Bankjitsu
May National Bank Of Ohio
Lorain, OH — National Bank
Acquired Nov 2005
Balance Sheet
Income
Loans
Deposits
Timeline
3
Acquisitions
1
Deposit Composition
May National Bank Of Ohio
All Insured Commercial Banks in Ohio
Deposit Composition
Demand Deposits
—
49,201
All NOW & ATS Accounts
—
84,726
Money Market Deposit Accounts
—
2,319,902
Other Nontransaction Savings
—
194,468
Time Deposits At Or Below Insurance Limit
—
191,990
Fully Insured Brokered Deposits
—
179,549
Time Deposits Above Insurance Limit
500
74,543
Total Deposits in Foreign Offices
—
—
Core Deposits
—
363,628
Deposit Composition Ratios
Demand Deposits as a percent of Average Assets
—
10.375
All NOW & ATS Accounts as a percent of Average Assets
—
10.998
Money Market Deposit Accounts as a percent of Average Assets
—
10.392
Other Savings Deposits as a percent of Average Assets
—
14.948
Time Deposits At or Below Insurance Limit as a percent of Average Assets
—
24.519
Core Deposits as a percent of Average Assets
—
68.194
Fully Insured Brokered Deposits as a percent of Average Assets
—
5.985
Time Deposits Above Insurance Limit as a percent of Average Assets
1.508
10.346
Deposits in Foreign Offices as a percent of Average Assets
—
—