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Centerstate Bank Corp (CSFL)

Centerstate Bank Corp (CSFL)
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Financial Summary for [[ item.sessionDateDisplayLong ]]
CenterState Banks, Inc. operates as a bank holding company. Its operating divisions consist of Commercial and Retail Banking, and Correspondent Banking and Capital Market. Commercial and Retail Banking division provides traditional deposit and lending products and services to its commercial and retail customers. Correspondent Banking and Capital Market division offers correspondent bank checking and fed funds purchased products; and safekeeping, bond accounting, and asset and liability consulting services to small to medium size financial institutions primarily in Florida, Alabama and Georgia. CenterState Banks services include demand interest-bearing and noninterest-bearing accounts, money market deposit accounts, time deposits, safe deposit services, cash management, direct deposits, notary services, money orders, night depository, traveler's checks, cashier's checks, domestic collections, savings bonds, bank drafts, automated teller services, drive-in tellers and banking by mail and by Internet. CenterStat

Fiscal Year End Date: 12/31

(Values in U.S. Thousands) Mar, 2020 Dec, 2019 Sep, 2019 Jun, 2019 Mar, 2019
Sales 232,550 234,200 232,410 223,200 161,580
Sales Growth -0.70% +0.77% +4.13% +38.14% -1.83%
Net Income 35,430 71,130 55,100 54,500 44,620
Net Income Growth -50.19% +29.09% +1.10% +22.14% -11.94%
(Values in U.S. Thousands) Mar, 2020 Dec, 2019 Sep, 2019 Jun, 2019 Mar, 2019
Total Assets 18,596,289 17,142,029 17,420,381 17,036,600 12,587,640
Total Assets Growth +8.48% -1.60% +2.25% +35.34% +2.03%
Total Liabilities 15,726,040 14,245,310 14,562,670 14,146,080 10,560,080
Total Liabilities Growth +10.39% -2.18% +2.94% +33.96% +1.87%
(Values in U.S. Thousands) Mar, 2020 Dec, 2019 Sep, 2019 Jun, 2019 Mar, 2019
Operating Cash Flow 17,980 153,340 112,190 60,780 42,400
Operating Cash Flow Growth -88.27% +36.68% +84.58% +43.35% -78.08%
Net Cash Flow 656,630 122,730 469,950 470,010 228,470
Change in Net Cash Flow +435.02% -73.88% -0.01% +105.72% +163.49%
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