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OceanFirst Financial OCFC Common equity Tier 1 (to risk-weighted assets), Actual Ratio

Common equity Tier 1 (to risk-weighted assets), Actual Ratio at other companies

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Heritage FinancialHFWA
6.5%0.0pp
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Valley National BankVLY
11%+0.2pp
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BlackrockBLK
114%-37.9pp

Other financials

Income statement

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Revenue$103.2M+5.4%
Net income$20.5M-4.7%
EPS (diluted)$0.36+2.9%

Balance sheet

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Cash & equivalents$137.0M-16.3%
Total debt$1.5B+29.7%
Total equity$1.7B-2.3%
Total assets$14.6B+9.4%

Cash flow

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Operating cash flow$25.2M+1,512%
CapEx$2.0M+5.2%
Free cash flow$23.3M+739%

Valuation

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Market cap$1.08B+11.0%
Enterprise value$2.46B+24.3%
P/E15.4×+5.0×
P/S2.6×+0.1×

Profitability

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Net margin17.1%-7.2pp
FCF margin25.9%

Returns & leverage

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Return on equity4.1%-1.4pp
Debt / equity0.9×+0.2×

Where this comes from

Reported directly by OceanFirst Financial in its filing.

Tagged under the XBRL concept ocfc:CommonEquityTierOneCapitalToRiskWeightedAssets.

The official record: OceanFirst Financial’s 10-K, filed February 27, 2026, on SEC EDGAR. View the filing →

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Questions, answered.

What is OceanFirst Financial's common equity tier 1 (to risk-weighted assets), actual ratio?
OceanFirst Financial (OCFC) reported common equity tier 1 (to risk-weighted assets), actual ratio of 7% in Q4 2025.
How has OceanFirst Financial's common equity tier 1 (to risk-weighted assets), actual ratio changed year-over-year?
OceanFirst Financial's common equity tier 1 (to risk-weighted assets), actual ratio decreased by 0.0% year-over-year, from 7% to 7%.
What is the long-term trend for OceanFirst Financial's common equity tier 1 (to risk-weighted assets), actual ratio?
Over 5 years (2020 to 2025), OceanFirst Financial's common equity tier 1 (to risk-weighted assets), actual ratio has grown at a 0.0% compound annual growth rate (CAGR), from 7% to 7%.
What does common equity tier 1 (to risk-weighted assets), actual ratio mean?
This ratio measures the core equity capital of a bank relative to its total risk-weighted assets, serving as a primary indicator of financial strength and solvency. It demonstrates the bank's ability to absorb losses while maintaining operations during periods of economic stress. A higher ratio indicates a more robust capital position and greater regulatory compliance.