Form 10 Explorer
10-Q
Quarterly Report
Stellar Bancorp, Inc.

STEL

NYSE

CIK: 1473844

File #: 001-38280

Period End: Mar 31, 2024

Fiscal Year: 2024

View on EDGAR
Balance Sheet
166 line items · 2 periods
XBRL
ItemMar 31, 2024Dec 31, 2023
ASSETS
Cash and due from banks
74,663,000121,004,000
Interest-bearing deposits at other financial institutions
325,079,000278,233,000
Total cash and cash equivalents
399,742,000399,237,000
Available for sale securities, at fair value
1,523,100,0001,395,680,000
U.S. government and agency securities
289,365,000297,418,000
Municipal securities
196,748,000204,059,000
Agency mortgage-backed pass-through securities
412,005,000387,873,000
Agency collateralized mortgage obligations
520,869,000398,117,000
Corporate bonds and other
104,113,000108,213,000
Carrying Amount
1,523,100,0001,395,680,000
Level 1 - Estimated Fair Value
00
Level 2 - Estimated Fair Value
1,523,100,0001,395,680,000
Level 3 - Estimated Fair Value
00
Estimated Fair Value
1,523,100,0001,395,680,000
Level 1 - Recurring Basis - U.S. government and agency securities
00
Level 2 - Recurring Basis - U.S. government and agency securities
289,365,000297,418,000
Level 3 - Recurring Basis - U.S. government and agency securities
00
Recurring Basis - U.S. government and agency securities
289,365,000297,418,000
Level 1 - Recurring Basis - Municipal securities
00
Level 2 - Recurring Basis - Municipal securities
196,748,000204,059,000
Level 3 - Recurring Basis - Municipal securities
00
Recurring Basis - Municipal securities
196,748,000204,059,000
Level 1 - Recurring Basis - Agency mortgage-backed pass-through securities
00
Level 2 - Recurring Basis - Agency mortgage-backed pass-through securities
412,005,000387,873,000
Level 3 - Recurring Basis - Agency mortgage-backed pass-through securities
00
Recurring Basis - Agency mortgage-backed pass-through securities
412,005,000387,873,000
Level 1 - Recurring Basis - Agency collateralized mortgage obligations
00
Level 2 - Recurring Basis - Agency collateralized mortgage obligations
520,869,000398,117,000
Level 3 - Recurring Basis - Agency collateralized mortgage obligations
00
Recurring Basis - Agency collateralized mortgage obligations
520,869,000398,117,000
Level 1 - Recurring Basis - Corporate bonds and other
00
Level 2 - Recurring Basis - Corporate bonds and other
104,113,000108,213,000
Level 3 - Recurring Basis - Corporate bonds and other
00
Recurring Basis - Corporate bonds and other
104,113,000108,213,000
Level 1 - Recurring Basis - Interest rate swaps
00
Level 2 - Recurring Basis - Interest rate swaps
7,370,0006,692,000
Level 3 - Recurring Basis - Interest rate swaps
00
Recurring Basis - Interest rate swaps
7,370,0006,692,000
Level 1 - Recurring Basis - Credit risk participation agreements
00
Level 2 - Recurring Basis - Credit risk participation agreements
00
Level 3 - Recurring Basis - Credit risk participation agreements
13,00020,000
Recurring Basis - Credit risk participation agreements
13,00020,000
Level 1 - Recurring Basis
0
Level 2 - Recurring Basis
1,402,372,000
Level 3 - Recurring Basis
20,000
Recurring Basis
1,402,392,000
Loans held for investment
7,908,111,0007,925,133,000
Commercial and industrial
1,451,462,0001,409,002,000
Paycheck Protection Program (PPP)
4,293,0005,100,000
Real estate: - Commercial real estate (including multi-family residential)
4,049,885,0004,071,807,000
Real estate: - Commercial real estate construction and land development
1,039,443,0001,060,406,000
Real estate: - 1-4 family residential (including home equity)
1,049,316,0001,047,174,000
