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Star Bank: Securities Portfolio

Data as of · Call Report Schedule RC-B How we update

The investment portfolio: what the bank owns, how it is split between available-for-sale and held-to-maturity, and the unrealized gain or loss sitting in it. Unrealized losses on held-to-maturity securities do not run through capital, which is why the ratio to equity is worth watching.

The standout move of Q2 2026 was in Unrealized gain/(loss), available-for-sale: 7.6% higher than in Q1 2026, at -$1.1M.

Portfolio size

Portfolio size for Star Bank, Q2 2026
Line item Q2 2026
Total securities $31.9M
Available-for-sale securities $31.9M
Held-to-maturity securities $0
Trading account assets $0
Municipal securities $0
Securities to total assets 7.15%

Portfolio mix

Portfolio mix for Star Bank, Q2 2026
Line item Q2 2026
Available-for-sale share of securities 100.00%
Held-to-maturity share of securities 0.00%
Pledged share of securities 85.87%

Unrealized gains and losses

Unrealized gains and losses for Star Bank, Q2 2026
Line item Q2 2026
Unrealized gain/(loss), available-for-sale -$1.1M
Unrealized gain/(loss), held-to-maturity $0
Total unrealized gain/(loss) -$1.1M
Unrealized gain/(loss) to equity -2.39%

Carrying value less fair value. A negative figure is an unrealized loss: the position is worth less than the balance sheet carries it at.

Securities earnings

Securities earnings for Star Bank, Q2 2026
Line item Q2 2026
Yield on securities 2.64%
Realized gain/(loss) on securities $0
Realized gain/(loss), available-for-sale $0
Realized gain/(loss), held-to-maturity $0

Securities Portfolio trend

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

Available-for-sale vs held-to-maturity
Unrealized gain/(loss) to equity

Negative bars are unrealized losses measured against equity capital.

Yield on securities

Securities Portfolio by quarter

Values plotted above, Star Bank, oldest first
Quarter Available-for-saleHeld-to-maturityUnrealized G/(L) to equityYield on securities
Q3 2023 $44.6M $0 -15.01% 1.41%
Q4 2023 $44.6M $0 -9.66% 1.44%
Q1 2024 $42.9M $0 -10.06% 1.48%
Q2 2024 $43.2M $0 -9.30% 1.52%
Q3 2024 $43.2M $0 -4.95% 1.74%
Q4 2024 $41.2M $0 -5.58% 2.04%
Q1 2025 $40.2M $0 -4.35% 1.95%
Q2 2025 $39.1M $0 -3.53% 2.14%
Q3 2025 $31.2M $0 -2.95% 2.10%
Q4 2025 $34.8M $0 -2.22% 2.52%
Q1 2026 $33.1M $0 -2.65% 2.33%
Q2 2026 $31.9M $0 -2.39% 2.64%

Star Bank securities portfolio, all the way back

Securities Portfolio back to 2001 · peer percentiles on every line item · Excel export

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Source: Call Report Schedule RC-B, 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 Star Bank profile, peer group comparison, or how this data updates.

Regulator records: FDIC BankFind (cert 5095) · FFIEC NIC profile (RSSD 715050)