CVBF logo

CVBF

CVB Financial Corporation

$20.13
-$0.08(-0.40%)
56
Overall
80
Value
33
Tech
--
Quality
Market Cap
$2.79B
Volume
703.60K
52W Range
$16.01 - $24.58
Target Price
$22.80
Order:

Income Statement

MetricTrendChart
2015
Dec
2016
Dec
2017
Dec
2018
Dec
2019
Dec
2020
Dec
2021
Dec
2022
Dec
2023
Dec
2024
Dec
REVENUE
Total Revenue
$292.0M$299.0M$329.5M$391.0M$494.8M$465.9M$461.9M$555.5M$547.3M$501.8M
Total Revenue
$292.0M$299.0M$329.5M$391.0M$494.8M$465.9M$461.9M$555.5M$547.3M$501.8M
OPERATING EXPENSES
Selling, General & Administrative
$100.8M$105.1M$108.5M$122.5M$125.4M$124.2M$122.5M$137.9M$145.9M$151.8M
Selling & Marketing Expenses
$5.0M$5.0M$4.8M$5.3M$5.9M$4.5M$4.6M$6.3M$6.8M$7.3M
General & Administrative Expenses
$17.2M$17.4M$16.6M$16.6M$1.0M----------
Salaries & Wages
$78.6M$82.6M$87.1M$100.6M$119.5M$119.8M$117.9M$131.6M$139.2M$144.5M
Depreciation & Amortization
$949.0K--$1.3M$5.3M$10.8M$9.4M$8.2M$7.6M$6.5M$5.3M
Depreciation & Amortization
$949.0K--$1.3M$5.3M$10.8M$9.4M$8.2M$7.6M$6.5M$5.3M
Amortization
$-949.0K$-1.1M$1.3M$5.3M$10.8M$9.4M$8.2M$7.6M$6.5M$5.3M
SPECIAL ITEMS
Restruct
$475.0K$1.9M$2.3M$16.4M$6.4M--$962.0K$6.0M----
Special Income Charges
$-20.1M$-9.5M$-8.2M$-24.8M$-7.4M$-6.6M$-10.2M$-25.5M$-32.7M$-28.5M
Impairment of Capital Assets
--$-2.6M----------------
PRE-TAX INCOME
Pre-Tax Income
$151.4M$162.3M$188.8M$211.1M$291.1M$249.5M$297.6M$328.3M$315.4M$271.2M
INCOME TAX
Tax Provision
$52.2M$60.9M$84.4M$59.1M$83.2M$72.4M$85.1M$92.9M$94.0M$70.5M
NET INCOME
Net Income
$99.1M$101.4M$104.4M$152.0M$207.8M$177.2M$212.5M$235.4M$221.4M$200.7M
Net Income (Continuing Operations)
$99.1M$101.4M$104.4M$152.0M$207.8M$177.2M$212.5M$235.4M$221.4M$200.7M
Net Income (Discontinued Operations)
$99.1M$101.4M$104.4M$152.0M$207.8M$177.2M$212.5M$235.4M$221.4M$200.7M
Net Income (Common Stockholders)
$70.4M$70.7M$72.8M$123.5M$237.1M$176.6M$211.6M$233.9M$221.4M$199.3M
Normalized Income
------------------$186.4M
SHARE & EPS DATA
Average Shares Outstanding
$105.7M$107.3M$109.4M$121.7M$139.8M$136.0M$135.2M$139.7M$138.3M$138.4M
Average Shares Outstanding (Diluted)
$106.2M$107.7M$109.8M$122.0M$139.9M$136.2M$135.4M$140.0M$138.5M$138.6M
Shares Outstanding
$106.4M$108.4M$110.2M$140.0M$140.1M$135.9M$141.9M$139.5M$139.4M$139.6M
Basic EPS
$0.93$0.94$0.95$1.25$1.48$1.3$1.57$1.67$1.59$1.44
Basic EPS (Continuing Operations)
$0.93$0.94$0.95$1.25$1.48$1.3$1.57$1.67$1.59$1.44
Diluted EPS
$0.93$0.94$0.95$1.24$1.48$1.3$1.56$1.67$1.59$1.44
Diluted EPS (Continuing Operations)
$0.93$0.94$0.95$1.24$1.48$1.3$1.56$1.67$1.59$1.44
Dividend Per Share
$0.48$0.48$0.54--$0.72--$0.72$0.77$0.80$0.80
OTHER METRICS
Acquired In Process Rn D
--$18.0M----------------
Credit Card
$3.1M$2.9M$3.4M--------------
Credit Losses Provision
$5.6M$6.4M$8.5M$1.5M$5.0M$358.0K$25.5M$5.7M$2.0M$3.0M
Dividend Income
$2.8M$2.2M$1.4M$-26.5M$1.2M$978.0K$1.0M$1.2M$1.9M$1.6M
Fees And Commissions
$27.3M$26.1M$29.1M------------$-28.3M
Incomefrom Associatesand Other Participating Interests
----$-14.6M--------------
Insurance And Claims
$17.2M$17.4M$16.6M$16.6M------------
Insurance And Premiums
