Company: CVBF
Filing Date: 2025-02-28
Form Type: 10-K
Source: 0000950170-25-029985
Chunk: 163

Company: CVB FINANCIAL CORP
Filing Date: 2025-02-28
Form: 10-K
Item: Item 1B
Chunk 163
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 were originated prior to 2020. 

57

The table below provides the maturity distribution for held-for-investment total gross loans as of December 31, 2024. The loan amounts are based on contractual maturities although the borrowers have the ability to prepay the loans. Amounts are also classified according to repricing opportunities or rate sensitivity. 

Loan Maturities and Interest Rate Category 

    WithinOne Year

    After OneBut WithinFive Years

    AfterFive Years

    Total

    (Dollars in thousands)

    Loan Portfolio by Type:

    Commercial real estate
     
    $
    312,596

    $
    2,058,857

    $
    4,135,999

    $
    6,507,452

    Construction

    16,082

    —

    —

    16,082

    SBA

    9,528

    30,534

    232,951

    273,013

    SBA - PPP

    626

    148

    —

    774

    Commercial and industrial

    342,827

    374,659

    207,692

    925,178

    Dairy & livestock and agribusiness

    380,820

    38,877

    207

    419,904

    Municipal lease finance receivables

    979

    9,059

    56,076

    66,114

    SFR mortgage

    1

    3,209

    265,962

    269,172

    Consumer and other loans

    9,666

    11,725

    37,352

    58,743

    Total gross loans
     
    $
    1,073,125

    $
    2,527,068

    $
    4,936,239

    $
    8,536,432

    Amount of Loans based upon:

    Fixed Rates
     
    $
    278,034

    $
    1,866,169

    $
    3,204,060

    $
    5,348,263

    Floating or adjustable rates

    795,091

    660,899

    1,732,179

    3,188,169

    Total loans,