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Bank CMG

Madison, WI · Cert 11623 · CMG Bcorp

State charter, Fed member · FED · 10 branches

Q2 2026

$1.1BAssets
$788.1MLoans
$935.0MDeposits
$94.9MEquity
Loan mix
88%RE $606.4M11%C&I $78.1M0%Consumer $1.0MQ2 2025Q2 2026
Deposit mix
80%Interest-bearing $750.2M20%Noninterest $184.8MQ2 2025Q2 2026

NIM

5.73%Q2 ’245.76%Q2 ’255.83%Q2 ’26+4%+15%

Non-interest income vs. expense

3.36%Q2 ’243.46%Q2 ’253.96%Q2 ’26+10%-14%

Financial Results

Return on Assets (quarter, annualized)

1.00%+91 bps YoY

Net Interest Margin (quarter, annualized)

4.17%+55 bps YoY

Efficiency Ratio (quarter, annualized)

71.81%-1,381 bps YoY

Tier 1 Leverage Ratio

9.61%+37 bps YoY

Discrete quarter, annualized.

MetricQ2 2025Q3 2025Q4 2025Q1 2026Q2 2026YoY ΔTrend
Return on Assets0.09%-1.17%0.64%0.96%1.00%+91 bps
Net Interest Margin3.61%3.68%3.75%4.16%4.17%+55 bps
Non-Interest Burden3.01%5.37%2.75%2.58%2.60%-42 bps
Loan Growth (YoY)27.92%42.08%21.39%36.08%39.97%+1,205 bps
Nonperforming Loans / Loans0.43%0.39%0.16%0.10%0.24%-19 bps
Allowance / Loans1.10%0.90%0.95%0.95%0.95%-16 bps
Tier 1 Leverage Ratio9.24%10.95%9.64%9.93%9.61%+37 bps
Equity / Assets9.60%10.77%10.09%10.27%8.97%-63 bps
Liquid Assets / Assets12.98%14.09%5.72%5.10%12.23%-75 bps