Carter Bankshares, Inc. (CARE)
↓ Download CSV- Sector Finance & Real Estate
- Incorporated VA
- Fiscal year ends Dec 31
In fiscal 2025, Carter Bankshares, Inc. reported revenue of $20.32M, up 4.6% from the prior year. The company was profitable, with a net margin of 154.4%. It held $4.85B in total assets against $4.43B in total liabilities.
Key ratios (FY2025)
154.4%
Net margin
7.5%
Return on equity
+4.6%
Revenue growth (YoY)
| Metric (FY) | 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 |
|---|---|---|---|---|---|---|---|---|
| Revenue | $20.32M | $19.41M | $17.27M | $18.33M | $17.49M | $17.99M | $12.78M | — |
| Net Income | $31.36M | $24.52M | $23.38M | $50.12M | $31.59M | -$45.86M | $26.57M | — |
| EPS (Diluted) | $1.38 | $1.06 | $1.00 | $2.03 | $1.19 | $-1.74 | $1.01 | — |
| Total Assets | $4.85B | $4.66B | $4.51B | $4.20B | $4.13B | $4.18B | — | — |
| Total Liabilities | $4.43B | $4.27B | $4.16B | $3.88B | $3.73B | $3.74B | — | — |
| Shareholders' Equity | $419.70M | $384.31M | $351.24M | $328.63M | $407.60M | $440.17M | $473.11M | $435.96M |
| Cash & Equivalents | — | — | — | — | $277.80M | $241.94M | — | — |
| Operating Cash Flow | $39.86M | $36.94M | $46.73M | $70.79M | $77.54M | $7.70M | $38.29M | — |
| Capital Expenditures | $8.05M | $8.13M | $9.80M | $5.89M | $8.48M | $10.12M | $8.45M | — |
| Shares Outstanding | 22.46M | 22.82M | 23.24M | 24.60M | 26.34M | 26.38M | 26.26M | — |
| Dividends Per Share | — | — | — | — | — | $0.14 | — | — |