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Common Stock Value 0.760.760.760.760.760.760.760.760.760.760.760.580.580.580.580.580.580.580.580.570.570.570.570.570.570.570.560.560.560.58
Weighted Average Number Of Diluted Shares Outstanding 59.3959.9660.52NA61.0461.4161.68NA63.2364.2865.13NA47.6747.6947.79NA50.6850.6651.16NA53.0553.5239.28NA32.3532.2632.26NA32.2732.31
Weighted Average Number Of Shares Outstanding Basic 59.1959.8360.35NA60.9461.3561.51NA63.0564.2264.94NA47.5447.5347.51NA50.6750.6651.09NA52.8653.2538.87NA31.8031.5731.43NA31.4231.44
Earnings Per Share Basic 1.091.161.091.051.221.121.011.351.160.950.061.181.142.011.371.201.01-0.140.210.881.020.680.340.941.220.911.19-0.310.650.65
Earnings Per Share Diluted 1.081.161.091.061.221.121.011.341.160.940.061.181.142.011.361.201.01-0.140.210.881.020.680.330.931.200.891.16-0.310.640.64

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Interest And Fee Income Loans And Leases 235.98230.81224.70224.76218.90207.88193.72181.64152.89129.34118.8892.2993.4698.64108.85118.74110.19112.26119.20122.30124.80129.0087.1268.4467.1664.4460.4759.8958.5056.07
Marketing And Advertising Expense 2.052.021.781.982.052.171.722.252.081.641.271.661.481.290.992.061.451.220.951.801.371.951.591.251.501.080.760.810.710.93
Interest Income Expense Net 177.50174.45175.28178.13182.60181.84182.53193.89176.83153.62138.56108.22104.49106.75114.19123.00113.05113.76116.15117.57120.83123.2383.3164.6763.1060.9957.7157.7356.1354.31
Interest Paid Net 79.1572.0295.1274.9051.7749.3433.8919.607.268.571.066.943.778.334.3915.377.8511.8815.0126.1618.0124.646.1318.349.3310.487.4911.687.408.55
Income Tax Expense Benefit 21.1121.2621.2029.3622.9023.0420.9428.0325.7722.431.7415.4817.5231.6921.4117.4515.14-2.251.2914.2015.9010.096.268.499.896.9110.7727.8610.9410.85
Income Taxes Paid Net 20.0234.332.2926.3524.0948.240.4631.9110.4412.433.3711.637.0719.432.5712.2656.882.820.799.268.5912.563.4311.564.1615.332.2710.5810.5111.55
Profit Loss 64.4169.2165.7263.5174.2668.5962.6684.4473.3460.903.9756.4054.4595.6165.1459.7450.82-7.8110.5745.4253.5935.9712.9329.7238.9428.7437.35NANANA
Other Comprehensive Income Loss Cash Flow Hedge Gain Loss After Reclassification And Tax 10.72-0.59-6.434.35-1.64-1.510.29-0.04-0.04-0.04-0.04-0.04-0.11-0.11-0.11-0.11-0.11-0.141.58-0.130.371.010.63NANANANANANANA
Net Income Loss 64.4469.2765.7663.9174.1768.6862.4084.4573.3860.743.8056.2954.4195.6765.0859.8151.15-7.1110.9345.7053.8836.2013.0229.7238.9428.7437.35-9.8320.5720.57
Comprehensive Income Net Of Tax 207.3063.3022.84250.63-50.4931.03119.83124.08-123.22-144.36-272.2134.0128.68119.61-4.6349.2344.96-4.8757.9636.9963.4156.6330.6746.3332.6523.8524.68-13.2021.3023.50
Net Income Loss Available To Common Stockholders Basic 64.4469.2765.7663.9174.1768.6862.4084.4573.3860.743.8056.2954.41NANANANANANANANANANANANANANANANANA
Net Income Loss Available To Common Stockholders Diluted 64.4469.2765.7663.9174.1768.6862.4084.4573.3860.743.8056.2954.41NANANANANANANANANANANANANANANANANA
Interest Income Expense After Provision For Loan Loss 159.08154.63160.14153.31164.19166.01153.52180.49169.38145.35119.59116.28125.80174.31134.34123.94110.3319.0059.50115.98116.71111.0475.6661.3759.3858.4954.0653.6653.2352.47
Noninterest Expense 163.72155.77149.07147.65139.69141.25133.04132.90132.92134.05174.4690.4296.4596.0395.6293.3793.5493.4488.5098.13109.56107.8597.5961.3552.4557.8353.4168.0654.1652.73
Noninterest Income 90.1691.6075.8687.2072.6766.8763.1364.8862.6572.0360.5746.0342.6149.0247.8246.6349.1764.3840.8541.7762.3542.8741.1238.1941.9034.9947.4732.4432.4431.68

