20:17:05 EDT Tue 21 Jul 2026
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WesBanco Announces Second Quarter 2026 Financial Results

2026-07-21 16:15 ET - News Release

WesBanco Announces Second Quarter 2026 Financial Results

PR Newswire

Marked by strong annualized loan growth, top-tier efficiency ratio, and accelerating growth in targeted expansion markets

WHEELING, W.Va., July 21, 2026 /PRNewswire/ -- WesBanco, Inc. ("WesBanco" or "Company") (Nasdaq: WSBC), a diversified, multi-state bank holding company, today announced net income and related earnings per share for the three months ended June 30, 2026. Net income available to common shareholders for the second quarter of 2026 was $88.4 million, with diluted earnings per share of $0.91, compared to $54.9 million and $0.57 per diluted share, respectively, for the second quarter of 2025. For the six months ended June 30, 2026, net income was $172.8 million, or $1.79 per diluted share, compared to $43.4 million, or $0.50 per diluted share, for the 2025 period.

As noted below, WesBanco reported $0.92 of earnings per diluted share, in the second quarter, as compared to $0.91 in the prior year period, when excluding after-tax restructuring and merger-related expenses (non-GAAP measures). On a similar basis and excluding the after-tax day one provision for credit losses on acquired loans, WesBanco reported $1.83 per diluted share, for the six month period, as compared to $1.60 per diluted share last year (non-GAAP measures).

                                                                                                                                                                  For the Three Months Ended June 30,                                               For the Six Months Ended June 30,


                                                                                                                                                             2026                                                   2025                                                              2026                          2025



        
          (unaudited, dollars in thousands,                                                                          Net Income           Diluted                              Net Income             Diluted    Net Income                      Diluted                       Net Income                      Diluted

          except per share amounts)                                                                                                      Earnings                                                    Earnings                            Earnings                                                        Earnings
                                                                                                                                          Per Share                                                   Per Share                           Per Share                                                       Per Share



        Net income available to common shareholders                                                                              $88,437              $0.91                                  $54,884                $0.57       $172,832                         $1.79                           $43,360                         $0.50
(GAAP)



        Add: After-tax restructuring and merger-                                                                                     792               0.01                                   32,434                 0.34          3,726                          0.04                            48,242                          0.56
related expenses



        Add: After-tax day one provision for credit                                                                                                                                                                                                                                         46,926                          0.54
losses on acquired loans



        Adjusted net income available to common                                                                                  $89,229              $0.92                                  $87,318                $0.91       $176,558                         $1.83                          $138,528                         $1.60
shareholders (Non-GAAP) (1)



        
          (1) See non-GAAP financial measures for additional information relating to the calculation of these items.

Financial and operational highlights for the quarter ended June 30, 2026:

  • Generated annualized loan growth of 8.3% over the sequential quarter and 3.5% year-over-year as organic growth across all markets more than offset higher commercial real estate ("CRE") payoffs of approximately $345 million, which impacted year-over-year loan growth by 1.0%
  • Grew commercial loan pipeline to a record $2.3 billion as of June 30, 2026, reflecting strong business development activity and growing opportunities across all markets, with an average loan to deposit ratio of 88.9% that provides substantial capacity to fund loan growth
  • Increased net interest margin 4 basis points year-over-year to 3.63%, primarily driven by lower funding costs and asset repricing
  • Achieved record fee income levels across securities brokerage, digital banking, and service charges on deposits, as well as record levels of trust assets under management and securities account values
  • Improved efficiency ratio more than 1 percentage point both year-over-year and quarter-over-quarter to a record low of 51.2%, primarily due to a focus on driving positive operating leverage
  • Advanced our organic growth strategy and commercial momentum in targeted expansion markets, including Northern Virginia, Tennessee, and South Florida; and, positioning the Florida franchise for continued growth through planned financial center openings during the first half of 2027
  • Recently recognized as one of America's High Growth Companies by Business Insider and one of America's Best Companies by Time

"Our strong second quarter performance reflects the continued success of our relationship-focused banking model and disciplined growth strategy," said Jeff Jackson, President and Chief Executive Officer, WesBanco. "We generated annualized loan growth of more than 8%, expanded our commercial loan pipeline to a record $2.3 billion, and generated positive operating leverage, demonstrating our ability to drive profitable growth across the franchise. With a solid funding position and strong momentum across our markets - particularly our Premier and expansion markets in Northern Virginia, Tennessee, and Florida - we are well-positioned for continued growth."

Balance Sheet

WesBanco's balance sheet, as of June 30, 2026, reflects organic growth and the impact of elevated CRE payoffs. Total assets increased 0.8% year-over-year to $27.8 billion, including total portfolio loans of $19.5 billion and total securities of $4.4 billion. Total portfolio loans increased 3.5% year-over-year due to organic growth of $650 million partially offset by higher CRE payoffs. As anticipated, CRE payoffs continued to remain elevated and totaled approximately $345 million during the second quarter of 2026, consistent with the elevated quarterly levels incurred during the prior nine months. The commercial loan pipeline has grown 90% since year-end to a record $2.3 billion, as of June 30, 2026.

Deposits of $21.6 billion increased 2.1% year-over-year due to organic growth that more than offset the decline in higher cost certificates of deposit (CDs). Despite the closure of 37 financial centers this year, deposits were down only $75 million, or 0.4%, on a sequential quarter basis reflecting the remaining $50 million of brokered deposits that paid off on April 1st and the decline in higher cost CDs. Total deposits excluding CDs increased 4.3% year-over-year and 1.3% annualized sequentially. Total demand deposits represented 49% of total deposits, with the non-interest bearing component representing 24%.

