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TCFCP TCF Financial Corp

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Close Jun 14 09:30 ET
0Market Cap0.00P/E (TTM)

TCF Financial Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2021
(FY)Dec 31, 2020
(Q4)Dec 31, 2020
(Q3)Sep 30, 2020
(Q2)Jun 30, 2020
(Q1)Mar 31, 2020
(FY)Dec 31, 2019
(Q4)Dec 31, 2019
(Q3)Sep 30, 2019
(Q2)Jun 30, 2019
Assets
Cash cash equivalents and federal funds sold
-17.95%1.05B
2.62%1.26B
2.62%1.26B
33.88%1.77B
454.81%3.08B
175.72%1.28B
109.24%1.23B
109.24%1.23B
132.12%1.32B
-4.57%555.27M
-Cash and cash equivalents
-17.95%1.05B
2.62%1.26B
2.62%1.26B
33.88%1.77B
454.81%3.08B
175.72%1.28B
109.24%1.23B
109.24%1.23B
132.12%1.32B
-4.57%555.27M
Net loan
0.06%35.82B
-1.22%34.16B
-1.22%34.16B
-1.54%34.29B
86.31%35.61B
85.50%35.8B
81.96%34.58B
81.96%34.58B
89.53%34.83B
1.98%19.11B
-Gross loan
0.33%36.33B
-0.03%34.69B
-0.03%34.69B
-0.41%34.8B
87.28%36.07B
86.18%36.21B
81.06%34.7B
81.06%34.7B
88.54%34.95B
1.86%19.26B
-Allowance for loans and lease losses
24.18%504.65M
365.16%525.87M
365.16%525.87M
325.04%515.23M
214.75%461.11M
174.64%406.38M
-28.20%113.05M
-28.20%113.05M
-24.53%121.22M
-11.54%146.5M
Securities and investments
20.29%8.61B
23.47%8.47B
23.47%8.47B
33.07%7.62B
118.71%7.35B
123.99%7.16B
161.92%6.86B
161.92%6.86B
119.04%5.72B
34.34%3.36B
-Available for sale securities
----
----
----
----
----
----
----
----
----
10.45%105.66M
-Held to maturity securities
54.68%209.78M
32.21%184.36M
32.21%184.36M
18.27%170.31M
-10.23%130.1M
-8.38%135.62M
-6.32%139.45M
-6.32%139.45M
-5.81%144M
-7.08%144.92M
-Short term investments
19.62%8.4B
23.28%8.28B
23.28%8.28B
33.45%7.45B
132.15%7.22B
138.52%7.03B
172.06%6.72B
172.06%6.72B
134.49%5.58B
38.23%3.11B
Federal home loan bank stock
-26.02%358.41M
-27.58%320.44M
-27.58%320.44M
3.52%300.44M
--386.48M
--484.46M
382.73%442.44M
382.73%442.44M
--290.24M
----
Net PPE
-11.89%455.03M
-11.82%470.13M
-11.82%470.13M
-15.25%469.7M
9.13%472.24M
20.19%516.45M
24.70%533.14M
24.70%533.14M
28.99%554.19M
0.42%432.75M
-Gross PPE
----
-9.32%896.79M
-9.32%896.79M
----
----
----
13.28%988.97M
13.28%988.97M
--1.01B
----
-Accumulated depreciation
----
6.40%-426.66M
6.40%-426.66M
----
----
----
-2.32%-455.83M
-2.32%-455.83M
---459.04M
----
Goodwill and other intangible assets
3.30%1.57B
-1.76%1.5B
-1.76%1.5B
-2.16%1.5B
875.23%1.51B
884.26%1.52B
769.80%1.52B
769.80%1.52B
892.73%1.54B
0.00%154.76M
-Goodwill
5.09%1.38B
1.01%1.31B
1.01%1.31B
3.79%1.31B
748.46%1.31B
748.46%1.31B
739.95%1.3B
739.95%1.3B
717.48%1.27B
0.00%154.76M
-Other intangible assets
-7.89%193.59M
-17.80%184.68M
-17.80%184.68M
-29.90%190.13M
--196.19M
--210.17M
994.99%224.68M
994.99%224.68M
--271.21M
----
Other assets
-13.26%1.59B
9.64%1.62B
9.64%1.62B
12.27%1.62B
63.83%1.66B
109.35%1.83B
86.57%1.48B
86.57%1.48B
88.74%1.44B
30.58%1.01B
Total assets
