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FinObservatory

US bank holding companies / RSSD 2820211

METROPOLITAN BK HOLD CORP

METROPOLITAN BANK HOLDING CORP.

42 FR Y-9C filings, Q2 2003 through Q1 2021 (report dates Jun 30, 2003 to Mar 31, 2021). Consolidated assets peak at $4.92B at Q1 2021. At its last filing the balance sheet is $4.92B of assets against $4.57B of liabilities and $348.2M of equity capital, which ranks 240 of 349 filers at Q1 2021 and is 0.02% of everything they consolidate. That is the last quarter of the panel, so this entity was still filing when the source ends.

$4.92B
consolidated assets
Q1 2021
7.07%
equity capital / assets
excludes minority interests
7.34%
Tier 1 / assets
Q1 2021
14.1x
assets / equity capital
book leverage

Consolidated balance sheet

Assets and liabilities as filed, every quarter this entity reported. Thousands of US dollars, nominal.

$0$2B$4B$6B200420062008201020122014201620182020Q1 2006total assetstotal liabilities

Source: Federal Reserve, FR Y-9C Consolidated Financial Statements for Holding Companies TOTAL_ASSETS_THOUSANDS_USD and TOTAL_LIABILITIES_THOUSANDS_USD for RSSD 2820211. Where the rule is drawn, it marks Q1 2006. Methodology

Capital ratios

Equity capital over assets, and Tier 1 over assets. Tier 1 is reported in 37 of this entity’s 42 filings; quarters where it is not reported are left out of the line rather than plotted as zero.

6%8%10%12%14%16%200420062008201020122014201620182020equity capital / assetsTier 1 / assets

Source: Federal Reserve, FR Y-9C Consolidated Financial Statements for Holding Companies Both ratios use reported values only; a null Tier 1 means the form did not collect it, not that capital was zero. Methodology

Every filing

QuarterAssetsLiabilitiesEquity capitalTier 1Assets / equity
Q2 2003$194.6M$169.2M$25.3Mn/a7.7x
Q3 2003$204.7M$177.0M$27.7Mn/a7.4x
Q4 2003$223.7M$195.1M$28.6Mn/a7.8x
Q1 2004$247.0M$217.8M$29.2Mn/a8.4x
Q2 2004$239.0M$209.0M$29.9Mn/a8.0x
Q3 2004$257.5M$226.7M$30.7M$20.1M8.4x
Q4 2004$288.8M$257.2M$31.6M$21.0M9.1x
Q1 2005$309.1M$276.6M$32.4M$21.4M9.5x
Q2 2005$327.8M$291.4M$36.4M$25.3M9.0x
Q3 2005$358.0M$320.6M$37.4M$26.3M9.6x
Q4 2005$380.9M$343.4M$37.5M$36.5M10.2x
Q1 2009$563.3M$524.7M$38.7M$37.0M14.6x
Q2 2009$589.6M$548.7M$40.8M$39.8M14.4x
Q3 2009$594.3M$553.2M$41.1M$40.1M14.5x
Q4 2009$588.6M$546.9M$41.7M$41.0M14.1x
Q1 2010$607.2M$564.9M$42.3M$41.5M14.3x
Q2 2010$617.7M$572.7M$44.9M$45.0M13.7x
Q3 2010$601.2M$555.6M$45.5M$45.8M13.2x
Q4 2010$582.5M$537.1M$45.4M$46.4M12.8x
Q1 2011$589.2M$543.4M$45.8M$47.2M12.9x
Q2 2011$599.6M$552.8M$46.8M$47.8M12.8x
Q3 2011$607.5M$559.7M$47.8M$48.9M12.7x
Q4 2011$594.8M$546.8M$48.0M$49.0M12.4x
Q1 2012$588.9M$538.2M$50.6M$52.5M11.6x
Q2 2012$580.6M$529.6M$51.1M$52.8M11.4x
Q3 2012$562.8M$512.0M$50.8M$52.2M11.1x
Q4 2012$566.8M$516.0M$50.7M$52.3M11.2x
Q1 2013$591.8M$539.0M$52.8M$55.0M11.2x
Q2 2013$588.9M$536.1M$52.8M$56.1M11.2x
Q3 2013$625.2M$572.0M$53.3M$56.6M11.7x
Q4 2013$636.1M$580.1M$56.0M$60.7M11.4x
Q1 2014$663.4M$606.8M$56.6M$61.5M11.7x
Q2 2014$691.1M$633.7M$57.4M$62.0M12.0x
Q3 2014$758.0M$700.0M$57.9M$62.9M13.1x
Q4 2014$767.1M$708.4M$58.7M$65.1M13.1x
Q1 2017$1.27B$1.16B$112.2M$117.0M11.3x
Q2 2017$1.59B$1.47B$115.0M$125.2M13.8x
Q3 2017$1.72B$1.60B$119.0M$129.2M14.5x
Q4 2017$1.76B$1.52B$236.9M$247.3M7.4x
Q1 2018$1.97B$1.73B$243.0M$253.8M8.1x
Q2 2018$1.92B$1.67B$249.6M$260.4M7.7x
Q1 2021$4.92B$4.57B$348.2M$361.3M14.1x

Source: Federal Reserve, FR Y-9C Consolidated Financial Statements for Holding Companies All 42 filings for RSSD 2820211, as reported. Assets / equity is n/a where equity capital is not positive. Methodology

This page cannot show the bank inside this holding company; see methodology. For FDIC-insured banks on their own terms, use /banks.