Credit Quality

As of June 30, 2026, credit quality measures have remained in consistent range, from a historical perspective. Non-performing loans remained flat to the first quarter as the three credits added last quarter continue to be addressed. Net charge-offs for the second quarter were 0.02% of total average loans. The allowance for credit losses to total portfolio loans at June 30, 2026 was 1.12% of total loans, or $217.8 million. The second quarter net provision for credit losses of $9.2 million was primarily due to higher loan balances. Excluded from the allowance for credit losses and the related coverage ratio is a remaining unaccreted discount on purchased loans from acquisitions representing 1.41% of total portfolio loans.

Net Interest Margin and Income

The second quarter margin of 3.63% improved 4 basis points year-over-year primarily due to lower funding costs and 6 basis points sequentially due to higher loan yields and lower funding costs. Deposit funding costs of 235 basis points for the second quarter of 2026 decreased 11 basis points from the prior year period and were flat to the first quarter. When including non-interest bearing deposits, deposit funding costs for the second quarter were 178 basis points.

Net interest income for the second quarter of 2026 was $222.2 million, an increase of $5.4 million, or 2.5% year-over-year, reflecting lower FHLB borrowing and deposit costs and higher securities yields. For the six months ended June 30, 2026, net interest income of $437.6 million increased $62.3 million, or 16.6%, primarily due to the reasons discussed for the three-month period comparison and higher loan balances.

Non-Interest Income

For the second quarter of 2026, non-interest income of $53.6 million increased $9.7 million, or 22.0%, from the second quarter of 2025 due primarily to higher net swap and valuation income, service charges on deposits, and other income. Gross swap fees were $2.8 million in the second quarter, compared to $1.4 million in the prior year period, while the fair value adjustment was $0.3 million, compared to a loss of $0.7 million in the prior year period. Service charges on deposits increased $1.1 million year-over-year due to increased general spending and higher transaction volumes from our larger customer base, as well as an increase in monthly fees that took effect during June. Other income for the second quarter of 2026 included a non-recurring $4.8 million gain related to the freezing of future service for actively employed participants in the pension plan. Mortgage banking income decreased $1.3 million from the prior year period primarily due to more mortgage volume going into portfolio loans.

Primarily reflecting the items discussed above, as well as trust fees and net securities brokerage revenue, non-interest income, for the six months ended June 30, 2026, increased $16.8 million, or 21.4%, year-over-year to $95.5 million. Reflecting record asset levels, trust fees and net securities brokerage revenue increased $1.9 million and $1.1 million, respectively, due to the addition of PFC wealth clients, market value appreciation, and organic growth.

Non-Interest Expense

Non-interest expense, excluding restructuring and merger-related costs, for the three months ended June 30, 2026 was $148.1 million, a $2.6 million, or 1.8%, increase year-over-year primarily due to higher salaries and wages offset by discretionary expense management. Salaries and wages of $66.4 million increased due to recent hiring efforts, primarily in Florida, and bonus accrual adjustments. FDIC insurance expense of $4.2 million decreased due to a lower assessment rate associated with our improved financial ratios. Equipment and software of $2.3 million, which was consistent with the last several quarters, decreased $1.5 million year-over-year due to the cost of operating two core systems in the prior year related to the PFC acquisition until the conversion to one platform in mid-May 2025. Amortization of intangible assets of $7.1 million, which was consistent with the last couple quarters, decreased $2.1 million year-over-year due to the core deposit intangible asset that was created from the acquisition of PFC in the prior year. Restructuring and merger-related expenses decreased $40.1 million from the prior year period, which included costs associated with the closing of the PFC acquisition.

Excluding restructuring and merger-related expenses, non-interest expense during the first half of 2026 of $291.1 million increased $31.6 million, or 12.2%, compared to the prior year period, due primarily to the expenses described above.

Capital

WesBanco continues to maintain what we believe are strong regulatory capital ratios, as both consolidated and bank-level regulatory capital ratios are well above the applicable "well-capitalized" standards promulgated by bank regulators and the BASEL III capital standards. At June 30, 2026, Tier I leverage was 9.83%, Tier I risk-based capital ratio was 11.72%, common equity Tier 1 capital ratio ("CET 1") was 10.70%, and total risk-based capital was 14.18%. In addition, the tangible common equity to tangible assets ratio was 8.44%.

During the second quarter, WesBanco repurchased 0.3 million shares of its outstanding common stock on the open market at a total cost of $9.7 million, or $33.55 per share. As of June 30, 2026, approximately 4.5 million shares remained for repurchase under the combination of the 4.0 million share repurchase authorization approved by WesBanco's Board of Directors on May 20, 2026 and the remainder of the February 24, 2022 authorization.

Conference Call and Webcast

WesBanco will host a conference call to discuss the Company's financial results for the second quarter of 2026 at 9:00 a.m. ET on Wednesday, July 22, 2026. Interested parties can access the live webcast of the conference call through the Investor Relations section of the Company's website, www.wesbanco.com. Participants can also listen to the conference call by dialing 888-347-6607, or 1-412-902-4290 for international callers, and asking to be joined into the WesBanco call. Please log in or dial in at least 10 minutes prior to the start time to ensure a connection.

A replay of the conference call will be available by dialing 855-669-9658, or 1-412-317-0088 for international callers, and providing the access code of 4494073. The replay will begin at approximately 11:00 a.m. ET on July 22, 2026, and end at 12 a.m. ET on August 6, 2026. An archive of the webcast will be available for one year on the Investor Relations section of the Company's website (www.wesbanco.com).

