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Investor Alert

Signature Bank Dep. Pfd. (Rep. 1/40th Perp. Pfd. Series A)

NAS: SBNYP

GO
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Market closed

 --Quotes are delayed by 20 min

Aug 8, 2022, 4:00 p.m.

/zigman2/quotes/223189192/composite

$

21.08

Change

+0.08 +0.38%

Volume

Volume 72,407

Quotes are delayed by 20 min

/zigman2/quotes/223189192/composite

Previous close

$ 21.00

$ 21.08

Change

+0.08 +0.38%

Day low

Day high

$20.80

$21.30

Open

52 week low

52 week high

$17.26

$26.39

Open

Annual Financials for Signature Bank Dep. Pfd. (Rep. 1/40th Perp. Pfd. Series A)

Assets

Fiscal year is January-December. All values USD millions. 20172018201920202021 5-year trend
Total Cash & Due from Banks 290.08M269.2M702.28M12.21B29.55B
Investments - Total 9.66B10.01B9.89B11.95B22.82B
Trading Account Securities -----
Federal Funds Sold & Securities Purchased -----
Federal Funds Sold -----
Securities Bought Under Resale Agreement -----
Treasury Securities 24.73M32.89M20.14M10M9.98M
Federal Agency Securities ---49.95M1.99B
State & Municipal Securities 7.55M6.55M10.06M99.26M250.37M
Mortgage Backed Securities 7.96B8.1B8.1B9.57B17.51B
Other Securities 956M1.07B1.14B1.47B2.42B
Other Investments 707.96M801.86M617.37M750.86M645.58M
Net Loans 32.42B36.19B38.86B48.32B64.39B
Gross Loans - Net of Unearned Income 32.61B36.42B39.11B48.83B-
Commercial & Industrial Loans 6.38B8B11.89B21.19B36.1B
Consumer & Installment Loans 15.31M9.04M9.61M7.04M7.51M
Real Estate Mortgage Loans 26.19B28.39B27.18B27.67B28.83B
Lease Financing Loans -----
Foreign Loans -----
Broker & Financial Institution Loans -----
Unspecified/Other Loans 29.49M28.55M27.25M--
Unearned Income ---(36.08M)(76.59M)
Loan Loss Allowances (Reserves) (195.96M)(230.01M)(249.99M)(508.3M)(474.39M)
Customer Liability on Acceptances -----
Net Property, Plant & Equipment 61.57M59.05M284M317.68M318.22M
Other Assets (Including Intangibles) 545.54M632.54M666.06M645.29M890.41M
Other Assets 516.89M582.52M620.15M612.99M890.41M
Intangible Assets 28.64M50.02M45.91M32.3M-
Interest Receivables 117.07M141.83M147.53M277.8M306.83M
Total Assets 43.12B47.59B50.59B74.1B118.68B

Liabilities & Shareholders' Equity

20172018201920202021 5-year trend
Total Deposits 33.44B36.38B40.38B63.32B106.13B
Demand Deposits 31.64B34.25B37.42B59.48B103.36B
Savings/Time Deposits 956.42M1.38B1.79B1.63B1.53B
Foreign Office Deposits -----
Total Debt 5.24B6.05B5.14B4.23B3.61B
ST Debt & Current Portion LT Debt 3.61B4.45B300M2.27B2.63B
Current Portion of Long Term Debt 2.82B3.63B-1.95B2.46B
Short Term Debt 790M820M300M321.19M-
Long-Term Debt 1.63B1.6B4.84B1.96B984.15M
LT Debt excl. Capitalized Leases 1.63B1.6B4.6B1.72B753.97M
Capitalized Lease Obligations -----
Other Liabilities 403.05M529.8M471.15M654.93M853.28M
Other Liabilities (excl. Deferred Income) 403.05M529.8M471.15M654.93M853.28M
Total Liabilities 39.09B42.74B46B68.42B110.84B
Preferred Stock (Carrying Value) ---7,0007,000
Redeemable Preferred Stock -----
Non-Redeemable Preferred Stock ---7,0007,000
Common Equity (Total) 4.03B4.41B4.74B5.83B7.84B
Common Stock Par/Carry Value 550,000554,000554,000555,000606,000
Additional Paid-In Capital/Capital Surplus 1.81B1.86B1.87B2.58B3.76B
Retained Earnings 2.29B2.73B3.17B3.55B4.3B
ESOP Debt Guarantee -----
Cumulative Translation Adjustment/Unrealized For. Exch. Gain -----
Unrealized Gain/Loss Marketable Securities (58.77M)(133.7M)(31.42M)3.48M(170.55M)
Revaluation Reserves -----
Other Appropriated Reserves (10.1M)(10.83M)(40.8M)(76.38M)(51.78M)
Treasury Stock (171,000)(42.68M)(233.57M)(232.53M)-
Total Shareholders' Equity 4.03B4.41B4.74B5.83B7.84B
Accumulated Minority Interest -----
Total Equity 4.03B4.41B4.74B5.83B7.84B
Liabilities & Shareholders' Equity 43.12B47.14B50.74B74.25B118.68B
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