1.78%49.46B
2.47%47.8B
2.47%47.8B
4.10%47.57B
103.28%50.06B
99.00%48.59B
96.85%46.65B
96.85%46.65B
99.49%45.69B
6.22%24.63B
Liabilities
Total deposits
11.14%39.79B
12.73%38.86B
12.73%38.86B
11.01%39.17B
105.16%39.21B
88.18%35.8B
82.34%34.47B
82.34%34.47B
90.77%35.29B
4.08%19.11B
Current accrued expenses
----
----
----
----
----
----
----
----
----
9.77%835.63M
Current debt and capital lease obligation
-59.05%1.43B
-76.87%617.36M
-76.87%617.36M
-74.86%655.46M
690.56%2.77B
878.26%3.48B
--2.67B
--2.67B
112,090.19%2.61B
45,992.51%350.76M
-Current debt
-59.05%1.43B
-76.87%617.36M
-76.87%617.36M
-74.86%655.46M
690.56%2.77B
878.26%3.48B
--2.67B
--2.67B
112,090.19%2.61B
45,992.51%350.76M
Long term debt and capital lease obligation
-41.60%1.52B
-41.61%1.37B
-41.61%1.37B
1.32%871.85M
-42.08%936.91M
84.25%2.6B
62.43%2.35B
62.43%2.35B
-26.55%860.48M
4.05%1.62B
-Long term debt
-41.64%1.52B
-41.66%1.37B
-41.66%1.37B
1.33%868.84M
-42.15%933.9M
84.44%2.6B
62.57%2.35B
62.57%2.35B
-26.62%857.42M
3.85%1.61B
-Long term capital lease obligation
-2.32%2.95M
-2.27%2.97M
-2.27%2.97M
-1.73%3.01M
-2.18%3.01M
-2.71%3.02M
-2.16%3.04M
-2.16%3.04M
-2.61%3.06M
--3.08M
Other liabilities
7.57%1.14B
-11.69%1.26B
-11.69%1.26B
-2.99%1.21B
--1.48B
--1.06B
81.25%1.43B
81.25%1.43B
--1.25B
----
Total liabilities
2.16%43.87B
2.91%42.11B
2.91%42.11B
4.77%41.91B
102.61%44.4B
97.21%42.94B
93.56%40.92B
93.56%40.92B
96.30%40B
5.98%21.92B
Shareholders'equity
Share capital
0.16%322M
-0.12%321.87M
-0.12%321.87M
-0.37%321.68M
88.00%321.54M
87.97%321.49M
25.15%322.27M
25.15%322.27M
88.77%322.87M
-0.00%171.03M
-common stock
0.34%152.7M
-0.26%152.57M
-0.26%152.57M
-0.78%152.38M
8,694.51%152.23M
8,681.65%152.19M
73.43%152.97M
73.43%152.97M
8,746.26%153.57M
-0.23%1.73M
-Preferred stock
0.00%169.3M
0.00%169.3M
0.00%169.3M
0.00%169.3M
0.00%169.3M
0.00%169.3M
0.00%169.3M
0.00%169.3M
0.00%169.3M
0.00%169.3M
Paid-in capital
0.97%3.47B
-0.12%3.46B
-0.12%3.46B
-0.79%3.45B
296.53%3.44B
292.01%3.43B
333.50%3.46B
333.50%3.46B
294.21%3.48B
-1.07%868M
Retained earnings
4.01%1.8B
-8.50%1.74B
-8.50%1.74B
-7.62%1.7B
-9.27%1.7B
-4.29%1.73B
7.33%1.9B
7.33%1.9B
7.72%1.84B
13.63%1.87B
Less: Treasury stock
----
----
----
-0.91%27.12M
-89.78%27.09M
-88.59%28.14M
----
----
-85.57%27.37M
61.49%265.02M
Gains losses not affecting retained earnings
-98.40%2.65M
236.56%182.67M
236.56%182.67M
241.06%191.77M
431.44%198.41M
2,931.75%166.17M
263.79%54.28M
263.79%54.28M
186.16%56.23M
170.69%37.33M
Other equity interest
---29.81M
4.66%-26.73M
4.66%-26.73M
----
----
----
---28.04M
---28.04M
----
----
Total stockholders'equity
-1.10%5.56B
-0.63%5.67B
-0.63%5.67B
-0.58%5.64B
109.83%5.64B
115.02%5.63B
124.88%5.71B
124.88%5.71B
126.18%5.67B
8.25%2.69B
Non controlling interests
-7.34%27.94M
-8.61%18.48M
-8.61%18.48M
-8.31%21.38M
-6.27%23.3M
2.37%30.15M
9.57%20.23M
9.57%20.23M
10.21%23.31M
