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REGULATORY CAPITAL MATTERS (Tables)
12 Months Ended
Dec. 31, 2022
Federal Home Loan Banks [Abstract]  
Schedule of Capital Amounts and Ratios
The following table presents the regulatory capital amounts and ratios for the Company and the Bank as of the dates indicated:
Minimum Capital RequirementsMinimum Required to Be Well-Capitalized Under Prompt Corrective Action Provisions
($ in thousands)AmountRatioAmountRatioAmountRatio
December 31, 2022
Banc of California, Inc.
Total risk-based capital$1,069,180 14.21 %$601,941 8.00 % N/AN/A
Tier 1 risk-based capital887,717 11.80 %451,456 6.00 % N/AN/A
Common equity tier 1 capital887,717 11.80 %338,592 4.50 % N/AN/A
Tier 1 leverage887,717 9.70 %365,892 4.00 % N/AN/A
Banc of California, NA
Total risk-based capital$1,201,884 16.02 %$600,116 8.00 %$750,145 10.00 %
Tier 1 risk-based capital1,121,049 14.94 %450,087 6.00 %600,116 8.00 %
Common equity tier 1 capital1,121,049 14.94 %337,565 4.50 %487,594 6.50 %
Tier 1 leverage1,121,049 12.25 %365,989 4.00 %457,486 5.00 %
December 31, 2021
Banc of California, Inc.
Total risk-based capital$1,140,480 14.98 %$609,062 8.00 %N/AN/A
Tier 1 risk-based capital955,747 12.55 %456,796 6.00 %N/AN/A
Common equity tier 1 capital860,841 11.31 %342,597 4.50 %N/AN/A
Tier 1 leverage955,747 10.37 %368,610 4.00 %N/AN/A
Banc of California, NA
Total risk-based capital$1,195,050 15.71 %$608,740 8.00 %$760,925 10.00 %
Tier 1 risk-based capital1,110,767 14.60 %456,555 6.00 %608,740 8.00 %
Common equity tier 1 capital1,110,767 14.60 %342,416 4.50 %494,601 6.50 %
Tier 1 leverage1,110,767 12.06 %368,306 4.00 %460,382 5.00 %