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Assets 20905.2120744.5320579.2520594.6720040.9920385.6920319.2919914.7619985.3920550.2220964.6715777.3315376.1015148.8614730.4514333.9113830.1113573.3612278.8912256.3012272.6712156.5912184.427248.877159.847112.556987.936999.546875.346822.43
Liabilities 18238.1918266.1718113.6318124.8617805.6118078.3118015.9517712.8717884.5618237.3418446.8613840.3113469.4013267.0512962.0012544.4311968.8111751.5610445.4710406.8110416.2210320.2110394.746427.956361.026343.576241.656275.196134.486099.80
Liabilities And Stockholders Equity 20905.2120744.5320579.2520594.6720040.9920385.6920319.2919914.7619985.3920550.2220964.6715777.3315376.1015148.8614730.4514333.9113830.1113573.3612278.8912256.3012272.6712156.5912184.427248.877159.847112.556987.936999.546875.346822.43
Stockholders Equity 2678.262489.582473.482477.642242.802314.662306.362205.112103.592315.362520.461939.101908.891884.051770.641791.731863.501823.671834.591850.311856.991836.611789.75820.92798.82768.98746.28724.35740.86722.62

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Cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents 990.921021.72977.071092.90611.481115.561103.04837.261031.391676.612283.771532.942016.892421.112064.161654.731072.92955.77505.11571.75580.30521.83647.81620.76NANANA723.87NANA
Equity Securities Fv Ni 17.0016.8017.1017.4021.7024.6024.8026.1025.1021.1013.7010.5010.2015.6010.209.5410.4410.2170.7170.0570.0648.7148.4537.2335.0833.59NA0.62NANA

