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Call report 2013Q2

OXFORD BANK & TRUST — 2013Q2

The 22 measures OXFORD BANK & TRUST reported to the FFIEC for 2013Q2, each linked to its source filing.

PERIOD: 2013Q2SOURCE: FFIEC Call ReportEvery measure source-linked

Cite: FACTANKER, https://factanker.com/entity/66c06c84-612a-4fed-9a09-aa3904f75a8d/2013Q2

Balance sheet

What the bank holds and owes at quarter end

MeasureValueUnitSource
Total assets456,304,000USDevidence →
Total loans281,081,000USDevidence →
Allowance for loan losses3,993,000USDevidence →
Securities available for sale51,030,000USDevidence →
Securities held to maturity95,000USDevidence →
Trading assets0USDevidence →
Total deposits417,558,000USDevidence →
Interest-bearing deposits331,294,000USDevidence →
Noninterest-bearing deposits86,264,000USDevidence →
Equity capital37,142,000USDevidence →

Income

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

MeasureValueUnitSource
Interest income8,044,000USDevidence →
Interest expense466,000USDevidence →
Net interest income7,578,000USDevidence →
Noninterest income1,348,000USDevidence →
Noninterest expense9,133,000USDevidence →
Provision for loan losses384,000USDevidence →
Pretax income-591,000USDevidence →
Income tax4,000USDevidence →
Net income-595,000USDevidence →

Regulatory capital

Basel measures — not reported for every quarter

MeasureValueUnitSource
Tier 1 capital37,582,000USDevidence →
Total capital41,467,000USDevidence →
Risk-weighted assets310,632,000USDevidence →