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Cibm Bank

Champaign, IL · Cert 11729 · Cib Marine Bancshares Inc.

State charter, non-member · FDIC · 9 branches

Q2 2026

$819.7MAssets
$667.7MLoans
$669.0MDeposits
$80.6MEquity
Loan mix
87%RE $579.8M13%C&I $89.7M0%Consumer $0.0MQ2 2025Q2 2026
Deposit mix
86%Interest-bearing $577.8M14%Noninterest $91.2MQ2 2025Q2 2026

NIM

5.31%Q2 ’245.25%Q2 ’255.25%Q2 ’26+14%+13%

Non-interest income vs. expense

2.88%Q2 ’242.91%Q2 ’252.90%Q2 ’26+124%+6%

Financial Results

Return on Assets (YTD, annualized)

0.48%+12 bps YoY

Net Interest Margin (YTD, annualized)

3.00%+34 bps YoY

Efficiency Ratio (YTD, annualized)

80.89%-500 bps YoY

Tier 1 Leverage Ratio

9.91%+26 bps YoY

Year to date, annualized, through each quarter.

MetricQ2 2025Q3 2025Q4 2025Q1 2026Q2 2026YoY ΔTrend
Return on Assets0.36%0.42%0.30%0.39%0.48%+12 bps
Net Interest Margin2.66%2.74%2.76%2.95%3.00%+34 bps
Non-Interest Burden2.16%2.18%2.22%2.29%2.30%+14 bps
Loan Growth (YoY)-8.67%-8.78%-5.00%-2.42%-0.79%+787 bps
Nonperforming Loans / Loans1.92%1.47%1.46%1.33%1.08%-85 bps
Allowance / Loans1.31%1.32%1.25%1.29%1.18%-12 bps
Tier 1 Leverage Ratio9.65%10.06%9.71%9.90%9.91%+26 bps
Equity / Assets9.83%10.05%9.77%9.82%9.84%0 bps
Liquid Assets / Assets0.30%0.84%0.23%0.30%0.33%+3 bps