Forward-Looking Statements

Forward-looking statements in this report relating to WesBanco's plans, strategies, objectives, expectations, intentions and adequacy of resources, are made pursuant to the safe harbor provisions of the Private Securities Litigation Reform Act of 1995. The information contained in this report should be read in conjunction with WesBanco's Form 10-K for the year ended December 31, 2025 and documents subsequently filed by WesBanco with the Securities and Exchange Commission ("SEC") including WesBanco's Form 10-Q for the quarter ended March 31, 2026, which are available at the SEC's website, www.sec.gov or at WesBanco's website, www.WesBanco.com. Investors are cautioned that forward-looking statements, which are not historical fact, involve risks and uncertainties, including those detailed in WesBanco's most recent Annual Report on Form 10-K filed with the SEC under "Risk Factors" in Part I, Item 1A. Such statements are subject to important factors that could cause actual results to differ materially from those contemplated by such statements, including, without limitation, changes in interest rates, spreads on earning assets and interest-bearing liabilities, and associated interest rate sensitivity; sources of liquidity available to WesBanco and its related subsidiary operations; potential future credit losses and the credit risk of commercial, real estate, and consumer loan customers and their borrowing activities; actions of the Federal Reserve Board, the Federal Deposit Insurance Corporation, the Consumer Financial Protection Bureau, the SEC, the Financial Institution Regulatory Authority, the Municipal Securities Rulemaking Board, the Securities Investors Protection Corporation, and other regulatory bodies; potential legislative and federal and state regulatory actions and reform, including, without limitation, the impact of the implementation of the Dodd-Frank Act; adverse decisions of federal and state courts; fraud, scams and schemes of third parties; cyber-security breaches; competitive conditions in the financial services industry; rapidly changing technology affecting financial services; marketability of debt instruments and corresponding impact on fair value adjustments; and/or other external developments materially impacting WesBanco's operational and financial performance. WesBanco does not assume any duty to update forward-looking statements.

While forward-looking statements reflect our good-faith beliefs, they are not guarantees of future performance. All forward-looking statements are necessarily only estimates of future results. Accordingly, actual results may differ materially from those expressed in or contemplated by the particular forward-looking statement, and, therefore, you are cautioned not to place undue reliance on such statements. Further, any forward-looking statement speaks only as of the date on which it is made, and we undertake no obligation to update any forward-looking statement to reflect events or circumstances after the date on which the statement is made or to reflect the occurrence of unanticipated events or circumstances, except as required by applicable law.

Non-GAAP Financial Measures

In addition to the results of operations presented in accordance with Generally Accepted Accounting Principles (GAAP), WesBanco's management uses, and this presentation contains or references, certain non-GAAP financial measures, such as pre-tax pre-provision income, tangible common equity/tangible assets; net income excluding after-tax restructuring and merger-related expenses and excluding after-tax day one provision for credit losses on acquired loans; efficiency ratio; return on average assets; and return on average tangible equity. WesBanco believes these financial measures provide information useful to investors in understanding our operational performance and business and performance trends which facilitate comparisons with the performance of others in the financial services industry. Although WesBanco believes that these non-GAAP financial measures enhance investors' understanding of WesBanco's business and performance, these non-GAAP financial measures should not be considered an alternative to GAAP. The non-GAAP financial measures contained therein should be read in conjunction with the audited financial statements and analysis as presented in the Annual Report on Form 10-K as well as the unaudited financial statements and analyses as presented in the Quarterly Reports on Forms 10-Q for WesBanco and its subsidiaries, as well as other filings that the company has made with the SEC.

About WesBanco, Inc.

With over 150 years as a community-focused, regional financial services partner, WesBanco Inc. (NASDAQ: WSBC) and its subsidiaries build lasting prosperity through relationships and solutions that empower our customers for success in their financial journeys. Customers across our ten-state footprint choose WesBanco for the comprehensive range and personalized delivery of our retail and commercial banking solutions, as well as trust, brokerage, wealth management and insurance services, all designed to advance their financial goals. Through the strength of our teams, we leverage large bank capabilities and local focus to help make every community we serve a better place for people and businesses to thrive. Headquartered in Wheeling, West Virginia, WesBanco has $27.8 billion in total assets, with our Trust and Investment Services holding $8.2 billion of assets under management and securities account values (including annuities) of $2.7 billion through our broker/dealer, as of June 30, 2026. Learn more at www.wesbanco.com and follow @WesBanco on Facebook, LinkedIn and Instagram.


 
            WESBANCO, INC.



 
            Consolidated Selected Financial Highlights                                                                                                                                                                                                                                                      Page 5



 
            (unaudited, dollars in thousands, except shares and per share amounts)




                                                                                                                                                                                                                                               For the Three Months Ended                                             For the Six Months Ended



 
            Statement of Income                                                                                                                                June 30,                                                           June 30,



 
            Interest and dividend income                                                                                                                           2026                                                                2025                               % Change       2026         2025                                     % Change


                                                                                                                           
          Loans, including fees                                                                        $287,916                               $290,104       (0.8)    $568,904                                     $508,512       11.9


                                                                                                                           
          Interest and dividends on securities:


                                                                                                                           
          Taxable                                                                                        32,083                                 31,066         3.3       63,526                                       53,314       19.2


                                                                                                                           
          Tax-exempt                                                                                      4,833                                  4,616         4.7        9,657                                        9,145        5.6


                                                                                                                                                                             
          Total interest and dividends on securities     36,916                                 35,682         3.5       73,183                                       62,459       17.2


                                                                                                                           
          Other interest income                                                                           8,219                                 10,596      (22.4)      16,587                                       18,643     (11.0)



           Total interest and dividend income                                                                                                                     333,051                                                             336,382                                  (1.0)    658,674      589,614                                         11.7



 
            Interest expense


                                                                                                                           
          Interest bearing demand deposits                                                               30,567                                 30,405         0.5       59,935                                       59,782        0.3


                                                                                                                           
          Money market deposits                                                                          33,650                                 36,287       (7.3)      65,804                                       57,422       14.6


                                                                                                                           
          Savings deposits                                                                               11,029                                  8,670        27.2       21,147                                       16,029       31.9


                                                                                                                           
          Certificates of deposit                                                                        20,590                                 21,442       (4.0)      43,181                                       39,999        8.0


                                                                                                                                                                             
          Total interest expense on deposits             95,836                                 96,804       (1.0)     190,067                                      173,232        9.7


