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Eagle Bancorp Montana (EBMT)

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  • 23.590
  • +0.180+0.77%
Close Jun 12 16:00 ET
  • 23.590
  • 0.0000.00%
Post 16:10 ET
187.90MMarket Cap11.80P/E (TTM)

Eagle Bancorp Montana (EBMT) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2026
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
Assets
Cash cash equivalents and federal funds sold
135.62%53.73M
99.51%62.96M
99.51%62.96M
-30.04%29.52M
13.32%26.93M
9.03%22.81M
28.58%31.56M
28.58%31.56M
103.00%42.19M
3.34%23.76M
-Cash and cash equivalents
135.20%53.64M
99.51%62.96M
99.51%62.96M
-30.04%29.52M
13.14%26.88M
9.03%22.81M
28.58%31.56M
28.58%31.56M
103.00%42.19M
3.34%23.76M
-Money market investments
--96K
----
----
----
--44K
----
----
----
----
----
Receivables
2.58%13.61M
12.09%14.45M
12.09%14.45M
13.87%16.9M
11.21%14.67M
10.24%13.27M
3.24%12.89M
3.24%12.89M
8.69%14.84M
17.88%13.2M
-Accounts receivable
2.58%13.61M
12.09%14.45M
12.09%14.45M
13.87%16.9M
11.21%14.67M
10.24%13.27M
3.24%12.89M
3.24%12.89M
8.69%14.84M
17.88%13.2M
Net loan
-0.08%1.51B
-0.53%1.51B
-0.53%1.51B
1.27%1.55B
3.60%1.57B
1.50%1.51B
2.55%1.52B
2.55%1.52B
3.62%1.53B
5.80%1.51B
-Gross loan
-0.04%1.53B
-0.49%1.53B
-0.49%1.53B
1.30%1.57B
3.62%1.58B
1.51%1.53B
2.55%1.53B
2.55%1.53B
3.64%1.55B
5.83%1.53B
-Allowance for loans and lease losses
4.25%17.43M
3.09%17.37M
3.09%17.37M
3.56%17.74M
5.35%17.73M
1.89%16.72M
2.49%16.85M
2.49%16.85M
5.55%17.13M
8.16%16.83M
Securities and investments
-12.50%255.19M
-2.96%261.72M
-2.96%261.72M
-15.27%260.11M
-7.12%285.02M
-6.29%291.66M
-15.26%269.7M
-15.26%269.7M
-0.58%306.98M
-5.86%306.87M
-Available for sale securities
----
----
----
----
--171.66M
--172.39M
--173.21M
--173.21M
----
----
-Short term investments
113.96%255.19M
-2.96%261.72M
-2.96%261.72M
-15.27%260.11M
-63.06%113.37M
-61.68%119.27M
-15.26%269.7M
-15.26%269.7M
-0.58%306.98M
-5.86%306.87M
Federal home loan bank stock
-38.88%6.87M
-43.06%6.78M
-43.06%6.78M
-39.21%9.33M
-21.98%11.13M
-10.72%11.23M
-10.61%11.91M
-10.61%11.91M
5.35%15.35M
0.26%14.27M
Bank owned life insurance
2.78%55.06M
2.77%54.71M
2.77%54.71M
2.80%54.33M
11.19%53.96M
11.11%53.57M
11.04%53.23M
11.04%53.23M
10.92%52.85M
2.12%48.53M
Net PPE
-1.18%100.56M
-0.10%101.44M
-0.10%101.44M
1.73%102.03M
2.55%100.91M
4.22%101.76M
7.70%101.54M
7.70%101.54M
7.87%100.3M
10.86%98.4M
-Gross PPE
----
3.78%139.3M
3.78%139.3M
----
----
----
9.95%134.22M
9.95%134.22M
----
----
-Accumulated depreciation
----
-15.84%-37.86M
-15.84%-37.86M
----
----
----
-17.61%-32.68M
-17.61%-32.68M
----
----
Assets held for sale
----
--0
--0
--0
173.54%703K
--960K
--960K
--960K
--257K
-20.43%257K
Goodwill and other intangible assets
-2.78%52.69M
-2.78%53.1M
-2.78%53.1M
-2.81%53.47M