----$-14.6M--------------
Interest Expense For Capitalized Lease Obligations
--------$7.3M$6.6M$6.6M$7.4M----
Interest Expense For Deposit
$5.3M$6.0M$6.0M$9.8M$17.1M$12.6M$5.3M$6.8M$51.5M$105.5M
Interest Expense For Long Term Debt
$438.0K$541.0K$673.0K$923.0K$999.0K$551.0K$186.0K------
Interest Expense For Long Term Debt And Capital Securities
$438.0K$541.0K$673.0K$923.0K$999.0K$551.0K$186.0K$7.4M----
Interest Income
$261.5M$265.1M$287.2M$361.9M$457.9M$430.3M$420.6M$514.7M$606.3M$630.1M
Interest Income After Provision For Loan Loss
$252.9M$257.1M$278.9M$346.0M$430.8M$415.7M$389.1M$499.8M$486.0M$444.3M
Interest Income From Deposits
$-17.3M------------------
Interest Income From Federal Funds Sold And Securities Purchase Under Agreements To Resell
$634.0K$-18.0M----------------
Interest Income From Investment Securities
$64.1M$49.6M$50.7M$47.6M$41.6M$37.7M$40.8M$117.6M$138.3M$134.0M
Interest Income From Loans
$185.7M$193.0M$214.1M$293.3M$397.6M$400.9M$331.1M$389.2M$448.3M$455.8M
Interest Income From Loans And Lease
$185.7M$193.0M$214.1M$293.3M$397.6M$400.9M$331.1M$389.2M$448.3M$455.8M
Interest Income From Securities
$64.1M$49.6M$50.7M$47.6M$41.6M$37.7M$40.8M$117.6M$138.3M$134.0M
Investment Banking Profit
------$-28.5M------------
Marketing Expense
$5.0M$5.0M$4.8M$5.3M$5.9M$4.5M$4.6M$6.3M$6.8M$7.3M
Net Interest Income
$258.5M$263.5M$287.4M$347.5M$435.8M$416.1M$414.6M$505.5M$488.0M$447.3M
Net Occupancy Expense
$14.9M$15.6M$16.8M$20.8M$20.5M$20.6M$19.8M$22.7M$22.1M$23.4M
Non Interest Expense
$-140.7M$-136.7M$-140.8M$-179.9M$198.7M$192.9M$189.8M$216.6M$229.9M$233.6M
Non Interest Income
$33.5M$35.6M$42.1M$43.5M$59.0M$49.9M$47.4M$50.0M$59.3M$54.5M
Non Recurring Operation Expense
--$2.6M----------------
Occupancy And Equipment
$14.9M$15.6M$16.8M$20.8M$20.5M$20.6M$19.8M$22.7M$22.1M$23.4M
Other Customer Services
--$-1.5M----------------
Other Gand A
$17.2M$17.4M$16.6M$16.6M$1.0M----------
Other Interest Expense
$2.9M$1.5M$1.6M$2.1M$-4.0M$-1.1M$-548.0K$-505.5M$-488.0M$573.0K
Other Interest Income
$9.0M$20.2M$21.0M$18.9M$17.4M$14.2M$22.2M$49.0M$54.8M$53.2M
Other Non Interest Expense
$18.7M$5.0M$6.0M$8.4M$6.6M$6.6M$9.2M$19.5M$32.7M$28.5M
Other Non Interest Income
$6.3M$6.9M$42.1M$43.5M$53.4M$49.9M$47.4M$12.9M$24.9M$21.1M
Professional Expense And Contract Services Expense
$5.8M$5.1M$5.9M$6.5M$7.8M$9.5M$8.0M$9.4M$9.1M$10.5M
Property Casualty Premiums
$-17.6M------------------
Rent And Landing Fees
$-5.5M$-5.6M$-5.9M$-7.7M------------
Securities Activities
------------------$-28.3M
Service Charge On Depositor Accounts
$24.2M$24.7M$25.7M--------------
Total Premiums Earned
$-17.6M--$-14.6M--------------
Intexp
$-8.6M$-8.0M$-8.3M$-12.8M$22.1M$14.3M$6.1M$9.2M$51.5M$106.1M
Othspecchg
$902.0K$-21.8M$-34.0M$-12.9M$-5.7M$-93.7M$-65.0M$-85.1M$-86.8M$-80.1M

Financial data is updated quarterly and may not reflect the most recent earnings.

ABCD
1SymbolPriceChangeVol
2CVBF$20.13-0.4%703.60K
3
4
5
6

Get CVB Financial Corporation Data in Excel

Stream real-time data directly to your spreadsheets

BUY NOW
Stock data provided by MarketXLS.