CVB FINANCIAL CORP (CVBF)

19.14 0 (0%)

As of 2025-10-28 16:31:37 EST

Citizens Business Bank is an American bank that specialises in business accounts. The bank is headquartered in Ontario, California. CVB Financial Corporation is the holding company for Citizens Business Bank. It has over $14 billion in total assets. The parent company is traded on the NASDAQ as CVBF.

Traded asNasdaq: CVBF
ISINUS1266001056
CIK0000354647
LEI549300CEZEYSB80M4441
EIN953629339
SectorFinancial services
IndustryState Commercial Banks
CEODavid A. Brager
Employees
Fiscal Year End1231
Address701 N HAVEN AVE STE 300, ONTARIO, CA, 91764
Phone9099804030
Websitehttps://www.cbbank.com/
Stock Quotes
trading_symbolregistrant_nametimepricechangepercentage_change
CVBFCVB FINANCIAL CORP2025-10-28 16:31:3719.1400
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Company Information
trading_symbolcentral_index_keyregistrant_nameisin_numberlei_numberein_numberexchangesic_codesic_descriptionfiscal_year_endstate_of_incorporationaddress_streetaddress_cityaddress_stateaddress_zip_codeaddress_countryaddress_country_codephone_numbermailing_addressbusiness_addressformer_nameindustryfounding_datechief_executive_officernumber_of_employeeswebsitemarket_capshares_issuedshares_outstandingdescriptionupdate_time
CVBF0000354647CVB FINANCIAL CORPUS1266001056549300CEZEYSB80M4441953629339Nasdaq6022State Commercial Banks1231CA701 N HAVEN AVE STE 300ONTARIOCA91764UNITED STATESUS9099804030701 N HAVEN AVENUE, ONTARIO, CA, 91764701 N HAVEN AVE STE 300, ONTARIO, CA, 91764Financial services1970David A. Bragerhttps://www.cbbank.com/2,193,108,361137,825,465137,817,599Citizens Business Bank is an American bank that specialises in business accounts. The bank is headquartered in Ontario, California. CVB Financial Corporation is the holding company for Citizens Business Bank. It has over $14 billion in total assets. The parent company is traded on the NASDAQ as CVBF.2025-10-23 13:43:34
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CVBF Stock Price (End-of-Day)
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CVBF Stock Price (1-Minute)
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Market Cap
Fiscal YearMarket CapChange In Market CapPercentage Change In Market CapShares OutstandingChange In Shares OutstandingPercentage Change In Shares Outstanding
20242,193,108,361443,689,76525.3621139,617,917243,8450.175
20231,749,418,596-1,538,315,868-46.7895139,374,072-132,762-0.0952
20223,287,734,464643,550,76924.3384139,506,834-2,413,566-1.7006
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Executive Compensation
Executive NameExecutive PositionFiscal YearSalaryBonusStock AwardsIncentive Plan CompensationOther CompensationTotal Compensation
David C. HarveyChief Operating Officer, EVP2024545,464120,120520,014109,20067,1721,361,971
Richard H. WohlEVP, General Counsel2024360,65768,590349,99172,20041,424892,862
David A. BragerCEO, President2024879,039686,2501,237,496237,90076,5303,117,215
David F. FarnsworthEVP, Chief Credit Officer2024411,53957,680399,98582,40044,183995,786
David F. FarnsworthEVP, Chief Credit Officer2023399,310138,000380,01356,00044,0911,017,414
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Employee Count
Fiscal YearEmployee Count
20241,089
20231,107
20221,072
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Income Statements
Fiscal Year202420232022
Revenue20,370,00020,219,00021,382,000
Cost Of Revenue
Gross Profit
Research And Development Expenses
General And Administrative Expenses
Operating Expenses
Operating Income314,000,000314,000,000300,000
Net Income200,716,000221,435,000235,425,000
Earnings Per Share Basic1.441.591.67
Earnings Per Share Diluted1.441.591.67
Weighted Average Shares Outstanding Basic138,415,000138,333,000139,652,000
Weighted Average Shares Outstanding Diluted138,579,000138,462,000140,012,000
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Balance Sheet Statements
Fiscal Year202420232022
Cash And Cash Equivalents153,875,000171,396,000158,236,000
Marketable Securities Current
Accounts Receivable
Inventories
Non Trade Receivables
Other Assets Current
Total Assets Current
Marketable Securities Non Current
Property Plant And Equipment27,543,00044,709,00046,698,000
Other Assets Non Current9,967,00015,291,00021,742,000
Total Assets Non Current
