Skip to main content

CTBC Bank Corp. (USA): Balance Sheet

Data as of · Call Report Schedule RC How we update

Assets, liabilities and equity as reported on Schedule RC, the statement every other page on this profile is derived from.

Cash and balances due from depository institutions climbed 107.0% in Q2 2026, from $418.7M to $866.7M. It was the largest change from Q1 2026 among the key lines here. CTBC Bank Corp. (USA) ranks 19th of 114 California banks on total assets, in the upper half at $5.87B (Q2 2026). CTBC Bank Corp. (USA)'s total assets of $5.87B is well above the $2.02B median for banks in the $1B-10B asset tier, a gap of 191% (Q2 2026).

Assets

Assets for CTBC Bank Corp. (USA), Q2 2026
Line item Q2 2026
Total assets $5.87B
Cash and balances due from depository institutions $866.7M
Total securities $387.2M
Fed funds sold and reverse repos $0
Net loans and leases $4.37B
Loans held for sale $16.2M
Trading account assets $0
Premises and fixed assets $28.5M
Other real estate owned $0
Goodwill and other intangibles $722K
All other assets $218.4M

Liabilities

Liabilities for CTBC Bank Corp. (USA), Q2 2026
Line item Q2 2026
Total liabilities $5.09B
Total deposits $5.02B
Fed funds purchased and repos $0
Trading liabilities $0
Other borrowed money $0
Subordinated notes and debentures $0
All other liabilities $69.8M

Equity capital

Equity capital for CTBC Bank Corp. (USA), Q2 2026
Line item Q2 2026
Total equity capital $784.2M
Common stock $271K
Common stock surplus $404.7M
Retained earnings $392.1M
Preferred stock and surplus $500K
Accumulated other comprehensive income -$13.3M
Total liabilities and equity capital $5.87B

Balance Sheet trend

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

Total assets and total liabilities
Loans, securities and cash

Balance Sheet by quarter

Values plotted above, CTBC Bank Corp. (USA), oldest first
Quarter Total assetsTotal liabilitiesNet loans and leasesSecuritiesCash and balances due
Q3 2023 $5.20B $4.55B $4.42B $259.1M $262.2M
Q4 2023 $5.28B $4.61B $4.44B $267.5M $329.8M
Q1 2024 $5.26B $4.58B $4.43B $261.7M $331.1M
Q2 2024 $5.41B $4.72B $4.42B $256.0M $493.6M
Q3 2024 $5.28B $4.58B $4.31B $247.2M $490.9M
Q4 2024 $5.22B $4.51B $4.16B $238.3M $590.0M
Q1 2025 $5.17B $4.45B $4.19B $266.7M $482.0M
Q2 2025 $5.32B $4.59B $4.27B $295.6M $518.2M
Q3 2025 $5.46B $4.72B $4.27B $346.0M $619.3M
Q4 2025 $5.58B $4.82B $4.26B $363.4M $730.2M
Q1 2026 $5.37B $4.60B $4.35B $376.8M $418.7M
Q2 2026 $5.87B $5.09B $4.37B $387.2M $866.7M

CTBC Bank Corp. (USA) balance sheet, all the way back

Balance Sheet back to 2001 · peer percentiles on every line item · Excel export

Unlock CTBC Bank Corp. (USA), free

Source: Call Report Schedule RC, 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 CTBC Bank Corp. (USA) profile, peer group comparison, or how this data updates.

Regulator records: FDIC BankFind (cert 19416) · FFIEC NIC profile (RSSD 996260)