                                                                                                                           
          Federal Home Loan Bank borrowings                                                              10,390                                 16,683      (37.7)      21,705                                       29,718     (27.0)


                                                                                                                           
          Other short-term borrowings                                                                       565                                    816      (30.8)       1,163                                        1,938     (40.0)


                                                                                                                           
          Subordinated debt and junior subordinated debt                                                  4,098                                  5,310      (22.8)       8,177                                        9,438     (13.4)


                                                                                                                                                                             
          Total interest expense                        110,889                                119,613       (7.3)     221,112                                      214,326        3.2



 
            Net interest income                                                                                                                                 222,162                                                             216,769                                    2.5     437,562      375,288                                         16.6


                                                                                                                           
          Provision for credit losses                                                                     9,185                                  3,218       185.4        8,288                                       72,101     (88.5)



 Net interest income after provision for credit losses                                                                                                            212,977                                                             213,551                                  (0.3)    429,274      303,187                                         41.6



 
            Non-interest income


                                                                                                                           
          Trust fees                                                                                      9,830                                  9,657         1.8       20,272                                       18,355       10.4


                                                                                                                           
          Service charges on deposits                                                                    11,546                                 10,484        10.1       22,507                                       19,070       18.0


                                                                                                                           
          Digital banking income                                                                          7,410                                  7,325         1.2       14,008                                       12,730       10.0


                                                                                                                           
          Net swap fee and valuation income                                                               3,135                                    746       320.2        4,197                                        1,706      146.0


                                                                                                                           
          Net securities brokerage revenue                                                                3,670                                  3,348         9.6        7,142                                        6,049       18.1


                                                                                                                           
          Bank-owned life insurance                                                                       4,317                                  3,450        25.1        8,127                                        6,878       18.2


                                                                                                                           
          Mortgage banking income                                                                         1,055                                  2,364      (55.4)       1,974                                        3,504     (43.7)


                                                                                                                           
          Net securities gains                                                                            1,644                                  1,410        16.6        1,631                                        1,092       49.4


                                                                                                                                      Net gains on other real estate owned and other assets                                           2,036                                    111          NM       2,583                                           71         NM


                                                                                                                           
          Other income                                                                                    8,989                                  5,062        77.6       13,021                                        9,167       42.0


                                                                                                                                                                             
          Total non-interest income                      53,632                                 43,957        22.0       95,462                                       78,622       21.4



 
            Non-interest expense


                                                                                                                           
          Salaries and wages                                                                             66,402                                 60,153        10.4      130,366                                      108,730       19.9


                                                                                                                           
          Employee benefits                                                                              19,148                                 18,857         1.5       36,759                                       31,827       15.5


                                                                                                                           
          Net occupancy                                                                                   7,863                                  8,119       (3.2)      16,393                                       15,897        3.1


                                                                                                                           
          Equipment and software                                                                         15,640                                 17,140       (8.8)      31,317                                       30,190        3.7


                                                                                                                           
          Marketing                                                                                       2,271                                  1,864        21.8        3,798                                        4,246     (10.6)


                                                                                                                           
          FDIC insurance                                                                                  4,168                                  5,479      (23.9)       8,951                                        9,666      (7.4)


                                                                                                                           
          Amortization of intangible assets                                                               7,141                                  9,204      (22.4)      14,301                                       13,427        6.5


                                                                                                                           
          Restructuring and merger-related expense                                                        1,003                                 41,056      (97.6)       4,716                                       61,066     (92.3)


                                                                                                                           
          Other operating expenses                                                                       25,450                                 24,663         3.2       49,187                                       45,451        8.2


                                                                                                                                                                             
          Total non-interest expense                    149,086                                186,535      (20.1)     295,788                                      320,500      (7.7)



 Income before provision for income taxes                                                                                                                         117,523                                                              70,973                                   65.6     228,948       61,309                                        273.4


                                                                                                                           
           Provision for income taxes                                                                    24,846                                 13,558        83.3       47,635                                       12,886      269.7



 Net Income                                                                                                                                                        92,677                                                              57,415                                   61.4     181,313       48,423                                        274.4



 Preferred stock dividends                                                                                                                                          4,240                                                               2,531                                   67.5       8,481        5,063                                         67.5



 
            Net income available to common shareholders                                                                                                         $88,437                                                             $54,884                                   61.1    $172,832      $43,360                                        298.6







 
            Taxable equivalent net interest income                                                                                                             $223,447                                                            $217,996                                    2.5    $440,129     $377,719                                         16.5





 
            Per common share data



 Net income per common share - basic                                                                                                                                $0.92                                                               $0.57                                   61.4       $1.80        $0.50                                        260.0



 Net income per common share - diluted                                                                                                                               0.91                                                                0.57                                   59.6        1.79         0.50                                        258.0



 Adjusted net income per common share - diluted, excluding certain items (1) (2)                                                                                     0.92                                                                0.91                                    1.1        1.83         1.60                                         14.4



 Dividends declared                                                                                                                                                  0.38                                                                0.37                                    2.7        0.76         0.74                                          2.7



 Book value (period end)                                                                                                                                            40.53                                                               38.28                                    5.9       40.53        38.28                                          5.9



 Tangible book value (period end) (1)                                                                                                                               22.98                                                               20.48                                   12.2       22.98        20.48                                         12.2



 Average common shares outstanding - basic                                                                                                                     96,028,958                                                          95,744,980                                    0.3  96,066,022   86,339,970                                         11.3



 Average common shares outstanding - diluted                                                                                                                   96,703,880                                                          95,808,310                                    0.9  96,506,410   86,466,701                                         11.6



 Period end common shares outstanding                                                                                                                          95,869,209                                                          95,986,023                                  (0.1) 95,869,209   95,986,023                                        (0.1)



 Period end preferred shares outstanding                                                                                                                          230,000                                                             150,000                                   53.3     230,000      150,000                                         53.3





 
            (1) See non-GAAP financial measures for additional information relating to the calculation of this item.



