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Republic Bancorp Inc. (Kentucky) Cl A

NAS: RBCAA

GO
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After Hours

 --Quotes are delayed by 20 min

Jul 1, 2022, 4:01 p.m.

/zigman2/quotes/200886150/composite

$

48.86

Change

0.00 0.00%

Volume

Volume 356

Quotes are delayed by 20 min

/zigman2/quotes/200886150/composite

Previous close

$ 48.25

$ 48.86

Change

+0.61 +1.26%

Day low

Day high

$47.96

$49.17

Open

52 week low

52 week high

$41.41

$57.62

Open

Annual Financials for Republic Bancorp Inc. (Kentucky) Cl A

Assets

Fiscal year is January-December. All values USD millions. 20172018201920202021 5-year trend
Total Cash & Due from Banks 299.35M351.47M385.3M485.59M756.97M
Investments - Total 641.14M596.35M596.97M663.31M609.07M
Trading Account Securities -----
Federal Funds Sold & Securities Purchased -----
Federal Funds Sold -----
Securities Bought Under Resale Agreement -----
Treasury Securities 307.59M216.87M134.64M246.91M237.46M
Federal Agency Securities -----
State & Municipal Securities 464,000463,000462,000356,000245,000
Mortgage Backed Securities 221.57M265.41M339.79M276.27M252.9M
Other Securities 61.83M58.22M59M53.65M49.13M
Other Investments 49.68M55.38M63.09M86.13M69.64M
Net Loans 3.97B4.1B4.39B4.75B4.43B
Gross Loans - Net of Unearned Income 4.01B4.15B4.43B4.81B-
Commercial & Industrial Loans 353.34M444.1M491.6M843.06M539.27M
Consumer & Installment Loans 170.09M219.06M245.79M164.14M175.13M
Real Estate Mortgage Loans 3.47B3.47B3.68B3.8B2.92B
Lease Financing Loans 16.58M15.03M14.04M10.13M8.64M
Foreign Loans -----
Broker & Financial Institution Loans -----
Unspecified/Other Loans -----
Unearned Income -----
Loan Loss Allowances (Reserves) (42.77M)(44.68M)(43.35M)(61.07M)(64.58M)
Customer Liability on Acceptances -----
Net Property, Plant & Equipment 42.59M43.13M80.57M82.86M74.9M
Other Assets (Including Intangibles) 118.83M129M151.44M166.03M206.42M
Other Assets 102.53M112.7M135.14M149.73M190.12M
Intangible Assets 16.3M16.3M16.3M16.3M16.3M
Interest Receivables 12.08M13.94M12.94M12.93M9.88M
Total Assets 5.09B5.24B5.62B6.17B6.09B

Liabilities & Shareholders' Equity

20172018201920202021 5-year trend
Total Deposits 3.43B3.46B3.79B4.73B4.84B
Demand Deposits 2.89B2.66B2.82B3.83B4.17B
Savings/Time Deposits 544.42M574.21M779.78M591.9M590.57M
Foreign Office Deposits -----
Total Debt 982.76M1.03B995.39M531.61M355.64M
ST Debt & Current Portion LT Debt 661.52M802.99M854.82M453.09M323.25M
Current Portion of Long Term Debt 127.5M110M480M10M-
Short Term Debt 534.02M692.99M374.82M443.09M-
Long-Term Debt 321.24M231.24M140.57M78.52M32.39M
LT Debt excl. Capitalized Leases 321.24M231.24M111.24M41.24M-
Capitalized Lease Obligations -----
Other Liabilities 37.02M60.1M74.68M80.22M63.34M
Other Liabilities (excl. Deferred Income) 37.02M60.1M74.68M80.22M63.34M
Total Liabilities 4.45B4.55B4.86B5.35B5.26B
Preferred Stock (Carrying Value) -----
Redeemable Preferred Stock -----
Non-Redeemable Preferred Stock -----
Common Equity (Total) 632.42M689.93M764.24M823.32M834.23M
Common Stock Par/Carry Value 4.9M4.9M4.91M4.9M4.7M
Additional Paid-In Capital/Capital Surplus 139.41M141.02M142.07M143.64M139.96M
Retained Earnings 487.7M545.01M614.17M666.28M687.7M
ESOP Debt Guarantee -----
Cumulative Translation Adjustment/Unrealized For. Exch. Gain -----
Unrealized Gain/Loss Marketable Securities 489,000(1.09M)3.18M8.51M1.87M
Revaluation Reserves -----
Other Appropriated Reserves (73,000)90,000(77,000)--
Treasury Stock -----
Total Shareholders' Equity 632.42M689.93M764.24M823.32M834.23M
Accumulated Minority Interest -----
Total Equity 632.42M689.93M764.24M823.32M834.23M
Liabilities & Shareholders' Equity 5.09B5.24B5.62B6.17B6.09B
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