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Call reports 2009

PARK CITIES BANK — 2009

What PARK CITIES BANK reported to the FFIEC in 2009, quarter by quarter.

PERIOD: 2009SOURCE: FFIEC Call ReportEvery measure source-linked

Cite: FACTANKER, https://factanker.com/entity/1d2e85c2-5c3c-47fd-931f-0bdfbd5394d5/2009

Balance sheet

What the bank holds and owes at quarter end

Measure2009Q12009Q22009Q32009Q4
Total assets891,055,000943,331,000896,224,000882,197,000
Total loans696,812,000707,417,000677,905,000639,205,000
Allowance for loan losses10,690,00011,110,00012,186,00010,477,000
Securities available for sale0000
Securities held to maturity66,861,00074,166,00071,167,00075,729,000
Trading assets0000
Total deposits801,579,000853,875,000809,330,000797,103,000
Interest-bearing deposits751,495,000801,606,000761,949,000747,744,000
Noninterest-bearing deposits50,084,00052,269,00047,381,00049,359,000
Equity capital86,877,00086,301,00084,450,00082,327,000

Income

Cumulative from the start of the year, as filed — Q1 covers January to March, Q2 January to June, Q4 the full year

Measure2009Q12009Q22009Q32009Q4
Interest income9,562,00019,858,00030,299,00040,433,000
Interest expense5,142,00011,078,00015,910,00019,793,000
Net interest income4,420,0008,780,00014,389,00020,640,000
Noninterest income153,000348,000474,000-15,000
Noninterest expense4,596,0008,868,00014,734,00023,307,000
Provision for loan losses3,115,0004,218,0007,048,0007,770,000
Pretax income-3,138,000-3,958,000-6,919,000-10,452,000
Income tax-918,000-1,199,000-2,131,000-3,361,000
Net income-2,220,000-2,759,000-4,788,000-7,091,000

Regulatory capital

Basel measures — not reported for every quarter

Measure2009Q12009Q22009Q32009Q4
Tier 1 capital86,300,00085,731,00083,888,00081,772,000
Total capital95,212,00094,742,00093,083,00089,773,000
Risk-weighted assets711,195,000718,596,000732,642,000701,737,000

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