-3.20%53.75M
-3.20%54.2M
-3.29%54.62M
-3.29%54.62M
-3.04%55.02M
-2.40%55.52M
-Goodwill
0.00%34.74M
0.00%34.74M
0.00%34.74M
0.00%34.74M
0.00%34.74M
0.00%34.74M
0.00%34.74M
0.00%34.74M
0.00%34.74M
0.00%34.74M
-Other intangible assets
-7.75%17.95M
-7.64%18.36M
-7.64%18.36M
-7.63%18.73M
-8.55%19.01M
-8.42%19.46M
-8.55%19.88M
-8.55%19.88M
-7.84%20.28M
-6.17%20.78M
Other assets
107.97%33.24M
-13.73%33.78M
-13.73%33.78M
65.76%43.72M
-7.40%24.98M
-40.52%15.98M
105.14%39.16M
105.14%39.16M
-13.46%26.38M
-0.46%26.98M
Total assets
0.16%2.09B
0.16%2.11B
0.16%2.11B
-1.18%2.12B
1.84%2.14B
0.59%2.09B
1.32%2.1B
1.32%2.1B
3.98%2.15B
3.74%2.1B
Liabilities
Total deposits
5.69%1.79B
5.97%1.78B
5.97%1.78B
6.16%1.75B
7.35%1.74B
3.32%1.69B
2.82%1.68B
2.82%1.68B
2.17%1.65B
2.57%1.62B
Federal funds purchased and securities sold under agreement to repurchase
----
--105K
--105K
----
----
----
----
----
----
----
Current debt and capital lease obligation
--15M
----
----
----
--0
--0
----
----
--0
--0
-Current debt
--15M
----
----
----
--0
--0
----
----
--0
--0
Long term debt and capital lease obligation
-69.51%56.15M
-58.83%82.37M
-58.83%82.37M
-50.26%138.43M
-29.71%178.63M
-14.98%184.14M
-14.76%200.08M
-14.76%200.08M
7.56%278.28M
1.57%254.12M
-Long term debt
-69.51%56.15M
-58.83%82.37M
-58.83%82.37M
-50.26%138.43M
-29.71%178.63M
-14.98%184.14M
-14.76%200.08M
-14.76%200.08M
7.56%278.28M
1.57%254.12M
Other liabilities
13.42%41.67M
7.37%50.48M
7.37%50.48M
10.68%42.71M
-27.53%40.44M
-33.14%36.74M
28.95%47.02M
28.95%47.02M
22.14%38.59M
74.38%55.8M
Total liabilities
-0.63%1.9B
-0.71%1.91B
-0.71%1.91B
-1.73%1.93B
1.46%1.96B
0.19%1.91B
1.15%1.93B
1.15%1.93B
3.23%1.97B
3.67%1.93B
Shareholders'equity
Share capital
0.00%85K
0.00%85K
0.00%85K
0.00%85K
0.00%85K
0.00%85K
0.00%85K
0.00%85K
0.00%85K
0.00%85K
-common stock
0.00%85K
0.00%85K
0.00%85K
0.00%85K
0.00%85K
0.00%85K
0.00%85K
0.00%85K
0.00%85K
0.00%85K
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Paid-in capital
-0.35%108.07M
-0.23%108.09M
-0.23%108.09M
-0.28%108.73M
-0.34%108.59M
-0.41%108.45M
-0.45%108.33M
-0.45%108.33M
-0.35%109.04M
-0.35%108.96M
Retained earnings
10.63%114.35M
10.13%111.52M
10.13%111.52M
9.06%107.95M
8.27%105.47M
6.79%103.37M
5.46%101.26M
5.46%101.26M
4.21%98.98M
4.23%97.41M
Less: Treasury stock
-1.24%11.37M
7.48%11.57M
7.48%11.57M
7.20%11.93M
7.20%11.93M
3.53%11.52M
-3.25%10.76M
-3.25%10.76M
-3.89%11.12M
-3.89%11.12M
Gains losses not affecting retained earnings
21.46%-14.88M
36.10%-12.87M
36.10%-12.87M
2.16%-14.77M
14.46%-17.86M
10.90%-18.95M
-1.01%-20.15M
-1.01%-20.15M
51.17%-15.1M
12.00%-20.88M
Other equity interest
14.82%-3.29M
14.29%-3.44M
14.29%-3.44M
13.79%-3.58M
13.33%-3.72M
12.91%-3.87M
12.50%-4.01M
12.50%-4.01M
12.12%-4.15M
11.77%-4.3M
Total stockholders'equity
8.66%192.96M