5.13%24.86M
Total equity
-1.13%5.59B
-0.66%5.69B
-0.66%5.69B
-0.61%5.66B
108.76%5.66B
113.76%5.66B
124.05%5.73B
124.05%5.73B
125.21%5.69B
8.22%2.71B
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 with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
(Q1)Mar 31, 2021(FY)Dec 31, 2020(Q4)Dec 31, 2020(Q3)Sep 30, 2020(Q2)Jun 30, 2020(Q1)Mar 31, 2020(FY)Dec 31, 2019(Q4)Dec 31, 2019(Q3)Sep 30, 2019(Q2)Jun 30, 2019
Assets
Cash cash equivalents and federal funds sold -17.95%1.05B2.62%1.26B2.62%1.26B33.88%1.77B454.81%3.08B175.72%1.28B109.24%1.23B109.24%1.23B132.12%1.32B-4.57%555.27M
-Cash and cash equivalents -17.95%1.05B2.62%1.26B2.62%1.26B33.88%1.77B454.81%3.08B175.72%1.28B109.24%1.23B109.24%1.23B132.12%1.32B-4.57%555.27M
Net loan 0.06%35.82B-1.22%34.16B-1.22%34.16B-1.54%34.29B86.31%35.61B85.50%35.8B81.96%34.58B81.96%34.58B89.53%34.83B1.98%19.11B
-Gross loan 0.33%36.33B-0.03%34.69B-0.03%34.69B-0.41%34.8B87.28%36.07B86.18%36.21B81.06%34.7B81.06%34.7B88.54%34.95B1.86%19.26B
-Allowance for loans and lease losses 24.18%504.65M365.16%525.87M365.16%525.87M325.04%515.23M214.75%461.11M174.64%406.38M-28.20%113.05M-28.20%113.05M-24.53%121.22M-11.54%146.5M
Securities and investments 20.29%8.61B23.47%8.47B23.47%8.47B33.07%7.62B118.71%7.35B123.99%7.16B161.92%6.86B161.92%6.86B119.04%5.72B34.34%3.36B
-Available for sale securities ------------------------------------10.45%105.66M
-Held to maturity securities 54.68%209.78M32.21%184.36M32.21%184.36M18.27%170.31M-10.23%130.1M-8.38%135.62M-6.32%139.45M-6.32%139.45M-5.81%144M-7.08%144.92M
-Short term investments 19.62%8.4B23.28%8.28B23.28%8.28B33.45%7.45B132.15%7.22B138.52%7.03B172.06%6.72B172.06%6.72B134.49%5.58B38.23%3.11B
Federal home loan bank stock -26.02%358.41M-27.58%320.44M-27.58%320.44M3.52%300.44M--386.48M--484.46M382.73%442.44M382.73%442.44M--290.24M----
Net PPE -11.89%455.03M-11.82%470.13M-11.82%470.13M-15.25%469.7M9.13%472.24M20.19%516.45M24.70%533.14M24.70%533.14M28.99%554.19M0.42%432.75M
-Gross PPE -----9.32%896.79M-9.32%896.79M------------13.28%988.97M13.28%988.97M--1.01B----
-Accumulated depreciation ----6.40%-426.66M6.40%-426.66M-------------2.32%-455.83M-2.32%-455.83M---459.04M----
Goodwill and other intangible assets 3.30%1.57B-1.76%1.5B-1.76%1.5B-2.16%1.5B875.23%1.51B884.26%1.52B769.80%1.52B769.80%1.52B892.73%1.54B0.00%154.76M
-Goodwill 5.09%1.38B1.01%1.31B1.01%1.31B3.79%1.31B748.46%1.31B748.46%1.31B739.95%1.3B739.95%1.3B717.48%1.27B0.00%154.76M
-Other intangible assets -7.89%193.59M-17.80%184.68M-17.80%184.68M-29.90%190.13M--196.19M--210.17M994.99%224.68M994.99%224.68M--271.21M----
Other assets -13.26%1.59B9.64%1.62B9.64%1.62B12.27%1.62B63.83%1.66B109.35%1.83B86.57%1.48B86.57%1.48B88.74%1.44B30.58%1.01B
Total assets 1.78%49.46B2.47%47.8B2.47%47.8B4.10%47.57B103.28%50.06B99.00%48.59B96.85%46.65B96.85%46.65B99.49%45.69B6.22%24.63B
Liabilities
