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Time Deposit Maturities, Year Three

PNC Financial Services Time Deposit Maturities, Year Three remained flat by 0.0% to $100.00M in Q4 2025 compared to the prior quarter. Year-over-year, this metric was flat by 0.0%, from $100.00M to $100.00M. Over 5 years (FY 2020 to FY 2025), Time Deposit Maturities, Year Three shows a downward trend with a -24.2% CAGR.

Analysis

StatementBalance Sheet Statement
SectionOther
CategoryLiquidity
SignalContext dependent
VolatilityStable
First reportedQ4 2017
Last reportedQ4 2025

How to read this metric

Provides insight into the bank's medium-to-long-term funding stability and cost of capital expectations.

Detailed definition

This represents the total principal amount of time deposits scheduled to mature in the third year from the reporting dat...

Peer comparison

Standard disclosure for banks to show the distribution of their deposit liabilities over time.

Metric ID: other_time_deposit_maturities_year_three

Historical Data

5 periods
 Q4 '21Q4 '22Q4 '23Q4 '24Q4 '25
Value$300.00M$200.00M$100.00M$100.00M$100.00M
QoQ Change-33.3%-50.0%+0.0%+0.0%
YoY Change-33.3%-50.0%+0.0%+0.0%
Range$100.00M$300.00M
CAGR-66.7%
Avg YoY Growth-20.8%
Median YoY Growth-16.7%
Current Streak2 quarters growth

Time Deposit Maturities, Year Three at Other Companies

Frequently Asked Questions

What is PNC Financial Services's time deposit maturities, year three?
PNC Financial Services (PNC) reported time deposit maturities, year three of $100.00M in Q4 2025.
How has PNC Financial Services's time deposit maturities, year three changed year-over-year?
PNC Financial Services's time deposit maturities, year three decreased by 0.0% year-over-year, from $100.00M to $100.00M.
What is the long-term trend for PNC Financial Services's time deposit maturities, year three?
Over 5 years (2020 to 2025), PNC Financial Services's time deposit maturities, year three has grown at a -24.2% compound annual growth rate (CAGR), from $400.00M to $100.00M.
What does time deposit maturities, year three mean?
The total value of time deposits that will reach their maturity date in the third year.