9.76%191.81M
9.76%191.81M
4.93%186.49M
6.16%180.64M
5.11%177.57M
3.24%174.77M
3.24%174.77M
13.01%177.73M
4.57%170.16M
Total equity
8.66%192.96M
9.76%191.81M
9.76%191.81M
4.93%186.49M
6.16%180.64M
5.11%177.57M
3.24%174.77M
3.24%174.77M
13.01%177.73M
4.57%170.16M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Mar 31, 2026(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024
Assets
Cash cash equivalents and federal funds sold 135.62%53.73M99.51%62.96M99.51%62.96M-30.04%29.52M13.32%26.93M9.03%22.81M28.58%31.56M28.58%31.56M103.00%42.19M3.34%23.76M
-Cash and cash equivalents 135.20%53.64M99.51%62.96M99.51%62.96M-30.04%29.52M13.14%26.88M9.03%22.81M28.58%31.56M28.58%31.56M103.00%42.19M3.34%23.76M
-Money market investments --96K--------------44K--------------------
Receivables 2.58%13.61M12.09%14.45M12.09%14.45M13.87%16.9M11.21%14.67M10.24%13.27M3.24%12.89M3.24%12.89M8.69%14.84M17.88%13.2M
-Accounts receivable 2.58%13.61M12.09%14.45M12.09%14.45M13.87%16.9M11.21%14.67M10.24%13.27M3.24%12.89M3.24%12.89M8.69%14.84M17.88%13.2M
Net loan -0.08%1.51B-0.53%1.51B-0.53%1.51B1.27%1.55B3.60%1.57B1.50%1.51B2.55%1.52B2.55%1.52B3.62%1.53B5.80%1.51B
-Gross loan -0.04%1.53B-0.49%1.53B-0.49%1.53B1.30%1.57B3.62%1.58B1.51%1.53B2.55%1.53B2.55%1.53B3.64%1.55B5.83%1.53B
-Allowance for loans and lease losses 4.25%17.43M3.09%17.37M3.09%17.37M3.56%17.74M5.35%17.73M1.89%16.72M2.49%16.85M2.49%16.85M5.55%17.13M8.16%16.83M
Securities and investments -12.50%255.19M-2.96%261.72M-2.96%261.72M-15.27%260.11M-7.12%285.02M-6.29%291.66M-15.26%269.7M-15.26%269.7M-0.58%306.98M-5.86%306.87M
-Available for sale securities ------------------171.66M--172.39M--173.21M--173.21M--------
-Short term investments 113.96%255.19M-2.96%261.72M-2.96%261.72M-15.27%260.11M-63.06%113.37M-61.68%119.27M-15.26%269.7M-15.26%269.7M-0.58%306.98M-5.86%306.87M
Federal home loan bank stock -38.88%6.87M-43.06%6.78M-43.06%6.78M-39.21%9.33M-21.98%11.13M-10.72%11.23M-10.61%11.91M-10.61%11.91M5.35%15.35M0.26%14.27M
Bank owned life insurance 2.78%55.06M2.77%54.71M2.77%54.71M2.80%54.33M11.19%53.96M11.11%53.57M11.04%53.23M11.04%53.23M10.92%52.85M2.12%48.53M
Net PPE -1.18%100.56M-0.10%101.44M-0.10%101.44M1.73%102.03M2.55%100.91M4.22%101.76M7.70%101.54M7.70%101.54M7.87%100.3M10.86%98.4M
-Gross PPE ----3.78%139.3M3.78%139.3M------------9.95%134.22M9.95%134.22M--------
-Accumulated depreciation -----15.84%-37.86M-15.84%-37.86M-------------17.61%-32.68M-17.61%-32.68M--------
Assets held for sale ------0--0--0173.54%703K--960K--960K--960K--257K-20.43%257K
Goodwill and other intangible assets -2.78%52.69M-2.78%53.1M-2.78%53.1M-2.81%53.47M-3.20%53.75M-3.20%54.2M-3.29%54.62M-3.29%54.62M-3.04%55.02M-2.40%55.52M
-Goodwill 0.00%34.74M0.00%34.74M0.00%34.74M0.00%34.74M0.00%34.74M0.00%34.74M0.00%34.74M0.00%34.74M0.00%34.74M0.00%34.74M
