Liquidity Management
LOANS TO DEPOSITS
Q3 2025 END-OF-PERIOD
92.3%
Q3 2025
73rd Percentile
LIQUID ASSETS RATIO
Q3 2025 END-OF-PERIOD
2.0%
Q3 2025
13th Percentile
S.T. NONCORE FUNDING
Q3 2025 END-OF-PERIOD
35.9%
Q3 2025
98th Percentile
FUNDING COST
Q3 2025 ANNUALIZED
N/A
Q3 2025
CORE DEPOSITS
Q3 2025 END-OF-PERIOD
52.6%
Q3 2025
5th Percentile
BROKERED DEPOSITS
Q3 2025 END-OF-PERIOD
N/A
Q3 2025
YOUR HOME BANK