Sandy spring bancorp, inc. (SASR)
Balance Sheet / Yearly
Mar'20Dec'19Sep'19Jun'19Mar'19Dec'18Sep'18Jun'18Mar'18Dec'17Sep'17Jun'17Mar'17Dec'16Sep'16Jun'16Mar'16Dec'15Sep'15Jun'15Mar'15Dec'14Sep'14Jun'14Mar'14Dec'13Sep'13Jun'13Mar'13Dec'12Sep'12Jun'12Mar'12Dec'11Sep'11Jun'11Dec'10
Assets [Abstract]
Cash and due from banks

79

82

89

75

67

67

63

69

64

55

50

48

48

53

48

53

43

46

42

53

46

52

48

65

58

46

58

41

45

59

48

46

43

49

43

76

44

Federal Funds Sold

0

0

0

0

0

0

2

1

1

2

2

2

2

1

1

0

0

0

0

0

0

0

0

0

0

0

0

0

0

0

0

0

1

1

1

1

1

Interest Bearing Deposits In Banks

181

63

120

155

65

33

13

223

153

53

49

25

51

78

48

39

115

25

53

35

33

42

42

44

57

27

20

65

38

26

30

76

58

21

26

42

16

Cash and cash equivalents

261

146

209

231

133

101

78

294

219

112

102

76

101

134

98

93

159

72

96

89

81

96

91

110

116

74

80

107

84

86

79

122

102

72

70

120

63

Assets Held-for-sale, Current, Total

67

53

78

50

24

22

31

40

28

9

7

5

17

13

15

13

27

15

10

19

13

10

6

9

3

8

10

29

48

36

39

25

18

25

23

11

22

Available-for-sale Securities, Total

1,187

1,073

894

901

926

937

926

942

977

729

756

780

814

733

655

700

704

592

607

625

657

672

692

720

736

751

815

838

766

825

834

808

878

951

952

995

907

Investments held-to-maturity -- fair value of $211,704 at December 31, 2015

-

-

-

-

-

-

-

-

-

-

-

-

-

-

0

0

0

208

216

216

217

219

221

223

223

224

225

226

211

215

206

164

153

178

189

100

101

Federal Home Loan Bank Stock and Federal Reserve Bank Stock, Total

62

51

51

54

60

73

66

74

63

45

39

41

41

46

35

34

37

41

38

35

37

41

37

36

37

40

36

37

31

33

33

33

35

34

32

33

34

Total loans

6,722

6,705

6,596

6,551

6,569

6,571

6,388

6,250

6,061

4,314

4,194

4,133

3,992

3,927

3,780

3,672

3,560

3,495

3,412

3,288

3,164

3,127

2,975

2,910

2,832

2,784

2,662

2,605

2,565

2,531

2,468

2,475

2,271

2,239

2,145

2,137

2,156

Financing Receivable Allowance For Credit Losses

85

56

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

Loans and Leases Receivable Allowance

-

-

54

54

53

53

50

48

46

45

44

45

43

44

43

43

41

40

39

38

37

37

37

37

38

38

39

39

41

42

42

45

45

49

49

55

62

Loans and Leases Receivable, Net Amount, Total

6,637

6,649

6,541

6,497

6,516

6,518

6,338

6,201

6,014

4,268

4,149

4,088

3,949

3,883

3,736

3,629

3,518

3,454

3,372

3,250

3,127

3,089

2,938

2,872

2,794

2,745

2,622

2,566

2,523

2,488

2,426

2,429

2,226

2,190

2,095

2,082

2,094

Property, Plant and Equipment, Net, Total

57

58

59

60

61

61

62

62

60

54

54

53

53

53

53

53

53

53

52

51

51

49

45

45

45

45

46

46

47

48

48

49

48

48

48

48

49

Repossessed Assets, Total

1

1

1

1

1

1

2

2

2

2

1

1

1

1

1

1

2

2

2

4

3

3

1

1

1

1

1

4

5

5

9

9

4

4

7

6

9

Interest Receivable

23

23

23

26

26

24

24

23

22

15

16

14

14

14

13

13

13

13

13

13

12

12

12

12

12

12

12

13

12

12

12

13

12

12

12

13

12

Goodwill

369

347

347

347

347

347

345

346

342

85

85

85

85

85

85

84

84

84

84

84

84

84

84

84

84

84

84

84

84

84

81

81

76

76

76

76

76

Intangible Assets, Net (Excluding Goodwill), Total

19

7

8

8

9

9

10

10

11

0

0

0

0

0

0

0

0

0

0

0

0

0

0

0

0

1

1

2

2

3

3

4

4

4

5

5

6

Other Assets

241

216

221

219

220

145

149

153

152

121

122

122

121

124

114

116

114

117

116

116

114

117

116

116

112

115

115

116

113

114

110

111

106

111

