KPIs & Operating Metrics(New)
Allowance For Credit Loss AnnualAllowance For Credit LossesAllowance For Credit Loss To Total Loans %Allowance For Credit Loss To Total Loans Annual %Average BalanceAverage Balance AnnualBreakdown Of AssetsCommon Equity Tier 1 CapitalCommon Equity Tier 1 Capital AnnualCommon Equity Tier 1 Capital Ratio %Common Equity Tier 1 Capital Ratio Annual %Contractual Obligations %DepositsDeposits AnnualEfficiency Ratio %Efficiency Ratio Annual %Employee StatisticsGoodwill By Segment AnnualIncome Before Income Taxes %LoansLoans AnnualLoans To Deposit Ratio %Loans To Deposit Ratio Annual %Net Income (Loss) By SegmentNet Income (Loss) By Segment AnnualNet Income Margin By Segment %Net Income Margin By Segment Annual %Net Interest Income By SegmentNet Interest Income By Segment AnnualNet Interest Income Mix By Segment %Net Interest Income Mix By Segment Annual %Net Interest Margin %Net Interest Margin Annual %Non Accrual LoansNon Accrual Loans AnnualNon Accrual Loans To Total Loans %Non Accrual Loans To Total Loans Annual %Non Gaap ProfitabilityNon Gaap Profitability %Non Gaap Profitability AnnualNon Gaap Profitability Annual %Non Interest Expenses SegregationNon Interest Income By SegmentNon Interest Income By Segment AnnualNon Interest Income Mix By Segment %Non Interest Income Mix By Segment Annual %Premises And Equipment BreakdownReturn On Average Assets %Return On Average Assets Annual %Return On Average Equity %Return On Average Equity Annual %Revenue Breakdown Interest IncomeRevenue Breakdown Interest Income AnnualRevenue Breakdown Non Interest IncomeRevenue Breakdown Non Interest Income AnnualRevenue By Business VerticalRevenue By Business Vertical %Revenue By Business Vertical AnnualRevenue By Business Vertical Annual %Revenue Mix Breakdown Interest Income %Revenue Mix Breakdown Interest Income Annual %Revenue Mix Breakdown Non Interest Income %Revenue Mix Breakdown Non Interest Income Annual %Risk Weighted AssetsRisk Weighted Assets AnnualTier 1 CapitalTier 1 Capital AnnualTier 1 Capital Ratio %Tier 1 Capital Ratio Annual %Tier 1 Leverage Ratio %Tier 1 Leverage Ratio Annual %Total Interest IncomeTotal Interest Income Annual
Balance Sheet
Accounts PayablesAccumulated ExpensesAssetsCash & Current InvestmentsCash & EquivalentsCash Due from BankCollateralCommon EquityFed Funds SoldGoodwillGoodwill & IntangiblesIntangiblesInterest DepositsLiabilities and Shareholders EquityLoansLoans - GrossLoans - Loss AllowanceLoans - NetLoans - NetLong-Term InvestmentsNon-Current DebtNotes PayablesOther Non-Current AssetsOther Non-Current LiabilitiesPayablesPreferred SharesProperty, Plant & Equipment (Net)Property, Plant & Equipment (Net)Receivables - AccuredReceivables - AffiliatesRetained EarningsSecurities - Held-to-maturitySecurities - TradableShareholder's EquityShares OutstandingShort term DebtShort-term InvestmentsTotal DebtTotal LiabilitiesTotal Non-Current LiabilitiesTreasury SharesTreasury Shares
Cash Flow Statement
AcquisitionsAmortizatization of IntangiblesAmortizatization of IntangiblesAsset Writedowns and ImpairmentAsset Writedowns and ImpairmentCapital ExpendituresCapital ExpendituresCash from Financing ActivitiesCash from Financing ActivitiesCash from Investing ActivitiesCash from Investing ActivitiesCash from OperationsCash from OperationsChange in Account PayablesChange in Account PayablesChange in Accured ExpensesChange in Accured ExpensesChange in Acquisitions & DivestmentsChange in Acquisitions & DivestmentsChange in CashChange in Interest ReceivablesChange in LoansChange in Net LoansChange in TaxesChange in TaxesDepreciation & Amortization (CF)Depreciation & Amortization (CF)Depreciation and DepletionDepreciation and DepletionDividends Paid - CommonDividends Paid - CommonFree Cash FlowFree Cash FlowGains from Investment SecuritiesGains from Investment SecuritiesLong-Term Debt IssuancesLong-Term Debt RepaymentsNet Cash FlowNet Cash FlowNet IncomeOther financing activitiesOther financing activitiesPreferred Shares IssuedPreferred Shares RepurchasedSales of Property, Plant and EquipmentSales of Property, Plant and EquipmentShares IssuedShares RepurchasedShort-Term Debt issuances
Daily Values
Growth Metrics
