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OTCQX: FFMR
Market Value
($M)301.74
Change
$0.00 - 0.00%
Volume
0
Stock Quote
$ 42.00
As of December 10, 2018 Close
Minimum 20 minute delay.

Financial Highlights Report

Financial Highlights
2018 FQ2 YTD
6/30/2018
2017 FY
12/31/2017
2016 FY
12/31/2016
2015 FY
12/31/2015
2014 FY
12/31/2014
Balance Sheet ($000)
Total Assets 1,681,988 1,676,654 1,615,577 1,480,201 1,339,670
Total Net Loans 1,252,593 1,219,059 1,154,039 1,077,950 963,027
Total Deposits 1,350,121 1,334,682 1,320,650 1,225,280 1,101,396
Equity Attributable to Parent Company 160,695 153,729 135,634 124,511 112,144
Total Equity 160,695 153,729 135,634 124,511 112,144
Profitability (%)
Net Income($000) 13,299 21,749 17,033 16,807 16,226
Net Income Attributable to Parent($000) 13,299 21,749 17,033 16,807 16,226
ROAA 1.58 1.34 1.10 1.18 1.29
Core ROAA 1.63 1.40 1.21 1.24 1.35
ROAE 16.86 14.76 12.89 14.07 15.14
ROATCE 18.60 16.48 14.85 16.41 17.35
Core ROAE 17.35 15.47 14.12 14.81 15.83
Net Interest Margin 4.09 3.88 3.73 3.80 4.03
Reported: Net Interest Margin NA 3.88 3.73 3.80 3.94
Efficiency Ratio 53.55 55.27 56.57 57.56 53.98
Noninterest Inc/ Operating Rev 18.37 19.99 20.63 20.07 18.16
Balance Sheet Ratios (%)
Loans/ Deposits 93.34 92.12 87.84 88.84 88.19
Securities/ Assets 18.64 17.96 17.49 19.24 17.78
Total Equity/ Total Assets 9.55 9.17 8.40 8.41 8.37
Tangible Equity/ Tangible Assets 8.92 8.56 7.70 7.62 7.55
Tang Common Equity/ Tang Assets 8.92 8.56 7.70 7.62 7.55
Asset Quality (%)
NPAs/ Assets 1.90 1.89 2.17 1.84 1.20
NPA Excl Restructured/ Assets 0.88 1.20 1.02 0.87 0.94
NPAs & 90+ PD/ Assets 1.91 2.09 2.19 2.03 1.22
NPAs/ Loans & REO 2.52 2.56 3.01 2.50 1.65
Nonaccrual & 90+ & OREO/ Assets 0.89 1.40 1.04 1.05 0.96
NPAs & 90+ PD/ Loans & REO 2.53 2.84 3.03 2.75 1.68
NPA & Loans 90+/ Tangible Common Equity + LLR 19.49 22.23 25.80 24.04 14.56
NCOs/ Avg Loans 0.25 0.19 0.28 0.07 0.16
Loan Loss Reserves/ Gross Loans 1.24 1.21 1.16 1.22 1.26
Reserves/ NPAs 49 47.23 38.68 48.72 76.65
Loan Loss Provision/ NCO 147.15 158.88 108.97 239.83 102.95
Capital Adequacy
Tier 1 Common Capital (CET1)($000) 154,266 145,171 128,924 116,424 99,885
Tier 1 Capital($000) 172,266 163,171 146,924 134,424 117,885
Tier 2 Capital($000) 15,674 14,937 13,575 13,289 NA
Total Capital($000) 187,940 178,108 160,499 147,713 130,212
Total Risk-weighted Assets($000) 1,374,334 1,333,765 1,250,765 1,163,213 1,036,465
Tier 1 Common Capital (CET1) Ratio(%) 11.22 10.88 10.30 10.01 9.64
Tier 1 Ratio(%) 12.53 12.23 11.74 11.56 11.37
Total Capital Ratio(%) 13.68 13.35 12.82 12.70 12.56
Liquidity Coverage Ratio(%) NA NA NA NA NA
Leverage Ratio(%) 10.27 9.79 9.17 9.03 9
Basel III Leverage Ratio(%) NA NA NA NA NA
Per Share Information ($)
Common Shares Outstanding(actual) 7,167,932 7,169,156 7,160,062 7,149,296 7,137,516
Avg Diluted Shares(actual) 7,166,740 7,169,532 7,157,830 7,145,308 7,133,208
Basic Book Value per Share 22.42 21.44 18.94 17.42 15.71
Book Value per Share, As Reported 22.42 21.45 18.95 17.42 15.71
Basic Tangible Book Value per Share 20.79 19.89 17.25 15.64 14.05
Tangible Book Value per Share, As Reported 20.93 19.90 NA 15.64 NA
Common Dividends Declared per Share 0.47 0.69 0.65 0.59 0.53
EPS after Extra 1.86 3.04 2.38 2.35 2.28
EPS after Extra Growth(%) 25.40 27.50 1.30 3.30 2.50
Core EPS 1.91 3.18 2.61 2.47 2.38
Core EPS Growth(%) 25.50 22 5.30 4 2.80
Diluted EPS before Amortization 1.91 3.17 2.54 2.51 2.37
Pre-Provision Earnings per Share 1.97 2.81 2.49 2.27 2.24
Data shown on this page is extracted directly from the company’s documents. S&P makes every effort to line up fields, captions and headers that represent the same data over time, despite variations in how the company may report these items in different documents. In certain instances the variation in the company’s presentation over time may be too significant, potentially resulting in repeating and/or disordered items. Despite possible issues with the presentation, S&P, as always, stands by its commitment to the quality of the data.
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