 
            (2) Certain items excluded from the calculation consist of after-tax restructuring and merger-related expenses and the after-tax day one provision for credit losses on acquired loans.



 
            NM = Not Meaningful




 
            WESBANCO, INC.



 
            Consolidated Selected Financial Highlights                                                                                                                                                                                                                                                                             Page 6



 
            (unaudited, dollars in thousands, unless otherwise noted)





 
            Selected ratios


                                                                                                                                                                                                                              For the Six Months Ended


                                                                                                                                                                                                             June 30,


                                                                                                                                                                                                                 2026                          2025                                 % Change





 Return on average assets                                                                                                                                                                                       1.27                          0.36                                   252.78
                                                                                                                                                                                                           
        %                   
        %                                       %



 Return on average assets, excluding certain items (1) (2)                                                                                                          1.29                                         1.14                         13.16



 Return on average equity                                                                                                                                                                                       8.50                          2.51                                   238.65



 Return on average equity, excluding certain items (1) (2)                                                                                                          8.69                                         8.01                          8.49



 Return on average tangible equity (1)                                                                                                                                      15.40                                      5.38                           186.25



 Return on average tangible equity, excluding certain items (1) (2)                                                                                       15.71              14.85                                      5.79



 Return on average tangible common equity (1)                                                                                                                      16.98                                         5.79                        193.26



 Return on average tangible common equity, excluding certain items (1) (2)                                                                                17.33              15.99                                      8.38



 Yield on earning assets (3)                                                                                                                                                 5.41                                      5.46                           (0.92)



 Cost of interest bearing liabilities                                                                                                                                        2.50                                      2.73                           (8.42)



 Net interest spread (3)                                                                                                                                                                                        2.91                          2.73                                     6.59



 Net interest margin (3)                                                                                                                                                                                        3.60                          3.48                                     3.45



 Efficiency (1) (3)                                                                                                                                                                                            51.83                         53.91                                   (3.86)



 Average loans to average deposits                                                                                                                                          88.97                                     89.42                           (0.50)



 Annualized net loan charge-offs/average loans                                                                                                                      0.09                                         0.09



 Effective income tax rate                                                                                                                                                  20.81                                     21.02                           (1.00)










                                                                                                                                                                                                                                             
          
      
 For the Three Months Ended


                                                                                                                                                                                                             June 30,                     Mar. 31,                                Dec. 31,           Sept. 30,           June 30,


                                                                                                                                                                                                                 2026                          2026                                     2025                 2025                2025





 Return on average assets                                                                                                                                                                                       1.29                          1.24                                     1.13                 1.17                0.81
                                                                                                                                                                                                           
        %                            %                                       %                   %                  %



 Return on average assets, excluding certain items (1) (2)                                                                                                          1.30                                         1.29                          1.17                                     1.30                 1.28



 Return on average equity                                                                                                                                                                                       8.63                          8.38                                     7.58                 8.25                5.76



 Return on average equity, excluding certain items (1) (2)                                                                                                          8.71                                         8.67                          7.85                                     9.16                 9.17



 Return on average tangible equity (1)                                                                                                                                      15.56                                     15.25                            13.93                                 15.86                11.27



 Return on average tangible equity, excluding certain items (1) (2)                                                                                       15.69              15.74                                     14.39                            17.48                                 17.16



 Return on average tangible common equity (1)                                                                                                                      17.14                                        16.82                         15.87                                    17.26                12.06



 Return on average tangible common equity, excluding certain items (1) (2)                                                                                17.28              17.37                                     16.39                            19.03                                 18.36



 Yield on earning assets (3)                                                                                                                                                 5.44                                      5.38                             5.51                                  5.58                 5.56



 Cost of interest bearing liabilities                                                                                                                                        2.50                                      2.50                             2.62                                  2.79                 2.69



 Net interest spread (3)                                                                                                                                                                                        2.94                          2.88                                     2.88                 2.79                2.87



 Net interest margin (3)                                                                                                                                                                                        3.63                          3.57                                     3.61                 3.53                3.59



 Efficiency (1) (3)                                                                                                                                                                                            51.17                         52.54                                    51.62                52.13               52.30



 Average loans to average deposits                                                                                                                                          88.89                                     89.05                            88.78                                 89.41                89.47



 Annualized net loan charge-offs and recoveries /average loans                                                                                             0.02               0.16                                      0.06                             0.19                                  0.09



 Effective income tax rate                                                                                                                                                  21.14                                     20.45                            20.51                                 19.10                19.10



 Trust and Investment Services assets under management (4)                                                                                                        $8,227                                       $7,810                        $7,886                                   $7,688               $7,205



 Broker-dealer securities account values (including annuities) (4)                                                                                       $2,704             $2,574                                    $2,481                           $2,588                                $2,554





 
            (1)  See non-GAAP financial measures for additional information relating to the calculation of this item.



 
            (2) Certain items excluded from the calculation can consist of after-tax restructuring and merger-related expenses and the after-tax day one provision for credit losses on acquired loans.



 
            (3) The yield on earning assets, net interest margin, net interest spread and efficiency ratios are presented on a fully



 
                   taxable-equivalent (FTE) and annualized basis. The FTE basis adjusts for the tax benefit of income on certain tax-exempt



 
                   loans and investments.  WesBanco believes this measure to be the preferred industry measurement of net interest income and



 
                   provides a relevant comparison between taxable and non-taxable amounts.



 
            (4) Represents market value at period end, in millions.


 
            WESBANCO, INC.