-Other intangible assets -7.75%17.95M-7.64%18.36M-7.64%18.36M-7.63%18.73M-8.55%19.01M-8.42%19.46M-8.55%19.88M-8.55%19.88M-7.84%20.28M-6.17%20.78M
Other assets 107.97%33.24M-13.73%33.78M-13.73%33.78M65.76%43.72M-7.40%24.98M-40.52%15.98M105.14%39.16M105.14%39.16M-13.46%26.38M-0.46%26.98M
Total assets 0.16%2.09B0.16%2.11B0.16%2.11B-1.18%2.12B1.84%2.14B0.59%2.09B1.32%2.1B1.32%2.1B3.98%2.15B3.74%2.1B
Liabilities
Total deposits 5.69%1.79B5.97%1.78B5.97%1.78B6.16%1.75B7.35%1.74B3.32%1.69B2.82%1.68B2.82%1.68B2.17%1.65B2.57%1.62B
Federal funds purchased and securities sold under agreement to repurchase ------105K--105K----------------------------
Current debt and capital lease obligation --15M--------------0--0----------0--0
-Current debt --15M--------------0--0----------0--0
Long term debt and capital lease obligation -69.51%56.15M-58.83%82.37M-58.83%82.37M-50.26%138.43M-29.71%178.63M-14.98%184.14M-14.76%200.08M-14.76%200.08M7.56%278.28M1.57%254.12M
-Long term debt -69.51%56.15M-58.83%82.37M-58.83%82.37M-50.26%138.43M-29.71%178.63M-14.98%184.14M-14.76%200.08M-14.76%200.08M7.56%278.28M1.57%254.12M
Other liabilities 13.42%41.67M7.37%50.48M7.37%50.48M10.68%42.71M-27.53%40.44M-33.14%36.74M28.95%47.02M28.95%47.02M22.14%38.59M74.38%55.8M
Total liabilities -0.63%1.9B-0.71%1.91B-0.71%1.91B-1.73%1.93B1.46%1.96B0.19%1.91B1.15%1.93B1.15%1.93B3.23%1.97B3.67%1.93B
Shareholders'equity
Share capital 0.00%85K0.00%85K0.00%85K0.00%85K0.00%85K0.00%85K0.00%85K0.00%85K0.00%85K0.00%85K
-common stock 0.00%85K0.00%85K0.00%85K0.00%85K0.00%85K0.00%85K0.00%85K0.00%85K0.00%85K0.00%85K
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Paid-in capital -0.35%108.07M-0.23%108.09M-0.23%108.09M-0.28%108.73M-0.34%108.59M-0.41%108.45M-0.45%108.33M-0.45%108.33M-0.35%109.04M-0.35%108.96M
Retained earnings 10.63%114.35M10.13%111.52M10.13%111.52M9.06%107.95M8.27%105.47M6.79%103.37M5.46%101.26M5.46%101.26M4.21%98.98M4.23%97.41M
Less: Treasury stock -1.24%11.37M7.48%11.57M7.48%11.57M7.20%11.93M7.20%11.93M3.53%11.52M-3.25%10.76M-3.25%10.76M-3.89%11.12M-3.89%11.12M
Gains losses not affecting retained earnings 21.46%-14.88M36.10%-12.87M36.10%-12.87M2.16%-14.77M14.46%-17.86M10.90%-18.95M-1.01%-20.15M-1.01%-20.15M51.17%-15.1M12.00%-20.88M
Other equity interest 14.82%-3.29M14.29%-3.44M14.29%-3.44M13.79%-3.58M13.33%-3.72M12.91%-3.87M12.50%-4.01M12.50%-4.01M12.12%-4.15M11.77%-4.3M
Total stockholders'equity 8.66%192.96M9.76%191.81M9.76%191.81M4.93%186.49M6.16%180.64M5.11%177.57M3.24%174.77M3.24%174.77M13.01%177.73M4.57%170.16M
Total equity 8.66%192.96M9.76%191.81M9.76%191.81M4.93%186.49M6.16%180.64M5.11%177.57M3.24%174.77M3.24%174.77M13.01%177.73M4.57%170.16M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------
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