111

116

142

Assets, Total

8,929

8,629

8,437

8,398

8,327

8,243

8,034

8,152

7,894

5,446

5,334

5,270

5,201

5,091

4,810

4,739

4,716

4,655

4,611

4,507

4,401

4,397

4,248

4,234

4,168

4,106

4,052

4,072

3,932

3,955

3,887

3,855

3,668

3,711

3,626

3,612

3,519

Liabilities
Noninterest-bearing Deposit Liabilities, Total

1,939

1,892

2,081

2,023

1,813

1,750

1,902

1,910

1,767

1,264

1,312

1,302

1,234

1,138

1,154

1,176

1,084

1,001

1,068

1,092

1,017

993

986

984

882

836

890

877

832

847

818

763

685

650

643

648

566

Interest-bearing Deposit Liabilities, Total

4,653

4,548

4,412

4,366

4,410

4,164

3,995

3,927

3,859

2,699

2,643

2,582

2,564

2,439

2,382

2,334

2,327

2,261

2,207

2,154

2,092

2,072

2,042

2,053

2,077

2,041

2,026

2,048

2,086

2,065

2,061

2,088

1,995

2,006

1,997

2,009

1,983

Deposits, Total

6,593

6,440

6,493

6,389

6,224

5,914

5,898

5,837

5,627

3,963

3,955

3,885

3,799

3,577

3,537

3,510

3,412

3,263

3,275

3,247

3,109

3,066

3,028

3,038

2,959

2,877

2,916

2,926

2,919

2,913

2,880

2,852

2,681

2,656

2,640

2,657

2,549

Federal Funds Purchased and Securities Sold under Agreements to Repurchase, Total

125

213

126

150

122

327

142

139

149

119

146

127

141

125

124

117

121

109

121

111

101

74

71

72

67

53

53

54

50

86

58

64

73

143

79

65

96

Federal Home Loan Bank Advances Long Term

754

513

517

582

726

848

866

1,063

1,011

765

632

670

675

790

550

515

590

685

610

550

590

655

558

537

569

615

520

540

405

405

405

405

405

405

405

405

405

Subordinated Debt

199

209

37

37

37

37

37

37

37

0

0

0

0

30

30

30

35

35

35

35

35

35

35

35

35

35

35

35

35

35

35

35

35

35

35

35

35

Accrued Interest Payable and Other Liabilities

140

118

122

118

121

47

46

47

55

34

35

33

41

35

32

36

35

38

45

44

43

44

33

33

28

25

34

30

33

31

26

26

21

24

24

24

24

Liabilities, Total

7,813

7,496

7,297

7,279

7,232

7,175

6,991

7,126

6,880

4,882

4,770

4,715

4,656

4,557

4,273

4,209

4,194

4,130

4,087

3,988

3,879

3,875

3,726

3,717

3,658

3,606

3,559

3,586

3,443

3,471

3,405

3,383

3,216

3,265

3,185

3,188

3,111

Stockholders' Equity
Common stock

34

34

35

35

35

35

35

35

35

23

23

23

23

23

23

23

23

24

24

24

24

25

25

25

25

24

24

24

24

24

24

24

24

24

24

24

24

Warrants

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

3

Additional Paid In Capital

562

586

609

608

607

606

605

604

604

168

167

166

166

165

164

164

163

175

178

181

186

194

194

194

193

193

192

192

191

191

191

190

177

177

177

177

177

Retained Earnings (Accumulated Deficit), Total

512

515

498

479

461

441

425

406

392

378

376

367

359

350

343

335

330

325

318

313

308

302

298

292

290

283

278

270

262

255

249

241

236

230

226

216

205

Accumulated Other Comprehensive Income (Loss), Net of Tax, Total

6

-4

-2

-3

-9

-15

-24

-20

-17

-6

-3

-3

-5

-6

4

5

4

-1

1

-0

2

-0

3

5

1

-2

-2

-2

9

11

16

14

12

13

13

5

-2

Stockholders' Equity Attributable to Parent Total

1,116

1,132

1,140

1,119

1,095

1,067

1,042

1,026

1,014

563

564

554

544

533

536

529

522

524

523

518

521

521

522

517

510

499

493

485

488

483

481

471

451

446

440

423

407

Liabilities and Equity Total

8,929

8,629

8,437

8,398

8,327

8,243

8,034

8,152

7,894

5,446

5,334

5,270

5,201

5,091

4,810

4,739

4,716

4,655

4,611

4,507

4,401

4,397

4,248

4,234

4,168

4,106

4,052

4,072

3,932

3,955

3,887

3,855

3,668

3,711

3,626

3,612

3,519