 
            Consolidated Selected Financial Highlights                                                                                                                                                                                     Page 7



 
            (unaudited, dollars in thousands, except shares)                                                                                                                                                                             % Change



 
            Balance sheet                                                                                                                                      June 30,                        December 31,  June 30, 2026



 
            Assets                                                                                                                                                            2026                      2025                   % Change        2025   to Dec 31,
                                                                                                                                                                                                                                                          2025



 Cash and due from banks                                                                                                                                         $226,961               $402,755                        (43.6)   $204,860         10.8



 Due from banks - interest bearing                                                                                                                                644,813                754,275                        (14.5)    751,249       (14.2)



 Securities:


                                                                                     
 Equity securities, at fair value                                                        19,060                    29,538                     (35.5)      30,809       (38.1)


                                                                                     
 Available-for-sale debt securities, at fair value                                    3,312,972                 3,222,819                        2.8    3,288,332          0.7


                                                                                       Held-to-maturity debt securities (fair values of $1,005,725,
                                                                                        $1,006,110


                                                                                     
 and $1,035,957, respectively)                                                        1,107,751                 1,137,782                      (2.6)   1,132,114        (2.2)


                                                                                                 Allowance for credit losses, held-to-maturity debt securities                  (165)                    (178)                       7.3        (168)         1.8


                                                                                     
 Net held-to-maturity debt securities                                                 1,107,586                 1,137,604                      (2.6)   1,131,946        (2.2)


                                                                                     
           Total securities                                                           4,439,618                 4,389,961                        1.1    4,451,087        (0.3)



 Loans held for sale                                                                                                                                               57,318                123,019                        (53.4)     87,454       (34.5)



 Portfolio loans:


                                                                                     
 Commercial real estate                                                              11,093,370                10,600,210                        4.7   10,938,834          1.4


                                                                                     
 Commercial and industrial                                                            2,949,863                 2,819,096                        4.6    2,863,893          3.0


                                                                                     
 Residential real estate                                                              3,939,813                 3,939,796                        0.0    3,938,585          0.0


                                                                                     
 Home equity                                                                          1,191,809                 1,052,334                       13.3    1,129,394          5.5


                                                                                     
 Consumer                                                                               304,111                   417,190                     (27.1)     355,726       (14.5)



 Total portfolio loans, net of unearned income                                                                                                                 19,478,966             18,828,626                           3.5  19,226,432          1.3



 Allowance for credit losses - loans                                                                                                                            (217,775)             (223,866)                          2.7   (218,749)         0.4


                                                                                     
           Net portfolio loans                                                       19,261,191                18,604,760                        3.5   19,007,683          1.3



 Premises and equipment, net                                                                                                                                      248,200                274,137                         (9.5)    263,240        (5.7)



 Accrued interest receivable                                                                                                                                      102,342                106,410                         (3.8)    106,651        (4.0)



 Goodwill and other intangible assets, net                                                                                                                      1,709,084              1,745,170                         (2.1)  1,723,385        (0.8)



 Bank-owned life insurance                                                                                                                                        562,297                552,051                           1.9     557,512          0.9



 Other assets                                                                                                                                                     545,093                619,038                        (11.9)    543,212          0.3



 
            Total Assets                                                                                                                                    $27,796,917            $27,571,576                           0.8 $27,696,333          0.4





 
            Liabilities



 Deposits:


                                                                                     
 Non-interest bearing demand                                                         $5,287,995                $5,328,181                      (0.8)  $5,376,767        (1.7)


                                                                                     
 Interest bearing demand                                                              5,364,937                 4,865,091                       10.3    5,186,880          3.4


                                                                                     
 Money market                                                                         5,012,414                 4,825,154                        3.9    5,072,039        (1.2)


                                                                                     
 Savings deposits                                                                     3,335,823                 3,192,943                        4.5    3,157,782          5.6


                                                                                     
 Certificates of deposit                                                              2,591,047                 2,943,187                     (12.0)   2,875,372        (9.9)


                                                                                     
           Total deposits                                                            21,592,216                21,154,556                        2.1   21,668,840        (0.4)



 Federal Home Loan Bank borrowings                                                                                                                              1,350,000              1,750,000                        (22.9)  1,200,000         12.5



 Other short-term borrowings                                                                                                                                       88,419                103,666                        (14.7)    110,679       (20.1)



 Subordinated debt and junior subordinated debt                                                                                                                   308,837                357,762                        (13.7)    308,529          0.1


                                                                                     
           Total borrowings                                                           1,747,256                 2,211,428                     (21.0)   1,619,208          7.9



 Accrued interest payable                                                                                                                                          17,567                 25,967                        (32.3)     19,150        (8.3)



 Other liabilities                                                                                                                                                330,193                360,405                         (8.4)    357,222        (7.6)



 
            Total Liabilities                                                                                                                                23,687,232             23,752,356                         (0.3) 23,664,420          0.1





 
            Shareholders' Equity



 Preferred stock, no par value; 1,000,000 shares authorized; 0, 150,000 and 0


                                                                                       shares of 6.75% non-cumulative perpetual preferred stock, Series
                                                                                        A, liquidation


                                                                                       preference $150.0 million, issued and outstanding, respectively                                                 144,484                    (100.0)



 Preferred stock, no par value, 1,000,000 shares authorized; 230,000, 0 and 230,000


                                                                                       shares of 7.375% non-cumulative perpetual preferred stock,
                                                                                        Series B, liquidation


                                                                                       preference $230.0 million, issued and outstanding, respectively                        224,187                                               100.0      224,187



 Common stock, $2.0833 par value; 200,000,000


                                                                                       shares authorized; 96,191,910, 95,986,023 and 96,067,559 shares
                                                                                        issued;


                                                                                                     95,869,209, 95,986,023 and 96,067,559 shares outstanding,
                                                                                                                                                  respectively                200,396                   199,967                        0.2      200,137          0.1



 Capital surplus                                                                                                                                                2,498,629              2,485,458                           0.5   2,490,440          0.3



 Retained earnings                                                                                                                                              1,352,870              1,165,058                          16.1   1,252,765          8.0



 Treasury stock (322,701, 0 and 0 shares - at cost, respectively)                                                                                                (10,924)                                              100.0                   100.0



 Accumulated other comprehensive loss                                                                                                                           (153,157)             (173,644)                         11.8   (133,320)      (14.9)



 Deferred benefits for directors                                                                                                                                  (2,316)               (2,103)                       (10.1)    (2,296)       (0.9)



 
            Total Shareholders' Equity                                                                                                                        4,109,685              3,819,220                           7.6   4,031,913          1.9



 
            Total Liabilities and Shareholders' Equity                                                                                                      $27,796,917            $27,571,576                           0.8 $27,696,333          0.4






 
            WESBANCO, INC.



