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CIBC National Trust Company: Deposit Base

Data as of · Call Report Schedules RC-E and RC-O How we update

How the bank is funded. Core deposits are the stable, mostly-insured relationship money; brokered and uninsured balances are the fastest to leave. The 2023 regional bank failures were runs on uninsured deposits, which is why that share now gets read first.

The standout move of Q2 2026 was in Transaction accounts to domestic deposits: 58.86 percentage points lower than in Q1 2026, at 0.00%. On total deposits, CIBC National Trust Company is 1st from the bottom among 122 Georgia banks, $550K (Q2 2026). Against a median of $277.3M for banks in the $100M-1B asset tier, CIBC National Trust Company reported $550K on total deposits in Q2 2026, 100% lower.

Deposit totals

Deposit totals for CIBC National Trust Company, Q2 2026
Line item Q2 2026
Total deposits $550K
Domestic office deposits $550K
Foreign office deposits —
Deposits to total assets 0.13%
Deposits to total liabilities 0.41%

Deposit composition

Deposit composition for CIBC National Trust Company, Q2 2026
Line item Q2 2026
Demand deposits $0
Savings deposits $0
Transaction accounts to domestic deposits 0.00%
Time deposits $100K
Time deposits under $100k $0
Time deposits $100k to $250k $0
Time deposits over $250k $550K
Noninterest-bearing share of deposits 0.00%

Stability of funding

Stability of funding for CIBC National Trust Company, Q2 2026
Line item Q2 2026
Core deposits —
Core deposits to total deposits 0.00%
Insured deposits —
Uninsured deposits —
Uninsured deposits to total deposits —
Brokered deposits $0
Brokered deposits to total deposits 0.00%

Cost of deposits

Cost of deposits for CIBC National Trust Company, Q2 2026
Line item Q2 2026
Cost of interest-bearing deposits 2.91%
Interest expense on deposits $4K
Loans and leases to core deposits —

Deposit Base trend

Last 12 quarters as filed. Every value plotted here also appears in the tables above.

Total deposits
Core, uninsured and brokered shares
Cost of interest-bearing deposits

Deposit Base by quarter

Values plotted above, CIBC National Trust Company, oldest first
Quarter Total depositsCore depositsBrokered depositsCost of interest-bearing deposits
Q3 2023 $612K 16.18% 0.00% 0.78%
Q4 2023 $634K 18.30% 0.00% 1.55%
Q1 2024 $806K 35.73% 0.00% 3.09%
Q2 2024 $629K 17.65% 0.00% 3.09%
Q3 2024 $639K 18.94% 0.00% 3.09%
Q4 2024 $638K 16.30% 0.00% 3.04%
Q1 2025 $1.1M 49.91% 0.00% 3.00%
Q2 2025 $591K 9.64% 0.00% 3.00%
Q3 2025 $682K 21.70% 0.00% 3.00%
Q4 2025 $1.5M 63.72% 0.00% 2.95%
Q1 2026 $1.3M 58.86% 0.00% 2.91%
Q2 2026 $550K 0.00% 0.00% 2.91%

CIBC National Trust Company deposit base, all the way back

Deposit Base back to 2001 · peer percentiles on every line item · Excel export

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Source: Call Report Schedules RC-E and RC-O, as filed with the FFIEC and standardized by BankRegReports. Dollar amounts are as reported, point-in-time; income statement items are year-to-date through the report date. See the full CIBC National Trust Company profile, peer group comparison, or how this data updates.

Regulator records: FDIC BankFind (cert 91325) · FFIEC NIC profile (RSSD 975751)