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Amortization Of Intangible Assets 3.923.933.933.933.913.843.853.903.906.643.962.632.652.652.652.672.712.762.762.772.692.892.760.720.740.850.630.730.710.78
Property Plant And Equipment Net 104.40104.02104.62104.48105.00108.39112.13115.60118.90120.61122.7287.3090.9692.5694.3196.5696.5599.32102.38104.47105.04103.79106.1044.9646.3547.4348.1747.9848.3447.51
Goodwill 885.90885.90885.90885.90885.90883.64883.64883.64883.64883.12887.16472.83472.83472.83472.83472.83472.83472.83472.83472.83472.96473.71475.49166.00166.01166.01166.01166.00166.01166.01
Intangible Assets Net Excluding Goodwill 106.27110.28114.45118.66122.57120.64124.61128.59132.78136.74145.0274.4076.5279.1281.8784.5686.9889.6992.9495.9298.89101.98104.7720.0220.5821.2521.7822.4423.1123.98
Finite Lived Intangible Assets Net 103.36107.38111.55NA119.67117.74121.71128.59129.88133.84142.2274.40NANANANANANANANANANANANANANANANANANA
Intangible Assets Net Including Goodwill 992.16996.181000.341004.56NANANANANANANANANANANANANANANANANANANANANANANANANANA
Equity Securities Fv Ni 17.0016.8017.1017.4021.7024.6024.8026.1025.1021.1013.7010.5010.2015.6010.209.5410.4410.2170.7170.0570.0648.7148.4537.2335.0833.59NA0.62NANA
Held To Maturity Securities Accumulated Unrecognized Holding Loss 69.13109.71101.4575.29141.2274.7460.9772.0580.731.150.02NANANA0.00NANA0.000.000.000.000.010.05NANANANANANANA
Held To Maturity Securities Fair Value 958.97929.67949.73985.93927.681005.841035.861040.101041.161063.3585.7594.1395.9099.27107.63116.42118.11132.20137.37136.62138.26145.87149.73149.43150.58155.64159.16162.85163.40163.90
Held To Maturity Securities Accumulated Unrecognized Holding Gain 1.790.531.372.670.020.812.020.530.000.320.883.493.734.144.114.684.504.603.333.023.302.561.59NANANANANANANA
Held To Maturity Securities Accumulated Unrecognized Holding Loss 69.13109.71101.4575.29141.2274.7460.9772.0580.731.150.02NANANA0.00NANA0.000.000.000.000.010.05NANANANANANANA
Debt Securities Held To Maturity Excluding Accrued Interest After Allowance For Credit Loss 1026.311038.851049.811058.561068.87NANA1111.62NANANANANANANANANANANANANANANANANANANANANANA
Held To Maturity Securities Debt Maturities After One Through Five Years Fair Value 14.3212.8811.7410.869.377.939.009.487.235.582.692.742.232.000.980.991.575.294.254.275.287.468.976.706.606.826.855.895.495.95
Held To Maturity Securities Debt Maturities After Five Through Ten Years Fair Value 53.3846.3446.7546.2542.6240.0141.8045.9444.8640.8339.2245.4049.8142.0742.5637.3233.7633.0237.9935.9733.3430.7030.2429.5528.9025.2119.9318.8715.8413.28
Held To Maturity Securities Debt Maturities After Ten Years Fair Value 891.27870.46891.24928.83875.69957.67984.83983.95988.341016.2142.8245.760.2354.0862.9576.9681.6192.7793.9893.7396.97105.08109.39112.17114.06123.45132.22137.77141.74144.68

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Deposits 16427.0316291.0816187.2016474.0915986.3716427.9616189.6916203.5716725.2117269.6117623.5413240.0612767.5612726.8412283.7011856.6611391.3411062.509709.359586.869533.199594.719673.705640.435723.925366.565202.525247.605051.724834.05

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Minority Interest -11.25-11.22-7.86-7.82-7.42-7.28-3.02-3.23-2.76-2.48-2.65-2.08-2.20-2.24-2.19-2.25-2.20-1.88-1.18-0.81-0.54-0.22-0.070.00NANANANANANA

