US Stock MarketDetailed Quotes

WSFS Financial (WSFS)

Watchlist
  • 70.420
  • -0.540-0.76%
Close May 12 16:00 ET
  • 70.420
  • 0.0000.00%
Post 17:43 ET
3.66BMarket Cap12.55P/E (TTM)

WSFS Financial (WSFS) 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
142.96%2.47B
47.14%1.7B
47.14%1.7B
58.75%1.57B
30.32%1.33B
4.12%1.02B
5.67%1.15B
5.67%1.15B
62.05%990.92M
-8.41%1.02B
-Cash and cash equivalents
142.74%2.47B
46.79%1.69B
46.79%1.69B
58.70%1.57B
30.16%1.33B
4.06%1.02B
5.92%1.15B
5.92%1.15B
62.78%987.19M
-8.13%1.02B
-Restricted cash and investments
532.14%3.54M
283.89%6.53M
283.89%6.53M
71.31%6.39M
99.14%4.64M
--560K
-60.16%1.7M
-60.16%1.7M
-25.55%3.73M
-60.77%2.33M
Receivables
-6.98%666.83M
-6.64%683.61M
-6.64%683.61M
-4.91%696.77M
-3.07%709.9M
-0.72%716.88M
3.18%732.19M
3.18%732.19M
6.57%732.78M
9.66%732.4M
-Accounts receivable
-1.71%79.04M
-5.18%80.29M
-5.18%80.29M
-8.98%79.51M
-10.25%79.77M
-8.94%80.42M
-1.52%84.67M
-1.52%84.67M
6.65%87.36M
14.20%88.88M
-Other receivables
-7.65%587.78M
-6.83%603.32M
-6.83%603.32M
-4.36%617.26M
-2.08%630.13M
0.42%636.46M
3.83%647.52M
3.83%647.52M
6.56%645.42M
9.06%643.52M
Net loan
1.84%12.57B
1.14%12.54B
1.14%12.54B
-2.38%12.22B
-0.17%12.34B
1.28%12.34B
3.42%12.4B
3.42%12.4B
4.93%12.52B
6.33%12.36B
-Gross loan
1.75%12.75B
1.00%12.72B
1.00%12.72B
-2.46%12.41B
-0.27%12.52B
1.22%12.53B
3.44%12.59B
3.44%12.59B
5.03%12.72B
6.46%12.56B
-Allowance for loans and lease losses
-4.00%180.01M
-8.01%179.65M
-8.01%179.65M
-7.22%183.23M
-6.03%186.3M
-2.65%187.52M
4.92%195.28M
4.92%195.28M
12.22%197.49M
15.35%198.25M
Securities and investments
-0.41%4.55B
-0.44%4.52B
-0.44%4.52B
-5.87%4.5B
-4.26%4.51B
-4.77%4.57B
-7.69%4.54B
-7.69%4.54B
-0.04%4.78B
-6.95%4.71B
-Available for sale securities
0.47%3.56B
-0.07%3.51B
-0.07%3.51B
-7.04%3.47B
-4.46%3.49B
-5.47%3.54B
-9.11%3.51B
-9.11%3.51B
0.65%3.74B
-7.84%3.65B
-Held to maturity securities
-4.79%958.22M
-4.61%968.33M
-4.61%968.33M
-4.54%979.7M
-4.28%994.34M
-4.13%1.01B
-4.10%1.02B
-4.10%1.02B
-3.98%1.03B
-3.79%1.04B
-Short term investments
57.25%34.6M
174.50%45.84M
174.50%45.84M
173.87%45.76M
40.89%23.41M
811.06%22M
--16.7M
--16.7M
--16.71M
0.26%16.62M
Federal home loan bank stock
16.26%24.28M
-13.65%10.19M
-13.65%10.19M
15.16%20.15M
31.87%21.94M
34.52%20.89M
-23.33%11.81M
-23.33%11.81M
43.43%17.5M
77.02%16.64M
Bank owned life insurance
----
----
----
----
-0.13%36.04M
-14.90%36.34M
-14.49%36.57M
-14.49%36.57M
-64.84%35.66M
-64.31%36.09M
Net PPE
-10.18%76.56M
-6.64%80.32M
-6.64%80.32M
-20.74%82.75M
-18.90%84.36M
-18.52%85.24M
-17.66%86.03M
-17.66%86.03M
-0.57%104.4M
-4.03%104.02M
-Gross PPE
----
-3.28%194.28M
-3.28%194.28M
----
----
----
-4.88%200.87M
-4.88%200.87M
----
----
-Accumulated depreciation
----
0.77%-113.96M
0.77%-113.96M
----
----
----
-7.65%-114.84M
-7.65%-114.84M
----
----
Foreclosed assets
144.37%12.72M
-96.16%200K
-96.16%200K
-66.26%439K
-30.70%930K
330.08%5.2M
231.68%5.2M
231.68%5.2M
336.58%1.3M