Real estate: - Residential construction
252,573,000267,357,000
Consumer and other
61,139,00064,287,000
Commercial and industrial - 30-89 Days
7,137,0006,096,000
Commercial and industrial - 90 or More Days
00
Commercial and industrial - Total Past Due Loans
7,137,0006,096,000
Commercial and industrial - Current Loans
1,428,860,0001,397,858,000
Paycheck Protection Program (PPP) - 30-89 Days
81,000375,000
Paycheck Protection Program (PPP) - 90 or More Days
00
Paycheck Protection Program (PPP) - Total Past Due Loans
81,000375,000
Paycheck Protection Program (PPP) - Current Loans
4,212,0004,725,000
Real estate: - Commercial real estate (including multi-family residential) - 30-89 Days
13,498,0009,600,000
Real estate: - Commercial real estate (including multi-family residential) - 90 or More Days
00
Real estate: - Commercial real estate (including multi-family residential) - Total Past Due Loans
13,498,0009,600,000
Real estate: - Commercial real estate (including multi-family residential) - Current Loans
4,015,119,0004,045,508,000
Real estate: - Commercial real estate construction and land development - 30-89 Days
4,345,0007,341,000
Real estate: - Commercial real estate construction and land development - 90 or More Days
00
Real estate: - Commercial real estate construction and land development - Total Past Due Loans
4,345,0007,341,000
Real estate: - Commercial real estate construction and land development - Current Loans
1,026,692,0001,048,022,000
Real estate: - 1-4 family residential (including home equity) - 30-89 Days
6,170,0003,492,000
Real estate: - 1-4 family residential (including home equity) - 90 or More Days
00
Real estate: - 1-4 family residential (including home equity) - Total Past Due Loans
6,170,0003,492,000
Real estate: - 1-4 family residential (including home equity) - Current Loans
1,032,778,0001,034,808,000
Real estate: - Residential construction - 30-89 Days
575,000498,000
Real estate: - Residential construction - 90 or More Days
00
Real estate: - Residential construction - Total Past Due Loans
575,000498,000
Real estate: - Residential construction - Current Loans
250,588,000263,571,000
Consumer and other - 30-89 Days
11,00064,000
Consumer and other - 90 or More Days
00
Consumer and other - Total Past Due Loans
11,00064,000
Consumer and other - Current Loans
60,916,00063,984,000
30-89 Days
31,817,00027,466,000
90 or More Days
00
Total Past Due Loans
31,817,00027,466,000
Current Loans
7,819,165,0007,858,476,000
Commercial and industrial - Pass
1,408,923,0001,377,118,000
Commercial and industrial - Special Mention
8,284,0008,340,000
Commercial and industrial - Substandard
34,208,00023,496,000
Commercial and industrial - Doubtful
47,00048,000
Paycheck Protection Program (PPP) - Pass
4,293,0005,100,000
Paycheck Protection Program (PPP) - Special Mention
00
Paycheck Protection Program (PPP) - Substandard
00
Paycheck Protection Program (PPP) - Doubtful
00
Real estate: - Commercial real estate (including multi-family residential) - Pass
3,908,736,0003,959,675,000
Real estate: - Commercial real estate (including multi-family residential) - Special Mention
71,629,00054,483,000
Real estate: - Commercial real estate (including multi-family residential) - Substandard
69,520,00057,649,000
Real estate: - Commercial real estate (including multi-family residential) - Doubtful
00
Real estate: - Commercial real estate construction and land development - Pass
1,004,749,0001,032,789,000
Real estate: - Commercial real estate construction and land development - Special Mention
11,650,0009,737,000