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Stockholders Equity 2678.262489.582473.482477.642242.802314.662306.362205.112103.592315.362520.461939.101908.891884.051770.641791.731863.501823.671834.591850.311856.991836.611789.75820.92798.82768.98746.28724.35740.86722.62
Stockholders Equity Including Portion Attributable To Noncontrolling Interest 2667.012478.362465.622469.822235.382307.382303.342201.892100.832312.882517.821937.021906.701881.811768.451789.481861.301821.791833.421849.491856.461836.391789.68820.92798.82768.98746.28724.35NANA
Common Stock Value 0.760.760.760.760.760.760.760.760.760.760.760.580.580.580.580.580.580.580.580.570.570.570.570.570.570.570.560.560.560.58
Additional Paid In Capital Common Stock 1994.071989.291987.801984.751981.471977.941977.761974.211971.631968.171967.971059.001056.611054.281054.291053.021051.631050.681050.661049.061047.041043.071038.49349.81347.90344.75339.83336.27334.22331.90
Retained Earnings Accumulated Deficit 1816.141760.601700.351643.661588.861523.851464.391411.241336.041272.191219.881224.611174.511126.281036.80977.41923.65878.59891.78917.38877.93830.40800.51791.03764.76729.33704.08669.56680.55662.19
Accumulated Other Comprehensive Income Loss Net Of Tax -500.02-642.88-636.91-593.99-780.71-656.06-618.41-675.84-715.48-518.88-313.78-37.77-15.4910.24-13.7056.0166.5972.7870.5323.5032.2222.692.26-15.39-32.00-25.71-20.82-8.15-3.12-3.86
Minority Interest -11.25-11.22-7.86-7.82-7.42-7.28-3.02-3.23-2.76-2.48-2.65-2.08-2.20-2.24-2.19-2.25-2.20-1.88-1.18-0.81-0.54-0.22-0.070.00NANANANANANA
Adjustments To Additional Paid In Capital Sharebased Compensation Requisite Service Period Recognition Value 2.813.722.462.391.472.553.191.921.371.731.331.441.991.111.160.720.660.690.601.610.760.690.550.430.440.470.950.950.890.74
Minority Interest Decrease From Distributions To Noncontrolling Interest Holders 0.003.30NA0.000.244.170.05NANANANANANANANANANANANANANANANANANANANANANANA

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Net Cash Provided By Used In Operating Activities 3.1544.84112.87-50.80165.2592.3730.1973.95167.73180.9858.19-163.87200.4419.4369.65-33.71-31.5718.0062.4214.83-17.2069.6422.5928.1547.59-2.6462.4722.34NANA
Net Cash Provided By Used In Investing Activities -81.25-67.02-142.0685.59-222.66-49.56-139.63-73.77-182.89-368.71488.00-790.89-638.891.50-64.09135.63-82.78-808.20-119.6033.2641.66-113.84332.74-165.22-42.46-131.46-20.77-157.87NANA
Net Cash Provided By Used In Financing Activities 47.3166.82-86.63446.63-446.67-30.29375.23-194.32-630.06-419.43204.64470.8134.23336.02403.87479.90231.501240.85-9.47-56.6434.01-81.79-328.2846.462.76126.48-54.48126.03NANA

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Net Cash Provided By Used In Operating Activities 3.1544.84112.87-50.80165.2592.3730.1973.95167.73180.9858.19-163.87200.4419.4369.65-33.71-31.5718.0062.4214.83-17.2069.6422.5928.1547.59-2.6462.4722.34NANA
Net Income Loss 64.4469.2765.7663.9174.1768.6862.4084.4573.3860.743.8056.2954.4195.6765.0859.8151.15-7.1110.9345.7053.8836.2013.0229.7238.9428.7437.35-9.8320.5720.57
Profit Loss 64.4169.2165.7263.5174.2668.5962.6684.4473.3460.903.9756.4054.4595.6165.1459.7450.82-7.8110.5745.4253.5935.9712.9329.7238.9428.7437.35NANANA
Deferred Income Tax Expense Benefit -3.61-3.625.24-3.72-3.600.431.482.43-2.994.50-7.954.355.3319.1111.053.692.06-35.58-3.020.974.90-5.466.660.051.20-0.142.2714.800.29-0.38
Share Based Compensation 2.813.722.462.391.472.553.191.921.371.731.331.441.991.111.160.720.660.690.601.610.760.690.550.430.440.470.950.950.890.74

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Net Cash Provided By Used In Investing Activities -81.25-67.02-142.0685.59-222.66-49.56-139.63-73.77-182.89-368.71488.00-790.89-638.891.50-64.09135.63-82.78-808.20-119.6033.2641.66-113.84332.74-165.22-42.46-131.46-20.77-157.87NANA
Payments To Acquire Property Plant And Equipment 3.642.724.233.451.140.960.861.143.232.791.651.851.721.741.273.680.650.302.533.505.191.823.690.591.121.522.270.392.852.01