154.65%1.34M
Goodwill and other intangible assets
-1.78%966.39M
-1.85%969.9M
-1.85%969.9M
-1.86%973.68M
-1.87%977.55M
-1.65%983.88M
-1.63%988.16M
-1.63%988.16M
-1.62%992.16M
-0.81%996.18M
-Goodwill
-0.08%885.22M
-0.08%885.22M
-0.08%885.22M
-0.08%885.22M
-0.08%885.22M
0.00%885.9M
0.00%885.9M
0.00%885.9M
0.00%885.9M
0.26%885.9M
-Other intangible assets
-17.17%81.16M
-17.19%84.68M
-17.19%84.68M
-16.76%88.45M
-16.29%92.32M
-14.38%97.98M
-13.82%102.26M
-13.82%102.26M
-13.31%106.27M
-8.59%110.28M
Other assets
-0.37%769.29M
-9.77%806.4M
-9.77%806.4M
5.78%770.84M
-1.69%758.49M
5.57%772.15M
25.52%893.71M
25.52%893.71M
-8.80%728.71M
10.50%771.56M
Total assets
7.58%22.11B
2.40%21.31B
2.40%21.31B
-0.31%20.84B
0.09%20.76B
-0.15%20.55B
1.07%20.81B
1.07%20.81B
4.31%20.91B
1.76%20.74B
Liabilities
Total deposits
9.42%18.47B
3.60%17.64B
3.60%17.64B
4.87%17.23B
5.10%17.12B
4.27%16.88B
3.37%17.03B
3.37%17.03B
2.76%16.43B
-0.83%16.29B
Payables
-43.43%20.34M
-48.53%19.65M
-48.53%19.65M
-64.94%25.74M
-48.60%29.13M
-5.18%35.95M
-18.23%38.17M
-18.23%38.17M
72.83%73.42M
120.41%56.68M
-Accounts payable
-43.43%20.34M
-48.53%19.65M
-48.53%19.65M
-64.94%25.74M
-48.60%29.13M
-5.18%35.95M
-18.23%38.17M
-18.23%38.17M
72.83%73.42M
120.41%56.68M
Long term debt and capital lease obligation
-2.43%310.36M
-21.10%302.68M
-21.10%302.68M
-76.27%255.1M
-73.43%303.46M
-71.72%318.09M
-57.14%383.61M
-57.14%383.61M
20.42%1.08B
26.99%1.14B
-Long term debt
-2.43%310.36M
-21.10%302.68M
-21.10%302.68M
-76.27%255.1M
-73.43%303.46M
-71.72%318.09M
-57.14%383.61M
-57.14%383.61M
20.42%1.08B
26.99%1.14B
Other liabilities
-9.31%593.7M
-20.70%621.19M
-20.70%621.19M
-10.87%590.57M
-17.93%637.01M
-14.26%654.64M
10.48%783.34M
10.48%783.34M
-22.86%662.58M
7.03%776.15M
Total liabilities
8.41%19.39B
1.93%18.59B
1.93%18.59B
-0.77%18.1B
-0.96%18.09B
-1.25%17.89B
0.61%18.23B
0.61%18.23B
2.43%18.24B
1.04%18.27B
Shareholders'equity
Share capital
0.26%765K
0.26%765K
0.26%765K
0.26%764K
0.26%764K
0.26%763K
0.26%763K
0.26%763K
0.13%762K
0.26%762K
-common stock
0.26%765K
0.26%765K
0.26%765K
0.26%764K
0.26%764K
0.26%763K
0.26%763K
0.26%763K
0.13%762K
0.26%762K
Paid-in capital
0.42%2.01B
0.48%2.01B
0.48%2.01B
0.43%2B
0.51%2B
0.61%2B
0.58%2B
0.58%2B
0.64%1.99B
0.57%1.99B
Retained earnings
14.04%2.2B
13.37%2.12B
13.37%2.12B
13.33%2.06B
13.11%1.99B
13.43%1.93B
13.86%1.87B
13.86%1.87B
14.30%1.82B
15.54%1.76B
Less: Treasury stock
45.44%1.03B
44.40%944.13M
44.40%944.13M
31.78%833.77M
27.23%786.55M
22.40%708.14M
17.27%653.85M
17.27%653.85M
15.54%632.7M
16.24%618.19M
Gains losses not affecting retained earnings
17.36%-454.09M
28.70%-445.55M
28.70%-445.55M
5.07%-474.69M
18.78%-522.16M
13.73%-549.47M
-5.20%-624.88M
-5.20%-624.88M
35.95%-500.02M
2.01%-642.88M
Total stockholders'equity
1.98%2.72B
5.75%2.74B
5.75%2.74B
2.80%2.75B
7.76%2.68B
8.01%2.67B
4.53%2.59B
4.53%2.59B
19.42%2.68B
7.56%2.49B
Non controlling interests
-0.45%-10.45M
-0.91%-10.47M
-0.91%-10.47M
