Annual report pursuant to Section 13 and 15(d)

REGULATORY MATTERS (Tables)

v3.19.3.a.u2
REGULATORY MATTERS (Tables)
12 Months Ended
Dec. 31, 2019
Banking and Thrift [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
2019
Common Equity Tier 1:
CCBG $   273,676 14.47% $ 85,131 4.50% * *
CCB 304,340 16.14% 84,867 4.50% $ 122,585 6.50%
Tier 1 Capital:
CCBG    324,676 17.16% 113,509 6.00% * *
CCB 304,340 16.14% 113,156 6.00% 150,874 8.00%
Total Capital:
CCBG 338,582 17.90% 151,345 8.00% * *
CCB 318,245 16.87% 150,874 8.00% 188,593 10.00%
Tier 1 Leverage:
CCBG 324,676 11.25% 115,459 4.00% * *
CCB 304,340 10.57% 115,168 4.00% 143,960 5.00%
2018
Common Equity Tier 1:
CCBG $   249,774 13.58% $ 82,748 4.50% * *
CCB 290,014 15.82% 82,503 4.50% $ 119,172 6.50%
Tier 1 Capital:
CCBG 300,774 16.36% 110,331 6.00% * *
CCB 290,014 15.82% 110,005 6.00% 146,673 8.00%
Total Capital:
CCBG 314,984 17.13% 147,108 8.00% * *
CCB 304,224 16.59% 146,673 8.00% 183,341 10.00%
Tier 1 Leverage:
CCBG 300,774 10.89% 110,491 4.00% * *
CCB 290,014 10.53% 110,216 4.00% 137,770 5.00%
* Not applicable to bank holding companies.