
Cohorts are matched separately for each reporting period. Above or below a peer quartile can be favorable, unfavorable, or neutral depending on the measure and context.