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Net Cash Provided By Used In Financing Activities 47.3166.82-86.63446.63-446.67-30.29375.23-194.32-630.06-419.43204.64470.8134.23336.02403.87479.90231.501240.85-9.47-56.6434.01-81.79-328.2846.462.76126.48-54.48126.03NANA
Payments Of Dividends 8.899.029.079.119.169.229.269.249.548.438.546.186.186.185.706.056.086.086.166.256.356.413.453.453.503.472.832.832.202.20
Payments For Repurchase Of Common Stock 13.9740.2020.989.9515.7516.0712.8815.9082.4754.0547.670.060.001.1812.03116.340.080.6738.7439.4540.658.039.0522.692.452.583.482.543.183.21

    2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-09-30 2020-06-30 2020-03-31 2019-12-31 2019-09-30 2019-06-30 2019-03-31 2018-12-31 2018-09-30 2018-06-30 2018-03-31 2017-12-31 2017-09-30 2017-06-30
Intersegment Elimination 46.8944.9243.7943.0142.6439.8534.6933.6026.2018.6613.769.418.718.828.198.707.747.698.109.4011.519.9610.0410.569.388.697.657.166.746.83
Operating 410.43401.75381.27387.44366.44308.64324.20311.57275.42250.71218.47168.17160.78170.74177.29186.63180.28197.95182.80188.52215.12195.73150.74126.54126.70115.83122.73106.15104.19100.84
Operating, External Customers 363.54356.83337.48NA323.81308.64289.51NA249.22NANANANANANANANANANANANANANANANANANANANANA
Operating, External Customers, Cash Connect 31.8031.0026.35NA21.2319.9918.18NA15.42NANANANANANANANANANANANANANANANANANANANANA
Operating, External Customers, Wealth Management 42.9743.8138.78NA38.6938.1535.90NA33.11NANANANANANANANANANANANANANANANANANANANANA
Operating, External Customers, Wsfs Bank 288.77282.03272.35NA263.89250.49235.44NA200.69NANANANANANANANANANANANANANANANANANANANANA
Intersegment Elimination, Cash Connect 0.760.860.880.800.840.820.860.780.850.830.690.570.560.640.560.590.440.420.230.260.260.190.180.190.200.200.180.200.210.21
Intersegment Elimination, Wealth Management 28.6427.5929.0826.3927.2025.0420.8318.7613.889.035.533.503.223.553.103.792.972.793.023.625.914.264.193.833.062.712.402.312.272.48
Intersegment Elimination, Wsfs Bank 17.4916.4713.8415.8214.6013.9913.0014.0611.488.807.545.344.944.634.544.324.324.484.855.525.345.505.676.536.125.785.084.654.264.15
Operating, Cash Connect 32.5731.8627.2323.8722.0719.9919.0418.8016.2612.8410.7611.2711.7611.8610.2610.6410.609.4311.9112.5813.3213.5512.5814.1613.2312.5311.5311.4411.4310.72
Operating, Wealth Management 71.6171.3967.8567.5865.8938.1556.7353.6546.9944.4739.9423.3120.9621.2520.0220.0018.5816.0216.6617.4919.3017.5818.2817.0015.9915.8714.2314.3713.6613.69
Operating, Wsfs Bank 306.26298.49286.19296.00278.49250.49248.43239.12212.17193.40167.77133.58128.06137.64147.02155.98151.10172.49154.23158.45182.49164.60119.8995.3797.4887.4396.9780.3479.1176.44
Credit And Debit Card 24.6223.8819.6717.0614.8714.4313.3612.6410.998.777.687.467.657.576.807.107.259.3111.3612.0813.1213.6811.5212.0811.2410.719.809.719.358.93
Deposit Account 6.846.506.496.546.536.286.046.336.266.075.835.575.745.325.465.414.774.175.655.986.146.104.754.814.674.664.634.674.704.56
Financial Service 36.6537.6132.9335.4832.7232.3830.4830.7329.5031.1930.1817.3615.3715.3614.2513.8213.2710.9310.9611.4610.4610.3810.1510.1410.0310.249.199.428.818.84