EBIT Margin (QoQ)EBIT Margin Growth (1y)EBIT Margin Growth (3y)EBIT Margin Growth (5y)EBITDA Margin (QoQ)EBITDA Margin Growth (1y)EBITDA Margin Growth (3y)EBITDA Margin Growth (5y)EBT Margin (QoQ)EBT Margin Growth (1y)EBT Margin Growth (3y)EBT Margin Growth (5y)Enterprise Value (QoQ)Enterprise Value Growth (1y)Enterprise Value Growth (3y)Enterprise Value Growth (5y)FCF Margin (QoQ)FCF Margin Growth (1y)FCF Margin Growth (3y)FCF Margin Growth (5y)FCF Payout Ratio (QoQ)FCF Payout Ratio Growth (1y)FCF Payout Ratio Growth (3y)FCF Payout Ratio Growth (5y)Interest Coverage Ratio (QoQ)Interest Coverage Ratio Growth (1y)Interest Coverage Ratio Growth (3y)Interest Coverage Ratio Growth (5y)Net Margin (QoQ)Net Margin Growth (1y)Net Margin Growth (3y)Net Margin Growth (5y)Return on Assets (QoQ)Return on Assets Growth (1y)Return on Assets Growth (3y)Return on Assets Growth (5y)Return on Equity (QoQ)Return on Equity Growth (1y)Return on Equity Growth (3y)Return on Equity Growth (5y)Return on Invested Capital (QoQ)Return on Invested Capital Growth (1y)Return on Invested Capital Growth (3y)Return on Invested Capital Growth (5y)Return on Sales (QoQ)Return on Sales Growth (1y)Return on Sales Growth (3y)Return on Sales Growth (5y)
Income Statement
Amortization - IntangiblesCard IncomeConsolidated Net IncomeDepreciation & Amortization - TotalEBITEBITDAEBTEPS (Basic)EPS (Weighted Average and Diluted)Financial Services FeesIncome - TrustIncome from Continuing OperationsIncome towards Parent CompanyInterest Expense - DebtInterest Expense - DepositsInterest Expense - Fed FundsInterest Expense - OthersInterest ExpensesInterest ExpensesInterest Income - Debt SecuritiesInterest Income - Fed FundsInterest Income - NetInterest Income - TotalInterest Income - TotalInterest income - InvestmentsInterest income - LoansInvestment Banking IncomeInvestment Gain (Loss)Mortgage BankingNet Income towards Common StockholdersNon Operating Investment IncomeNon Operating Investment IncomeNon-Interest IncomeOperating ExpensesOther Non-Interest IncomeOther Operating ExpensesOther interest incomePreferred Dividend PaymentsProfit After TaxProvisionsRent ExpenseResearch & DevelopmentRestructuring CostsRevenueService ChargesShares OutstandingShares Outstanding (Diluted Average)Shares Outstanding (Weighted Average)Tax ProvisionsTax RateTax RateTrading IncomeWages, Salaries and Other
Others
Accumulated Depreciation & AmortizationAccumulated Depreciation & AmortizationDepreciation ExpenseLong-Term Debt IssuancesLong-Term Debt RepaymentsMachine, Furnitures, Fixtures & OtherOther Gross PP&E AdjustmentsOther Gross PP&E AdjustmentsPreferred Shares IssuedPreferred Shares RepurchasedProperty, Plant & Equipment (Gross)Property, Plant & Equipment (Gross)Receivables - AccuredReceivables - AffiliatesRent ExpenseRevenue (Gross)Shares IssuedShares OutstandingShares OutstandingShares RepurchasedShort-Term Debt issuancesWages, Salaries and Other
Ratios
Asset Utilization RatioAssets AverageDebt RatioDebt to EquityEBIT MarginEBITDA MarginEBT MarginEnterprise ValueEquity AverageEquity RatioFCF MarginFCF Payout RatioInterest Coverage RatioInvested CapitalNet MarginReturn on AssetsReturn on EquityReturn on Invested CapitalReturn on SalesTimes Interest Earned
Associated Banc (ASB) Net Margin (2016 - 2026)
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Associated Banc filings provide 18 years of Net Margin readings, the most recent being 2401.48% for Q1 2026.
- For the quarter ending Q1 2026, Net Margin rose 145519.0% year-over-year to 2401.48%, compared with a TTM value of 905.67% through Mar 2026, up 50097.0%, and an annual FY2025 reading of 993.54%, up 42097.0% over the prior year.
- Net Margin hit 2401.48% in Q1 2026 for Associated Banc, up from 433.5% in the prior quarter.
- The five-year high for Net Margin was 2401.48% in Q1 2026, with the low at 3173.64% in Q4 2024.
- Median Net Margin over the past 5 years was 29.9% (2023), compared with a mean of 490.17%.
- The sharpest move saw Net Margin tumbled -318337bps in 2024, then surged 360714bps in 2025.
- Year by year, Net Margin stood at 12.13% in 2022, then skyrocketed by 180bps to 9.73% in 2023, then crashed by -32727bps to 3173.64% in 2024, then surged by 114bps to 433.5% in 2025, then surged by 454bps to 2401.48% in 2026.
- According to Business Quant data, Net Margin over the past three periods came in at 2401.48%, 433.5%, and 990.06% for Q1 2026, Q4 2025, and Q3 2025 respectively.
Peer Comparison
Historic Data
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