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Westfield Bank, FSB

Westfield Center, OH · Cert 57077

FDIC · 7 branches

Q3 2025

$2.1BAssets
$1.6BLoans
$1.8BDeposits
$215.0MEquity
Loan mix
58%RE $887.7M36%C&I $559.6M6%Consumer $96.0MQ3 2024Q3 2025
Deposit mix
77%Interest-bearing $1.4B23%Noninterest $0.4BQ3 2024Q3 2025

NIM

4.24%Q3 ’234.75%Q3 ’244.92%Q3 ’25-4%+19%

Non-interest income vs. expense

1.97%Q3 ’232.05%Q3 ’242.17%Q3 ’25-8%+22%

Financial Results

Return on Assets (YTD, annualized)

1.00%+19 bps YoY

Net Interest Margin (YTD, annualized)

3.03%+48 bps YoY

Efficiency Ratio (YTD, annualized)

62.68%-207 bps YoY

Tier 1 Leverage Ratio

10.17%-135 bps YoY

Year to date, annualized, through each quarter.

MetricQ3 2024Q4 2024Q1 2025Q2 2025Q3 2025YoY ΔTrend
Return on Assets0.81%0.89%0.83%0.86%1.00%+19 bps
Net Interest Margin2.55%2.58%2.83%2.96%3.03%+48 bps
Non-Interest Burden1.41%1.39%1.64%1.76%1.71%+30 bps
Loan Growth (YoY)-2.26%-1.98%-1.07%2.45%3.39%+565 bps
Nonperforming Loans / Loans0.19%0.10%0.10%0.24%0.24%+4 bps
Allowance / Loans1.19%1.19%1.19%1.22%1.22%+3 bps
Tier 1 Leverage Ratio11.53%11.79%11.81%12.28%10.17%-135 bps
Equity / Assets11.53%11.42%11.49%12.19%10.42%-111 bps
Liquid Assets / Assets3.63%4.46%6.18%1.59%1.66%-196 bps