CFC Quarterly Financial Performance slide image

CFC Quarterly Financial Performance

Earnings (Dollars in millions, except per share amounts) Net Income Efficiency Ratio Basic Earnings Per Share Return on Average Assets CFC QUARTERLY RESULTS Balance Sheet (Dollars in millions, except per share amounts) June 30, 2023 Total Assets Total Loans Receivable Total Deposits Total Shareholders' Equity Book Value Per Share For the Three Months Ended June 30, 2023 2022 $12.9 42.92* $0.97 1.52% As of the Quarter Ended March 31, 2023 $10.2 58.38% $0.79 1.41% June 30, 2022 $3,535.3 $3,451.0 $2,969.7 $3,007.6 $2,837.2 $2,334.4 $3,162.6 $3,095.2 $2,697.3 $272.7 $20.50 $258.8 $19.48 Noninterest expense includes elevated levels of legal and professional fees due to increased fees related to data and risk management, building out our infrastructure and increased consulting expenses for projects and enhanced monitoring. These expenses are expected to level off for 3Q23 and decline to approximate 1Q23 levels by 1Q24. $217.7 $16.81 23
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