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Regions Financial Corp (RF)

Regions Financial Corp (RF)
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[[ session ]] by (Cboe BZX)
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Balance Sheet for [[ item.sessionDateDisplayLong ]]

Fiscal Year End Date: 12/31

(Values in U.S. thousands)
  12-2010 12-2009 12-2008 12-2007 12-2006
Assets
Cash & Cash Equivalents 1,643,000 2,052,000 2,643,000 3,720,365 3,550,742
Federal Funds Sold 396,000 379,000 790,000 993,070 896,075
Securities And Investments 24,429,000 27,139,000 19,947,000 18,460,410 20,005,054
Interest Bearing Deposits 4,880,000 5,580,000 7,540,000 31,706 270,601
Loans Gross 82,864,000 90,674,000 97,419,000 95,378,840 94,550,600
Allowance For Loan Losses -3,185,000 -3,114,000 -1,826,000 -1,321,244 -1,055,953
Receivables N/A N/A N/A N/A 570,063
PPE Net 2,569,000 2,668,000 2,786,000 2,610,851 2,398,494
Intangibles 6,213,000 6,307,000 6,347,000 12,572,810 12,508,355
Other assets 12,542,000 10,633,000 10,602,000 8,594,892 9,674,969
Total Assets $132,351,000 $142,318,000 $146,248,000 $141,041,700 $143,369,000
Liabilities
Total deposits 94,614,000 98,680,000 90,904,000 94,774,970 101,228,000
Federal Funds Purchased 2,716,000 1,893,000 3,143,000 8,820,235 7,676,254
Short Term Debt 1,221,000 1,775,000 12,679,000 2,299,887 1,990,817
Long Term Debt 13,190,000 18,464,000 19,231,000 11,324,790 8,642,649
Other liabilities 3,876,000 3,625,000 3,478,000 3,998,818 3,129,880
Total Liabilities $115,617,000 $124,437,000 $129,435,000 $121,218,700 $122,667,600
Shareholders' Equity
Shares Outstanding, K 1,257,754 1,192,646 694,632 693,601 731,742
Preferred Shares 3,380,000 3,343,000 3,307,000 N/A N/A
Common Shares 13,000 12,000 7,000 7,347 7,303
Additional Paid Capital 19,050,000 18,781,000 16,815,000 16,544,650 16,339,730
Treasury Shares 1,402,000 1,409,000 1,425,000 1,371,000 8,000
Retained earnings -4,047,000 -3,235,000 -1,869,000 4,439,505 4,493,245
Other shareholders' equity -260,000 389,000 -22,000 202,528 -130,828
TOTAL $16,734,000 $17,881,000 $16,813,000 $19,823,030 $20,701,450
Total Liabilities And Equity $132,351,000 $142,318,000 $146,248,000 $141,041,730 $143,369,050
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