 
            Consolidated Selected Financial Highlights                                                                                                                                            Page 8



 
            (unaudited, dollars in thousands, except shares)



 
            Balance sheet                                                                                                                       June 30,               March 31,


                                                      
          
       Assets                                                                                              2026                     2026           % Change



 Cash and due from banks                                                                                                                          $226,961                 $214,453                      5.8



 Due from banks - interest bearing                                                                                                                 644,813                  745,957                   (13.6)



 Securities:


                                                                       
        Equity securities, at fair value                                                19,060                   30,256               (37.0)


                                                                       
        Available-for-sale debt securities, at fair value                            3,312,972                3,298,237                  0.4


                                                                                Held-to-maturity debt securities (fair values of $1,005,725


                                                                       
        and $1,011,303, respectively)                                                1,107,751                1,120,597                (1.1)


                                                                                Allowance for credit losses, held-to-maturity debt
                                                                                 securities                                                                                 (165)                   (151)             (9.3)


                                                                       
        Net held-to-maturity debt securities                                         1,107,586                1,120,446                (1.1)


                                                                       
        Total securities                                                                        4,439,618                4,448,939              (0.2)



 Loans held for sale                                                                                                                                57,318                   59,281                    (3.3)



 Portfolio loans:


                                                                       
        Commercial real estate                                                      11,093,370               10,902,275                  1.8


                                                                       
        Commercial and industrial                                                    2,949,863                2,785,440                  5.9


                                                                       
        Residential real estate                                                      3,939,813                3,920,209                  0.5


                                                                       
        Home equity                                                                  1,191,809                1,149,878                  3.6


                                                                       
        Consumer                                                                       304,111                  324,879                (6.4)



 Total portfolio loans, net of unearned income                                                                                                  19,478,966               19,082,681                      2.1



 Allowance for credit losses - loans                                                                                                             (217,775)               (210,023)                   (3.7)


                                                                       
        Net portfolio loans                                                                    19,261,191               18,872,658                2.1



 Premises and equipment, net                                                                                                                       248,200                  251,325                    (1.2)



 Accrued interest receivable                                                                                                                       102,342                  105,288                    (2.8)



 Goodwill and other intangible assets, net                                                                                                       1,709,084                1,716,225                    (0.4)



 Bank-owned life insurance                                                                                                                         562,297                  560,773                      0.3



 Other assets                                                                                                                                      545,093                  507,556                      7.4



 
            Total Assets                                                                                                                     $27,796,917              $27,482,455                      1.1





 
            Liabilities



 Deposits:


                                                                       
        Non-interest bearing demand                                                 $5,287,995               $5,223,034                  1.2


                                                                       
        Interest bearing demand                                                      5,364,937                5,505,382                (2.6)


                                                                       
        Money market                                                                 5,012,414                4,904,510                  2.2


                                                                       
        Savings deposits                                                             3,335,823                3,306,044                  0.9


                                                                       
        Certificates of deposit                                                      2,591,047                2,729,304                (5.1)


                                                                       
        Total deposits                                                                         21,592,216               21,668,274              (0.4)



 Federal Home Loan Bank borrowings                                                                                                               1,350,000                  975,000                     38.5



 Other short-term borrowings                                                                                                                        88,419                  114,068                   (22.5)



 Subordinated debt and junior subordinated debt                                                                                                    308,837                  308,683                      0.0


                                                                       
        Total borrowings                                                                        1,747,256                1,397,751               25.0



 Accrued interest payable                                                                                                                           17,567                   19,917                   (11.8)



 Other liabilities                                                                                                                                 330,193                  325,905                      1.3



 
            Total Liabilities                                                                                                                 23,687,232               23,411,847                      1.2





 
            Shareholders' Equity



 Preferred stock, no par value, 1,000,000 shares authorized; 230,000,


                                                                                shares of 7.375% non-cumulative perpetual preferred stock,
                                                                                 Series B, liquidation


                                                                                preference $230.0 million, issued and outstanding, respectively                224,187                  224,187



 Common stock, $2.0833 par value; 200,000,000 shares authorized;


                                                                                96,191,910 and 96,134,158 shares issued; 95,869,209 and
                                                                                 96,134,158


                                                                       
        shares outstanding, respectively                                               200,396                  200,276                  0.1



 Capital surplus                                                                                                                                 2,498,629                2,495,091                      0.1



 Retained earnings                                                                                                                               1,352,870                1,300,628                      4.0



 Treasury stock (322,701 and 0 shares - at cost, respectively)                                                                                    (10,924)                                           100.0



 Accumulated other comprehensive loss                                                                                                            (153,157)               (147,195)                   (4.1)



 Deferred benefits for directors                                                                                                                   (2,316)                 (2,379)                     2.6



 
            Total Shareholders' Equity                                                                                                         4,109,685                4,070,608                      1.0



 
            Total Liabilities and Shareholders' Equity                                                                                       $27,796,917              $27,482,455                      1.1




          
            WESBANCO, INC.



