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PROVIDENT FINANCIAL SERVICES, INC. (NYSE - PFS)  
 2018 FQ2 YTD2017 FY2016 FY2015 FY2014 FY
Period Ended6/30/201812/31/201712/31/201612/31/201512/31/2014
Balance Sheet ($000)   
Total Assets9,732,9129,845,2749,500,4658,911,6578,523,377
Total Net Loans7,194,4237,265,5236,941,6036,476,2506,023,771
Total Deposits6,673,9496,714,1666,553,6295,923,9875,792,523
Equity Attributable to Parent Company1,311,2621,298,6611,251,7811,196,0651,144,099
Total Equity1,311,2621,298,6611,251,7811,196,0651,144,099
Profitability (%)   
Net Income ($000) 47,15693,94987,80283,72273,631
Net Income Attributable to Parent ($000) 47,15693,94987,80283,72273,631
ROAA0.970.990.950.960.92
Core ROAA0.981.040.970.990.99
ROAE7.197.287.127.126.75
ROATCE10.7511.0011.1111.4010.67
Core ROAE7.317.717.277.327.33
Net Interest Margin3.303.283.163.253.35
Reported: Net Interest Margin3.313.213.113.203.30
Efficiency Ratio54.1954.3156.5056.7455.96
Noninterest Inc / Operating Rev15.5416.6717.5417.9214.47
Balance Sheet Ratios (%)   
Loans / Deposits108.68109.11106.86110.36105.06
Securities / Assets16.4816.2216.8917.0218.93
Total Equity / Total Assets13.4713.1913.1813.4213.42
Tangible Equity / Tangible Assets9.589.339.149.089.12
Tang Common Equity / Tang Assets9.589.339.149.089.12
Asset Quality (%)   
NPAs / Assets0.790.750.850.911.33
NPA Excl Restructured / Assets0.400.420.530.620.69
NPAs & 90+ PD / Assets0.790.750.850.911.33
NPAs / Loans & REO1.061.001.151.241.87
Nonaccrual & 90+ & OREO / Assets0.400.420.530.620.69
NPAs & 90+ PD / Loans & REO1.061.001.151.241.87
NPA & Loans 90+ / Tangible Common Equity + LLR8.107.829.019.7414.18
NCOs / Avg Loans0.610.100.070.070.13
Loan Loss Reserves / Gross Loans0.810.820.880.941.01
Reserves / NPAs76.2781.9077.0875.9454.27
Loan Loss Provision / NCO93.8276.84109.2993.3561.35
Capital Adequacy  ()  
Tier 1 Common Capital (CET1) ($000) 912,152887,924835,282779,139740,802
Tier 1 Capital ($000) 912,152887,924835,282779,139740,958
Tier 2 Capital ($000) 58,81960,19561,88361,424NA
Total Capital ($000) 970,971948,119897,165840,563802,692
Total Risk-weighted Assets ($000) 7,650,1117,881,9607,178,8536,689,8066,146,463
Tier 1 Common Capital (CET1) Ratio (%) 11.9211.2711.6411.6512.05
Tier 1 Ratio (%) 11.9211.2711.6411.6512.06
Total Capital Ratio (%) 12.6912.0312.5012.5713.06
Liquidity Coverage Ratio (%) NANANANANA
Leverage Ratio (%) 9.809.659.259.259.21
Basel III Leverage Ratio (%) NANANANANA
Per Share Information ($)   
Common Shares Outstanding (actual) 66,780,85366,535,01766,082,28365,489,35464,905,905
Avg Diluted Shares (actual) 65,024,91764,579,22263,851,98663,114,71860,562,070
Basic Book Value per Share19.6419.5218.9418.2617.63
As-reported Book Value per Share19.6419.5218.9418.2617.63
Basic Tangible Book Value per Share13.3713.2112.5611.7711.41
Reported: Tangible Book Value13.3613.2012.5411.7511.40
Common Dividends Declared per Share0.400.930.710.650.60
EPS after Extra0.731.451.381.331.22
EPS after Extra Growth (%) (1.4)5.103.809.00(0.8)
Core EPS0.741.541.411.371.33
Core EPS Growth (%) (1.4)9.003.003.208.60
Diluted EPS before Amortization0.751.491.431.391.26
Pre-Provision Earnings per Share0.971.461.331.281.26
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