Total Assets15,153,655,00016,020,993,00016,476,540,000
Accounts Payable
Deferred Revenue
Short Term Debt500,000,000995,000,000995,000,000
Other Liabilities Current9,200,000
Total Liabilities Current
Long Term Debt
Other Liabilities Non Current
Total Liabilities Non Current
Total Liabilities12,967,339,00013,943,021,00014,528,023,000
Common Stock1,296,881,0001,288,899,0001,300,466,000
Retained Earnings1,201,499,0001,112,642,0001,002,847,000
Accumulated Other Comprehensive Income-312,064,000-323,569,000-354,796,000
Total Shareholders Equity2,186,316,0002,077,972,0001,948,517,000
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Cash Flow Statements
Fiscal Year202420232022
Depreciation And Amortization5,900,0006,600,0006,900,000
Share Based Compensation Expense10,234,0009,439,0007,901,000
Other Non Cash Income Expense
Change In Accounts Receivable
Change In Inventories
Change In Non Trade Receivables
Change In Other Assets
Change In Accounts Payable
Change In Other Liabilities-24,100,000-43,677,0004,444,000
Cash From Operating Activities249,765,000295,632,000273,731,000
Purchases Of Marketable Securities419,190,00046,415,0001,146,071,000
Sales Of Marketable Securities439,420,000329,00090,172,000
Acquisition Of Property Plant And Equipment5,135,0004,521,0005,359,000
Acquisition Of Business00-329,001,000
Other Investing Activities
Cash From Investing Activities852,746,000536,276,000-1,176,966,000
Tax Withholding For Share Based Compensation
Payments Of Dividends111,859,000111,640,000108,146,000
Issuance Of Common Stock
Repurchase Of Common Stock2,817,00021,216,00046,330,000
Issuance Of Long Term Debt
Repayment Of Long Term Debt
Other Financing Activities
Cash From Financing Activities-1,179,098,000-754,084,000-625,852,000
Change In Cash-76,587,00077,824,000-1,529,087,000
Cash At End Of Period153,875,000171,396,000158,236,000
Income Taxes Paid-53,875,00069,896,00088,938,000
Interest Paid200,412,00095,505,0008,583,000
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Key Metrics
Fiscal Year202420232022
Earnings Per Share1.441.591.67
Price To Earnings Ratio14.868112.698115.4192
Earnings Growth Rate-9.434-4.79046.3694
Price Earnings To Growth Ratio-1.576-2.65072.4208
Book Value Per Share15.795415.021513.9527
Price To Book Ratio1.35551.34411.8455
Ebitda600,088,000416,271,000340,418,000
Enterprise Value
Dividend Yield0.03770.040.0301
Dividend Payout Ratio0.55730.50420.4594
Debt To Equity Ratio
Capital Expenditures-11,266,0004,611,0004,502,000
Free Cash Flow261,031,000291,021,000269,229,000
Return On Equity0.09180.10660.1208
One Year Beta1.31691.53430.4109
Three Year Beta0.77070.69230.8015
Five Year Beta0.89380.86940.8065
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Insider Transactions
Insider NameRelationship To IssuerTransaction DateAmount Of SecuritiesAcquired Or DisposedSecurities Owned Following Transaction
Laygo SherylChief Accounting Officer2025-10-20358D11,644
Kan AnnaDirector2025-09-1011,000D31,593
Olvera JaneDirector2025-08-141,200D0
Borba George A JrDirector2025-08-0453,567A718,688
Borba George A JrDirector2025-05-214,462A54,825
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Institutional Holdings
Investor NamePeriod Of ReportMarket ValueAmount Of SecuritiesPrice Per Security
Campbell & CO Investment Adviser LLC2025-09-30265,34514,03218.91
LAZARI CAPITAL MANAGEMENT, INC.2025-09-30460,95024,37618.91
Bolthouse Investments, LLC2025-09-301,110,88958,74618.91
Versant Capital Management, Inc2025-09-3033,9431,79518.9097
Quent Capital, LLC2025-09-302,30512218.8934
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Mutual Fund Holdings
Registrant NamePeriod Of ReportFund NameFund SymbolAmount Of UnitsValue In UsdPercentage Value Compared To Assets
Fidelity Rutland Square Trust II2025-08-31Strategic Advisers Fidelity U.S. Total Stock FundFCTDX326,2406,567,211.20.0037
FIDELITY CONCORD STREET TRUST2025-08-31Fidelity Series Total Market Index FundFCFMX180,6083,635,639.040.0042
FIDELITY CONCORD STREET TRUST2025-08-31Fidelity Total Market Index FundFSKAX242,0594,872,647.670.0042
FIDELITY CONCORD STREET TRUST2025-08-31Fidelity Nasdaq Composite Index FundFNCMX74,0751,491,129.750.0071
FIDELITY COMMONWEALTH TRUST2025-08-31Fidelity Nasdaq Composite Index ETFONEQ46,098927,952.740.0109
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