Call report 2011Q2
OXFORD BANK & TRUST — 2011Q2
The 22 measures OXFORD BANK & TRUST reported to the FFIEC for 2011Q2, each linked to its source filing.
Balance sheet
What the bank holds and owes at quarter end
| Measure | Value | Unit | Source |
|---|---|---|---|
| Total assets | 526,274,000 | USD | evidence → |
| Total loans | 345,485,000 | USD | evidence → |
| Allowance for loan losses | 10,010,000 | USD | evidence → |
| Securities available for sale | 26,139,000 | USD | evidence → |
| Securities held to maturity | 185,000 | USD | evidence → |
| Trading assets | 0 | USD | evidence → |
| Total deposits | 478,514,000 | USD | evidence → |
| Interest-bearing deposits | 425,431,000 | USD | evidence → |
| Noninterest-bearing deposits | 53,083,000 | USD | evidence → |
| Equity capital | 46,105,000 | USD | evidence → |
Income
Cumulative from the start of the year, as filed — Q1 covers January to March, Q2 January to June, Q4 the full year
| Measure | Value | Unit | Source |
|---|---|---|---|
| Interest income | 10,512,000 | USD | evidence → |
| Interest expense | 1,817,000 | USD | evidence → |
| Net interest income | 8,695,000 | USD | evidence → |
| Noninterest income | 9,205,000 | USD | evidence → |
| Noninterest expense | 10,488,000 | USD | evidence → |
| Provision for loan losses | 3,700,000 | USD | evidence → |
| Pretax income | 3,712,000 | USD | evidence → |
| Income tax | 3,000 | USD | evidence → |
| Net income | 3,709,000 | USD | evidence → |
Regulatory capital
Basel measures — not reported for every quarter
| Measure | Value | Unit | Source |
|---|---|---|---|
| Tier 1 capital | 45,177,000 | USD | evidence → |
| Total capital | 50,076,000 | USD | evidence → |
| Risk-weighted assets | 385,893,000 | USD | evidence → |