CVB Financial Corp banner

CVB Financial Corp
NASDAQ:CVBF

Watchlist Manager
CVB Financial Corp Logo
CVB Financial Corp
NASDAQ:CVBF
Watchlist
Price: 20.96 USD -1.23% Market Closed
Market Cap: $2.9B

Balance Sheet

Balance Sheet Decomposition
CVB Financial Corp

Balance Sheet
CVB Financial Corp

Rotate your device to view
Balance Sheet
Currency: USD
Dec-2001 Dec-2002 Dec-2003 Dec-2004 Dec-2005 Dec-2006 Dec-2007 Dec-2008 Dec-2009 Dec-2010 Dec-2011 Dec-2012 Dec-2013 Dec-2014 Dec-2015 Dec-2016 Dec-2017 Dec-2018 Dec-2019 Dec-2020 Dec-2021 Dec-2022 Dec-2023 Dec-2024
Assets
Net Loans
1 167
1 424
1 739
2 118
2 641
3 042
3 462
3 683
3 970
3 642
3 383
3 355
3 471
3 757
3 958
4 334
4 771
7 701
7 496
8 255
7 823
8 994
8 818
8 456
Investments
1 234
1 543
1 954
2 232
2 553
2 806
2 601
2 729
2 353
2 204
2 563
2 615
2 815
3 241
3 314
3 292
3 010
2 569
2 521
4 942
6 837
5 939
5 610
5 045
PP&E Net
30
29
31
34
40
45
47
44
41
41
36
35
33
34
31
42
46
58
73
70
68
69
66
75
PP&E Gross
30
29
31
34
40
45
47
44
41
41
36
35
33
34
31
42
46
58
73
70
68
69
66
75
Accumulated Depreciation
32
37
40
37
40
41
47
46
51
56
56
59
63
63
62
62
59
64
61
67
71
75
74
58
Intangible Assets
0
5
7
6
12
10
15
11
13
9
6
3
2
3
2
5
7
54
43
34
25
22
15
10
Goodwill
6
11
20
20
32
32
55
55
55
55
55
55
55
74
74
90
117
667
664
664
664
766
766
766
Customer Acceptances Liabilities
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Other Long-Term Assets
0
0
0
4
18
13
0
0
16
0
0
0
0
0
0
3
0
0
0
0
0
0
0
0
Other Assets
25
35
46
59
67
74
106
116
274
292
254
293
282
277
294
315
353
1 047
1 039
1 033
1 067
1 341
1 392
1 515
Total Assets
2 514
N/A
3 123
+24%
3 854
+23%
4 511
+17%
5 423
+20%
6 092
+12%
6 294
+3%
6 650
+6%
6 740
+1%
6 437
-4%
6 483
+1%
6 363
-2%
6 665
+5%
7 378
+11%
7 671
+4%
8 074
+5%
8 271
+2%
11 529
+39%
11 282
-2%
14 419
+28%
15 884
+10%
16 477
+4%
16 021
-3%
15 154
-5%
Liabilities
Accounts Payable
7
6
5
9
15
16
13
10
6
5
4
1
5
1
2
24
0
0
0
60
50
0
23
5
Accrued Liabilities
0
7
7
8
7
8
8
9
9
9
9
9
9
10
11
12
18
20
23
43
42
47
46
73
Short-Term Debt
10
71
91
362
922
1 446
587
613
738
544
509
473
643
564
691
603
554
442
429
439
642
565
272
262
Total Deposits
1 877
2 310
2 661
2 875
3 424
3 407
3 364
3 508
4 439
4 519
4 605
4 774
4 891
5 605
5 917
6 310
6 547
8 827
8 705
11 737
12 976
12 836
11 434
11 948
Other Interest Bearing Liabilities
50
166
318
0
0
0
1 754
1 738
753
553
449
225
268
245
46
53
0
280
0
5
2
995
2 070
500
Total Current Liabilities
17
84
103
379
944
1 470
608
632
753
558
522
483
657
575
704
639
572
462
452
542
734
612
341
339
Long-Term Debt
325
272
463
912
662
808
115
115
115
115
115
67
26
26
26
26
26
26
26
26
0
0
0
0
Deferred Income Tax
1
5
5
0
0
0
1
4
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Other Liabilities
23
26
17
27
49
19
26
38
42
47
78
51
51
49
55
55
57
82
106
102
89
85
98
179
Total Liabilities
2 293
N/A
2 864
+25%
3 568
+25%
4 194
+18%
5 080
+21%
5 705
+12%
5 869
+3%
6 035
+3%
6 102
+1%
5 793
-5%
5 768
0%
5 600
-3%
5 893
+5%
6 500
+10%
6 748
+4%
7 083
+5%
7 201
+2%
9 678
+34%
9 288
-4%
12 411
+34%
13 802
+11%
14 528
+5%
13 943
-4%
12 967
-7%
Equity
Common Stock
146
146
233
236
253
366
354
486
491
490
480
485
491
495
503
531
573
1 294
1 299
1 212
1 210
1 300
1 289
1 297
Retained Earnings
61
88
36
72
104
34
67
100
121
147
193
235
290
352
400
449
494
576
683
761
876
1 003
1 113
1 201
Other Equity
14
26
17
9
13
13
4
29
26
6
41
43
9
31
21
10
1
18
13
35
4
355
324
312
Total Equity
221
N/A
260
+18%
287
+10%
317
+10%
343
+8%
387
+13%
425
+10%
615
+45%
638
+4%
644
+1%
715
+11%
763
+7%
772
+1%
878
+14%
923
+5%
991
+7%
1 069
+8%
1 851
+73%
1 994
+8%
2 008
+1%
2 082
+4%
1 949
-6%
2 078
+7%
2 186
+5%
Total Liabilities & Equity
2 514
N/A
3 123
+24%
3 854
+23%
4 511
+17%
5 423
+20%
6 092
+12%
6 294
+3%
6 650
+6%
6 740
+1%
6 437
-4%
6 483
+1%
6 363
-2%
6 665
+5%
7 378
+11%
7 671
+4%
8 074
+5%
8 271
+2%
11 529
+39%
11 282
-2%
14 419
+28%
15 884
+10%
16 477
+4%
16 021
-3%
15 154
-5%
Shares Outstanding
Common Shares Outstanding
82
75
83
83
84
84
83
83
106
106
104
105
105
106
106
108
110
140
140
136
136
140
139
140
Preferred Shares Outstanding
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0