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Camden National CAC Held-to-Maturity Debt Securities - Maturing 1 to 5 Years

Held-to-Maturity Debt Securities - Maturing 1 to 5 Years at other companies

Banner Corporation logo
Banner CorporationBANR
$11.06M-41.4%
International Bancshares logo
International BancsharesIBOC
$2.2M0.0%
CNB Financial logo
CNB FinancialCCNE
Mid Penn Bancorp logo
Mid Penn BancorpMPB

Other financials

Income statement

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Revenue$64.3M+7.1%
Net income$21.9M+199%
EPS (diluted)$1.29+200%

Balance sheet

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Cash & equivalents$133.7M-39.0%
Total debt$514.3M-9.4%
Total equity$710.0M+10.9%
Total assets$7.0B0.0%

Cash flow

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Operating cash flow$20.0M+1,835%
CapEx$1.8M+0.9%
Free cash flow$18.2M+2,608%

Valuation

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Market cap$899.35M+38.0%
Enterprise value$1.28B+28.0%
P/E11.3×-2.6×
P/S3.5×+0.1×

Profitability

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Net margin30.7%+6.6pp
FCF margin29.7%

Returns & leverage

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Return on equity11.8%+3.6pp
Debt / equity0.7×-0.2×

Where this comes from

Reported directly by Camden National in its filing.

Tagged under the XBRL concept us-gaap:HeldToMaturitySecuritiesDebtMaturitiesAfterOneThroughFiveYearsFairValue.

The official record: Camden National’s 10-Q, filed May 7, 2026, on SEC EDGAR. View the filing →

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Questions, answered.

What is Camden National's held-to-maturity debt securities - maturing 1 to 5 years?
Camden National (CAC) reported held-to-maturity debt securities - maturing 1 to 5 years of $9.5M in Q1 2026.
How has Camden National's held-to-maturity debt securities - maturing 1 to 5 years changed year-over-year?
Camden National's held-to-maturity debt securities - maturing 1 to 5 years increased by 29.3% year-over-year, from $7.35M to $9.5M.
What is the long-term trend for Camden National's held-to-maturity debt securities - maturing 1 to 5 years?
Over 5 years (2020 to 2025), Camden National's held-to-maturity debt securities - maturing 1 to 5 years has grown at a 59.2% compound annual growth rate (CAGR), from $547K to $5.6M.
What does held-to-maturity debt securities - maturing 1 to 5 years mean?
This represents the amortized cost of debt securities that the bank intends to hold until maturity, with a remaining term of one to five years. It reflects the bank's medium-term investment strategy and interest rate risk management. This metric helps investors gauge the stability of the bank's long-term asset base.