6.73%-10.49M
6.35%-10.51M
-32.40%-10.41M
-32.67%-10.38M
-32.67%-10.38M
-51.67%-11.25M
-54.27%-11.22M
Total equity
1.99%2.71B
5.76%2.73B
5.76%2.73B
2.84%2.74B
7.82%2.67B
7.93%2.66B
4.44%2.58B
4.44%2.58B
19.31%2.67B
7.41%2.48B
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 142.96%2.47B47.14%1.7B47.14%1.7B58.75%1.57B30.32%1.33B4.12%1.02B5.67%1.15B5.67%1.15B62.05%990.92M-8.41%1.02B
-Cash and cash equivalents 142.74%2.47B46.79%1.69B46.79%1.69B58.70%1.57B30.16%1.33B4.06%1.02B5.92%1.15B5.92%1.15B62.78%987.19M-8.13%1.02B
-Restricted cash and investments 532.14%3.54M283.89%6.53M283.89%6.53M71.31%6.39M99.14%4.64M--560K-60.16%1.7M-60.16%1.7M-25.55%3.73M-60.77%2.33M
Receivables -6.98%666.83M-6.64%683.61M-6.64%683.61M-4.91%696.77M-3.07%709.9M-0.72%716.88M3.18%732.19M3.18%732.19M6.57%732.78M9.66%732.4M
-Accounts receivable -1.71%79.04M-5.18%80.29M-5.18%80.29M-8.98%79.51M-10.25%79.77M-8.94%80.42M-1.52%84.67M-1.52%84.67M6.65%87.36M14.20%88.88M
-Other receivables -7.65%587.78M-6.83%603.32M-6.83%603.32M-4.36%617.26M-2.08%630.13M0.42%636.46M3.83%647.52M3.83%647.52M6.56%645.42M9.06%643.52M
Net loan 1.84%12.57B1.14%12.54B1.14%12.54B-2.38%12.22B-0.17%12.34B1.28%12.34B3.42%12.4B3.42%12.4B4.93%12.52B6.33%12.36B
-Gross loan 1.75%12.75B1.00%12.72B1.00%12.72B-2.46%12.41B-0.27%12.52B1.22%12.53B3.44%12.59B3.44%12.59B5.03%12.72B6.46%12.56B
-Allowance for loans and lease losses -4.00%180.01M-8.01%179.65M-8.01%179.65M-7.22%183.23M-6.03%186.3M-2.65%187.52M4.92%195.28M4.92%195.28M12.22%197.49M15.35%198.25M
Securities and investments -0.41%4.55B-0.44%4.52B-0.44%4.52B-5.87%4.5B-4.26%4.51B-4.77%4.57B-7.69%4.54B-7.69%4.54B-0.04%4.78B-6.95%4.71B
-Available for sale securities 0.47%3.56B-0.07%3.51B-0.07%3.51B-7.04%3.47B-4.46%3.49B-5.47%3.54B-9.11%3.51B-9.11%3.51B0.65%3.74B-7.84%3.65B
-Held to maturity securities -4.79%958.22M-4.61%968.33M-4.61%968.33M-4.54%979.7M-4.28%994.34M-4.13%1.01B-4.10%1.02B-4.10%1.02B-3.98%1.03B-3.79%1.04B
-Short term investments 57.25%34.6M174.50%45.84M174.50%45.84M173.87%45.76M40.89%23.41M811.06%22M--16.7M--16.7M--16.71M0.26%16.62M
Federal home loan bank stock 16.26%24.28M-13.65%10.19M-13.65%10.19M15.16%20.15M31.87%21.94M34.52%20.89M-23.33%11.81M-23.33%11.81M43.43%17.5M77.02%16.64M
Bank owned life insurance -----------------0.13%36.04M-14.90%36.34M-14.49%36.57M-14.49%36.57M-64.84%35.66M-64.31%36.09M
Net PPE -10.18%76.56M-6.64%80.32M-6.64%80.32M-20.74%82.75M-18.90%84.36M-18.52%85.24M-17.66%86.03M-17.66%86.03M-0.57%104.4M-4.03%104.02M
-Gross PPE -----3.28%194.28M-3.28%194.28M-------------4.88%200.87M-4.88%200.87M--------
-Accumulated depreciation ----0.77%-113.96M0.77%-113.96M-------------7.65%-114.84M-7.65%-114.84M--------
Foreclosed assets 144.37%12.72M-96.16%200K-96.16%200K-66.26%439K-30.70%930K330.08%5.2M231.68%5.2M231.68%5.2M336.58%1.3M154.65%1.34M
Goodwill and other intangible assets -1.78%966.39M-1.85%969.9M-1.85%969.9M-1.86%973.68M-1.87%977.55M-1.65%983.88M-1.63%988.16M-1.63%988.16M-1.62%992.16M-0.81%996.18M
