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Letter portraitLegal landscapeQuarterYTD

American Commercial Bank & Trust, National Association

Ottawa, IL · Cert 3719 · First Ottawa Bancshares Inc.

National charter · OCC · 11 branches

Q2 2026

$2.1BAssets
$1.8BLoans
$1.8BDeposits
$188.9MEquity
Loan mix
72%RE $1.2B28%C&I $0.5B0%Consumer $0.0BQ2 2025Q2 2026
Deposit mix
76%Interest-bearing $1.4B24%Noninterest $0.4BQ2 2025Q2 2026

NIM

5.96%Q2 ’245.99%Q2 ’256.14%Q2 ’26+6%+10%

Non-interest income vs. expense

2.02%Q2 ’242.05%Q2 ’252.08%Q2 ’26-1%+19%

Financial Results

Return on Assets (YTD, annualized)

1.34%-1 bps YoY

Net Interest Margin (YTD, annualized)

3.91%+34 bps YoY

Efficiency Ratio (YTD, annualized)

50.85%-15 bps YoY

Tier 1 Leverage Ratio

9.34%+21 bps YoY

Year to date, annualized, through each quarter.

MetricQ2 2025Q3 2025Q4 2025Q1 2026Q2 2026YoY ΔTrend
Return on Assets1.35%1.46%1.46%1.23%1.34%-1 bps
Net Interest Margin3.57%3.53%3.54%3.83%3.91%+34 bps
Non-Interest Burden1.59%1.45%1.45%1.90%1.89%+30 bps
Loan Growth (YoY)14.30%14.51%20.06%16.80%13.08%-121 bps
Nonperforming Loans / Loans0.57%0.54%0.38%0.10%0.29%-28 bps
Allowance / Loans1.46%1.49%1.40%1.47%1.49%+3 bps
Tier 1 Leverage Ratio9.12%9.04%9.08%9.10%9.34%+21 bps
Equity / Assets8.74%8.77%8.76%8.93%9.13%+39 bps
Liquid Assets / Assets2.31%4.35%1.32%1.63%1.35%-96 bps