Mortgage Banking 2.072.221.651.121.251.301.120.741.422.212.904.535.644.458.606.7311.518.493.472.963.152.852.091.351.511.691.741.511.761.84
Service Other 16.8816.7712.4014.9713.9810.539.2511.5012.8515.7212.5510.017.478.638.699.027.195.986.957.447.047.737.717.186.667.115.915.756.076.05
A T M Insurance 0.830.880.860.710.640.650.650.660.680.670.610.630.640.630.620.590.600.570.650.630.640.650.630.610.590.600.590.660.710.72
Bailment Fees 19.6218.8214.9612.049.989.388.688.076.314.012.793.253.313.323.063.143.313.085.085.876.586.916.907.907.196.596.095.895.605.16
Capital Market Revenue 3.373.383.003.683.581.712.882.120.793.441.51NANANANANANANANANANANANANANANANANANANA
Currency Preparation 1.921.921.681.471.331.341.281.221.100.930.870.911.041.160.951.011.080.920.840.780.820.850.741.170.860.820.720.710.770.74
Interchange Fees 4.053.973.753.923.883.993.893.653.873.894.103.443.543.483.063.233.275.635.625.906.236.454.393.913.773.853.463.533.473.50
Managed Service Fees 5.535.865.595.195.305.224.804.904.874.393.844.084.234.503.613.903.793.724.033.963.633.622.943.013.173.102.832.802.892.67
Miscellaneous Products And Services 5.234.731.283.923.121.62-0.362.605.416.294.434.391.552.343.513.521.720.771.442.071.942.613.402.382.042.581.771.581.691.92
Other Card And A T M Fees 0.961.08NANA1.001.05NANANANANANANANANANANANANANANANANANANANANANANANA
Other Deposit Service Fees 0.320.330.330.280.300.240.260.280.170.200.170.100.260.260.460.100.120.120.100.080.150.230.180.140.120.140.170.130.120.19
Return And Overdraft Fees 1.871.65NANA1.851.72NANANANANANANANANANANANANANANANANANANANANANANANA
Service Fees 4.654.524.364.354.384.324.144.233.933.973.883.623.633.553.423.483.122.923.213.343.193.182.722.652.662.632.582.552.602.53
Trust Fees 25.3026.1421.8624.8822.0621.9420.5220.8119.1720.4019.0912.5310.6310.819.769.729.307.316.957.506.636.686.576.095.936.125.255.335.044.98
Wealth Management And Advisory Fees 11.3511.46NANA10.6610.44NANANANANANANANANANANANANANANANANANANANANANANANA

Plots across concepts


IncomeStatement
Net Income Loss
Balance Sheet
Intangible Assets Net Excluding Goodwill
Assets
Equity Securities Fv Ni
NonCurrent Assets
Property Plant And Equipment Net
Liabilities
Operating Lease Liability
Noncurrent Liabilities
Minority Interest
Stockholders Equity
Accumulated Other Comprehensive Income Loss Net Of Tax
CashFlow
Net Cash Provided By Used In Investing Activities
NetCashProvidedByUsedInOperatingActivities
Share Based Compensation
NetCashProvidedByUsedInInvestingActivities
Net Cash Provided By Used In Investing Activities
NetCashProvidedByUsedInFinancingActivities
Payments For Repurchase Of Common Stock
Shares
Weighted Average Number Of Shares Outstanding Basic
DividendsAndRepurchase
Dividends Common Stock Cash
LesseeOperatingLeaseLiabilityPaymentsDue
Lessee Operating Lease Liability Payments Remainder Of Fiscal Year
FiniteLivedIntangibleAssets
Finite Lived Intangible Assets Accumulated Amortization
AssetsBanks
Interest Bearing Deposits In Banks
LiabilitiesBanks
Deposits

Line plots across dimensions of each concept