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Stifel Trust Company N.A.: Liquidity and Borrowings

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

Cash, the assets that can be turned into cash, and the borrowed money standing behind the deposit base. Heavy reliance on non-core wholesale funding is what turns a deposit outflow into a forced sale of securities.

Cash and balances due from depository institutions dropped 24.2% in Q2 2026, from $219.9M to $166.6M. It was the largest change from Q1 2026 among the key lines here. On loan-to-deposit ratio, Stifel Trust Company N.A. is 3rd from the bottom among 192 Missouri banks, 0.00% (Q2 2026). Against a median of 80.84% for banks in the $100M-1B asset tier, Stifel Trust Company N.A. reported 0.00% on loan-to-deposit ratio in Q2 2026, 80.84 points lower.

Liquid assets

Liquid assets for Stifel Trust Company N.A., Q2 2026
Line item Q2 2026
Cash and balances due from depository institutions $166.6M
Cash and noninterest-bearing balances to assets —
Cash and securities $890.4M
Fed funds sold and reverse repos $0
Fed funds sold and reverse repos to assets 0.00%

Borrowed funds

Borrowed funds for Stifel Trust Company N.A., Q2 2026
Line item Q2 2026
Fed funds purchased and repos $0
Other borrowed money $0
Subordinated notes and debentures $0
Other borrowed money to assets 0.00%
Trading liabilities $0

Funding structure

Funding structure for Stifel Trust Company N.A., Q2 2026
Line item Q2 2026
Loan-to-deposit ratio 0.00%
Net loans and leases to deposits 0.00%
Loans and leases to core deposits 0.00%
Core deposits to total deposits 100.00%
Brokered deposits to total deposits 0.00%

Liquidity and Borrowings trend

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

Loans to deposits and core funding
Borrowed funds

Liquidity and Borrowings by quarter

Values plotted above, Stifel Trust Company N.A., oldest first
Quarter Loan-to-depositCore deposits shareFed funds purchased and reposOther borrowed money
Q3 2023 0.00% 100.00% $0 $0
Q4 2023 0.00% 100.00% $0 $0
Q1 2024 0.00% 100.00% $0 $0
Q2 2024 0.00% 100.00% $0 $0
Q3 2024 0.00% 100.00% $0 $0
Q4 2024 0.00% 100.00% $0 $0
Q1 2025 0.00% 100.00% $0 $0
Q2 2025 0.00% 100.00% $0 $0
Q3 2025 0.00% 100.00% $0 $0
Q4 2025 0.00% 100.00% $0 $0
Q1 2026 0.00% 100.00% $0 $0
Q2 2026 0.00% 100.00% $0 $0

Stifel Trust Company N.A. liquidity and borrowings, all the way back

Liquidity and Borrowings back to 2001 · peer percentiles on every line item · Excel export

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Source: Call Report Schedules RC and RC-M, 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 Stifel Trust Company N.A. profile, peer group comparison, or how this data updates.

Regulator records: FDIC BankFind (cert 33785) · FFIEC NIC profile (RSSD 2713920)