Annual report pursuant to Section 13 and 15(d)

REGULATORY MATTERS (Tables)

v3.22.4
REGULATORY MATTERS (Tables)
12 Months Ended
Dec. 31, 2022
Regulatory matters [Abstract]  
Schedule of Company and Bank's actual capital amounts and ratios
To Be Well
 
-
Capitalized Under
Required
Prompt
For Capital
Corrective
Actual
Adequacy Purposes
Action Provisions
(Dollars in Thousands)
Amount
Ratio
Amount
Ratio
Amount
Ratio
2022
Common Equity Tier 1:
CCBG
$
 
342,246
12.64%
$
121,805
4.50%
*
*
CCB
365,616
13.51%
121,812
4.50%
$
175,950
6.50%
Tier 1 Capital:
CCBG
 
393,246
14.53%
162,406
6.00%
*
*
CCB
365,616
13.51%
162,415
6.00%
216,554
8.00%
Total
 
Capital:
CCBG
420,099
15.52%
216,542
8.00%
*
*
CCB
392,469
14.50%
216,554
8.00%
270,692
10.00%
Tier 1 Leverage:
CCBG
393,246
9.06%
173,546
4.00%
*
*
CCB
365,616
8.43%
173,505
4.00%
216,881
5.00%
2021
Common Equity Tier 1:
CCBG
$
 
310,947
13.86%
$
100,925
4.50%
*
*
CCB
346,959
15.50%
100,725
4.50%
$
145,491
6.50%
Tier 1 Capital:
CCBG
361,947
16.14%
134,566
6.00%
*
*
CCB
346,959
15.50%
134,300
6.00%
179,066
8.00%
Total
 
Capital:
CCBG
384,743
17.15%
179,422
8.00%
*
*
CCB
369,754
16.52%
179,066
8.00%
223,833
10.00%
Tier 1 Leverage:
CCBG
361,947
8.95%
161,749
4.00%
*
*
CCB
346,959
8.59%
161,515
4.00%
201,894
5.00%
*
 
Not applicable to bank holding companies.