-Goodwill -0.08%885.22M-0.08%885.22M-0.08%885.22M-0.08%885.22M-0.08%885.22M0.00%885.9M0.00%885.9M0.00%885.9M0.00%885.9M0.26%885.9M
-Other intangible assets -17.17%81.16M-17.19%84.68M-17.19%84.68M-16.76%88.45M-16.29%92.32M-14.38%97.98M-13.82%102.26M-13.82%102.26M-13.31%106.27M-8.59%110.28M
Other assets -0.37%769.29M-9.77%806.4M-9.77%806.4M5.78%770.84M-1.69%758.49M5.57%772.15M25.52%893.71M25.52%893.71M-8.80%728.71M10.50%771.56M
Total assets 7.58%22.11B2.40%21.31B2.40%21.31B-0.31%20.84B0.09%20.76B-0.15%20.55B1.07%20.81B1.07%20.81B4.31%20.91B1.76%20.74B
Liabilities
Total deposits 9.42%18.47B3.60%17.64B3.60%17.64B4.87%17.23B5.10%17.12B4.27%16.88B3.37%17.03B3.37%17.03B2.76%16.43B-0.83%16.29B
Payables -43.43%20.34M-48.53%19.65M-48.53%19.65M-64.94%25.74M-48.60%29.13M-5.18%35.95M-18.23%38.17M-18.23%38.17M72.83%73.42M120.41%56.68M
-Accounts payable -43.43%20.34M-48.53%19.65M-48.53%19.65M-64.94%25.74M-48.60%29.13M-5.18%35.95M-18.23%38.17M-18.23%38.17M72.83%73.42M120.41%56.68M
Long term debt and capital lease obligation -2.43%310.36M-21.10%302.68M-21.10%302.68M-76.27%255.1M-73.43%303.46M-71.72%318.09M-57.14%383.61M-57.14%383.61M20.42%1.08B26.99%1.14B
-Long term debt -2.43%310.36M-21.10%302.68M-21.10%302.68M-76.27%255.1M-73.43%303.46M-71.72%318.09M-57.14%383.61M-57.14%383.61M20.42%1.08B26.99%1.14B
Other liabilities -9.31%593.7M-20.70%621.19M-20.70%621.19M-10.87%590.57M-17.93%637.01M-14.26%654.64M10.48%783.34M10.48%783.34M-22.86%662.58M7.03%776.15M
Total liabilities 8.41%19.39B1.93%18.59B1.93%18.59B-0.77%18.1B-0.96%18.09B-1.25%17.89B0.61%18.23B0.61%18.23B2.43%18.24B1.04%18.27B
Shareholders'equity
Share capital 0.26%765K0.26%765K0.26%765K0.26%764K0.26%764K0.26%763K0.26%763K0.26%763K0.13%762K0.26%762K
-common stock 0.26%765K0.26%765K0.26%765K0.26%764K0.26%764K0.26%763K0.26%763K0.26%763K0.13%762K0.26%762K
Paid-in capital 0.42%2.01B0.48%2.01B0.48%2.01B0.43%2B0.51%2B0.61%2B0.58%2B0.58%2B0.64%1.99B0.57%1.99B
Retained earnings 14.04%2.2B13.37%2.12B13.37%2.12B13.33%2.06B13.11%1.99B13.43%1.93B13.86%1.87B13.86%1.87B14.30%1.82B15.54%1.76B
Less: Treasury stock 45.44%1.03B44.40%944.13M44.40%944.13M31.78%833.77M27.23%786.55M22.40%708.14M17.27%653.85M17.27%653.85M15.54%632.7M16.24%618.19M
Gains losses not affecting retained earnings 17.36%-454.09M28.70%-445.55M28.70%-445.55M5.07%-474.69M18.78%-522.16M13.73%-549.47M-5.20%-624.88M-5.20%-624.88M35.95%-500.02M2.01%-642.88M
Total stockholders'equity 1.98%2.72B5.75%2.74B5.75%2.74B2.80%2.75B7.76%2.68B8.01%2.67B4.53%2.59B4.53%2.59B19.42%2.68B7.56%2.49B
Non controlling interests -0.45%-10.45M-0.91%-10.47M-0.91%-10.47M6.73%-10.49M6.35%-10.51M-32.40%-10.41M-32.67%-10.38M-32.67%-10.38M-51.67%-11.25M-54.27%-11.22M
Total equity 1.99%2.71B5.76%2.73B5.76%2.73B2.84%2.74B7.82%2.67B7.93%2.66B4.44%2.58B4.44%2.58B19.31%2.67B7.41%2.48B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------
Market Insights
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