Total deposits 11.14%39.79B12.73%38.86B12.73%38.86B11.01%39.17B105.16%39.21B88.18%35.8B82.34%34.47B82.34%34.47B90.77%35.29B4.08%19.11B
Current accrued expenses ------------------------------------9.77%835.63M
Current debt and capital lease obligation -59.05%1.43B-76.87%617.36M-76.87%617.36M-74.86%655.46M690.56%2.77B878.26%3.48B--2.67B--2.67B112,090.19%2.61B45,992.51%350.76M
-Current debt -59.05%1.43B-76.87%617.36M-76.87%617.36M-74.86%655.46M690.56%2.77B878.26%3.48B--2.67B--2.67B112,090.19%2.61B45,992.51%350.76M
Long term debt and capital lease obligation -41.60%1.52B-41.61%1.37B-41.61%1.37B1.32%871.85M-42.08%936.91M84.25%2.6B62.43%2.35B62.43%2.35B-26.55%860.48M4.05%1.62B
-Long term debt -41.64%1.52B-41.66%1.37B-41.66%1.37B1.33%868.84M-42.15%933.9M84.44%2.6B62.57%2.35B62.57%2.35B-26.62%857.42M3.85%1.61B
-Long term capital lease obligation -2.32%2.95M-2.27%2.97M-2.27%2.97M-1.73%3.01M-2.18%3.01M-2.71%3.02M-2.16%3.04M-2.16%3.04M-2.61%3.06M--3.08M
Other liabilities 7.57%1.14B-11.69%1.26B-11.69%1.26B-2.99%1.21B--1.48B--1.06B81.25%1.43B81.25%1.43B--1.25B----
Total liabilities 2.16%43.87B2.91%42.11B2.91%42.11B4.77%41.91B102.61%44.4B97.21%42.94B93.56%40.92B93.56%40.92B96.30%40B5.98%21.92B
Shareholders'equity
Share capital 0.16%322M-0.12%321.87M-0.12%321.87M-0.37%321.68M88.00%321.54M87.97%321.49M25.15%322.27M25.15%322.27M88.77%322.87M-0.00%171.03M
-common stock 0.34%152.7M-0.26%152.57M-0.26%152.57M-0.78%152.38M8,694.51%152.23M8,681.65%152.19M73.43%152.97M73.43%152.97M8,746.26%153.57M-0.23%1.73M
-Preferred stock 0.00%169.3M0.00%169.3M0.00%169.3M0.00%169.3M0.00%169.3M0.00%169.3M0.00%169.3M0.00%169.3M0.00%169.3M0.00%169.3M
Paid-in capital 0.97%3.47B-0.12%3.46B-0.12%3.46B-0.79%3.45B296.53%3.44B292.01%3.43B333.50%3.46B333.50%3.46B294.21%3.48B-1.07%868M
Retained earnings 4.01%1.8B-8.50%1.74B-8.50%1.74B-7.62%1.7B-9.27%1.7B-4.29%1.73B7.33%1.9B7.33%1.9B7.72%1.84B13.63%1.87B
Less: Treasury stock -------------0.91%27.12M-89.78%27.09M-88.59%28.14M---------85.57%27.37M61.49%265.02M
Gains losses not affecting retained earnings -98.40%2.65M236.56%182.67M236.56%182.67M241.06%191.77M431.44%198.41M2,931.75%166.17M263.79%54.28M263.79%54.28M186.16%56.23M170.69%37.33M
Other equity interest ---29.81M4.66%-26.73M4.66%-26.73M---------------28.04M---28.04M--------
Total stockholders'equity -1.10%5.56B-0.63%5.67B-0.63%5.67B-0.58%5.64B109.83%5.64B115.02%5.63B124.88%5.71B124.88%5.71B126.18%5.67B8.25%2.69B
Non controlling interests -7.34%27.94M-8.61%18.48M-8.61%18.48M-8.31%21.38M-6.27%23.3M2.37%30.15M9.57%20.23M9.57%20.23M10.21%23.31M5.13%24.86M
Total equity -1.13%5.59B-0.66%5.69B-0.66%5.69B-0.61%5.66B108.76%5.66B113.76%5.66B124.05%5.73B124.05%5.73B125.21%5.69B8.22%2.71B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes------

Analysis

Analyst Rating

No Data

Price Target

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