Real estate: - Commercial real estate construction and land development - Substandard
23,044,00017,880,000
Real estate: - Commercial real estate construction and land development - Doubtful
00
Real estate: - 1-4 family residential (including home equity) - Pass
1,011,607,0001,011,743,000
Real estate: - 1-4 family residential (including home equity) - Special Mention
6,524,0005,384,000
Real estate: - 1-4 family residential (including home equity) - Substandard
31,185,00030,047,000
Real estate: - 1-4 family residential (including home equity) - Doubtful
00
Real estate: - Residential construction - Pass
248,234,000264,069,000
Real estate: - Residential construction - Special Mention
365,0000
Real estate: - Residential construction - Substandard
3,974,0003,288,000
Real estate: - Residential construction - Doubtful
00
Consumer and other - Pass
60,747,00063,881,000
Consumer and other - Special Mention
18,00067,000
Consumer and other - Substandard
374,000339,000
Consumer and other - Doubtful
00
Pass
7,647,289,0007,714,375,000
Special Mention
98,470,00078,011,000
Substandard
162,305,000132,699,000
Doubtful
47,00048,000
Less: allowance for credit losses on loans
96,285,00091,684,000
Commercial and industrial
37,451,00031,979,000
Paycheck Protection Program (PPP)
00
Real estate: - Commercial real estate (including multi-family residential)
36,611,00038,187,000
Real estate: - Commercial real estate construction and land development
14,052,00013,627,000
Real estate: - 1-4 family residential (including home equity)
5,055,0004,785,000
Real estate: - Residential construction
2,695,0002,623,000
Consumer and other
421,000483,000
Unfunded Loan Commitment
10,100,00011,300,000
Loans, net
7,811,826,0007,833,449,000
Accrued interest receivable
45,466,00044,244,000
Premises and equipment, net
115,698,000118,683,000
Federal Home Loan Bank stock
16,050,00025,051,000
Bank-owned life insurance
105,671,000105,084,000
Goodwill
497,318,000497,318,000
Core deposit intangibles, net
110,513,000116,712,000
Core Deposit Intangibles
110,513,000116,712,000
Servicing Assets
199,000212,000
Other assets
103,838,000111,681,000
TOTAL ASSETS
10,729,222,00010,647,139,000
LIABILITIES AND SHAREHOLDERS’ EQUITY
LIABILITIES:
Deposits:
Noninterest-bearing
3,323,149,0003,546,815,000
Interest-bearing
Demand
1,576,261,0001,659,999,000
Money market and savings
2,203,767,0002,136,777,000
Certificates and other time
1,691,539,0001,529,876,000
Total interest-bearing deposits
5,471,567,0005,326,652,000
Total deposits
8,794,716,0008,873,467,000
Accrued interest payable
12,227,00011,288,000
Borrowed funds
215,000,00050,000,000
Subordinated debt
109,864,000109,765,000
Other liabilities
66,717,00081,601,000
Total liabilities
9,198,524,0009,126,121,000
SHAREHOLDERS’ EQUITY:
Preferred stock, $0.01 par value; 10,000,000 shares authorized; no shares issued or outstanding at March 31, 2024 and December 31, 2023
00
Common stock, $0.01 par value; 140,000,000 shares authorized; 53,550,820 shares issued and outstanding at March 31, 2024 and 53,291,079 shares issued and outstanding at December 31, 2023
536,000533,000
Capital surplus
1,235,221,0001,232,627,000
Retained earnings
425,130,000405,945,000
Accumulated other comprehensive loss
(130,189,000)(118,087,000)
Total shareholders’ equity
1,530,698,0001,521,018,000
Common Stock
536,000533,000
Capital Surplus
1,235,221,0001,232,627,000
Retained Earnings
425,130,000405,945,000
Accumulated Other Comprehensive Income (Loss)
(130,189,000)(118,087,000)
TOTAL LIABILITIES AND SHAREHOLDERS’ EQUITY
10,729,222,00010,647,139,000
Stellar Bancorp, Inc. (STEL) — 10-Q Filing | Form 10 Explorer