          
            Consolidated Selected Financial Highlights                                                                                                                                                                                                                                                                                                                                                                                              Page 9



          
            (unaudited, dollars in thousands)



          
            Average balance sheet and



          
            net interest margin analysis                                                                                                                                                                                                                                                                         For the Three Months Ended June 30,                                                                            For the Six Months Ended June 30,


                                                                                                                                                                                                                                                                                       2026                                                             2025                                     2026                                                                         2025


                                                                                                                                                                                                                           Average                                        Average                                Average                                 Average                    Average        Average                                                     Average           Average



          
            Assets                                                                                                                                                                                             Balance                                          Rate                                 Balance                                   Rate                     Balance          Rate                                                      Balance             Rate



          Due from banks - interest bearing                                                                                                                             $716,620                                              3.89                                                                 $746,583           4.79                                             $731,085            3.90
                                                                                                                                                                                                                                                                                                                       %                                                                                                                                             %
                                                                                                                                                                                                                                 %                                                                                                                                                        %                                  $675,962                              4.76



          Loans, net of unearned income (1)                                                                                                                           19,240,187                                              6.00                                                               18,903,459           6.16                                           19,214,689            5.97                                 16,823,658                              6.10



          Securities: (2)



              Taxable                                                                                                                                                                                                   3,921,258                                            3.28                               3,881,680                                     3.21                   3,912,760            3.27                                                    3,567,118             3.01



              Tax-exempt (3)                                                                                                                                                                                              733,614                                            3.34                                 731,866                                     3.20                     736,525            3.35                                                      732,482             3.19



                  Total securities                                                                                                                                                                                      4,654,872                                            3.29                               4,613,546                                     3.21                   4,649,285            3.29                                                    4,299,600             3.04



          Other earning assets                                                                                                                                                                                             57,148                                            8.86                                  87,138                                     7.75                      59,697            8.26                                                       74,336             7.31



          
                     Total earning assets (3)                                                                                                              24,668,827                                              5.44                                                               24,350,726           5.56                                           24,654,756            5.41
                                                                                                                                                                                                                                                                                                                       %                                                                                                                                             %
                                                                                                                                                                                                                                 %                                                                                                                                                        %                                21,873,556                              5.46



          Other assets                                                                                                                                                                                                  2,845,563                                                                              2,953,974                                                           2,867,704                                                                   2,586,357



          
            Total Assets                                                                                                                                                                                   $27,514,390                                                                            $27,304,700                                                         $27,522,460                                                                 $24,459,913





          
            Liabilities and Shareholders' Equity



          Interest bearing demand deposits                                                                                                                            $5,432,483                                              2.26                                                               $4,885,687           2.50                                           $5,380,121            2.25
                                                                                                                                                                                                                                                                                                                       %                                                                                                                                             %
                                                                                                                                                                                                                                 %                                                                                                                                                        %                                $4,531,324                              2.66



          Money market accounts                                                                                                                                                                                         4,936,974                                            2.73                               4,830,592                                     3.01                   4,919,115            2.70                                                    4,025,925             2.88



          Savings deposits                                                                                                                                                                                              3,318,841                                            1.33                               3,122,815                                     1.11                   3,278,372            1.30                                                    2,865,410             1.13



          Certificates of deposit                                                                                                                                                                                       2,662,394                                            3.10                               2,960,970                                     2.90                   2,744,568            3.17                                                    2,575,458             3.13



              Total interest bearing deposits                                                                                                                         16,350,692                                              2.35                                                               15,800,064           2.46                                           16,322,176            2.35                                 13,998,117                              2.50



          Federal Home Loan Bank borrowings                                                                                                                            1,040,934                                              4.00                                                                1,585,821           4.22                                            1,097,790            3.99                                  1,378,552                              4.35



          Repurchase agreements                                                                                                                                                                                           101,809                                            2.23                                 118,988                                     2.75                     104,581            2.24                                                      140,829             2.78



          Subordinated debt and junior subordinated debt                                                                                   308,740           5.32                                                                                                          357,379          5.96                    308,663                                     5.34                                    331,488           5.74



          
                  Total interest bearing liabilities (4)                                                                                   17,802,175             2.50                                                                                                    17,862,252         2.69                                             17,833,210         2.50
                                                                                                                                                                                                                                                                                                         %                                                                                                                          %
                                                                                                                                                                                %                                                                                                                                                                                          %                                  15,848,986          2.73



          Non-interest bearing demand deposits                                                                                                         5,294,900                                                                                                                     5,328,576                                                          5,275,299                                                4,816,070



          Other liabilities                                                                                                                                                                                               306,434                                                                                294,359                                                             315,135                                                                     308,189



          Shareholders' equity                                                                                                                                                                                          4,110,881                                                                              3,819,513                                                           4,098,816                                                                   3,486,668



          
            Total Liabilities and Shareholders' Equity                                                                                    $27,514,390                                                                                                                   $27,304,700                                                        $27,522,460                                              $24,459,913



          
            Taxable equivalent net interest spread                                                                                                               2.94                                                                                                                      2.87                                                               2.91
                                                                                                                                                                                                                                                                                                         %                                                                                                                          %
                                                                                                                                                                                %                                                                                                                                                                                          %                                                     2.73



          
            Taxable equivalent net interest margin                                                                                                               3.63                                                                                                                      3.59                                                               3.60
                                                                                                                                                                                                                                                                                                         %                                                                                                                          %
                                                                                                                                                                                %                                                                                                                                                                                          %                                                     3.48







          (1) Gross of allowance for credit losses, net of unearned income and includes non-accrual loans and loans held for sale.  Loan fees included in interest income on loans were $2.1 million and $2.5 million for the three months ended June 30, 2026 and 2025,
respectively, and were $3.9 million and $4.1 million for the six months ended June 30, 2026 and 2025, respectively.  Additionally, loan accretion included in interest income on loans acquired from prior acquisitions was $14.7 million and $16.5 million for
the three months ended June 30, 2026 and 2025, respectively, and was $28.0 million and $23.3 million for the six months ended June 30, 2026 and 2025, respectively.





          (2) Average yields on available-for-sale securities are calculated based on amortized cost.



          (3) Taxable equivalent basis is calculated on tax-exempt securities using a rate of 21% for each period presented.



          (4) Accretion on interest bearing liabilities acquired from prior acquisitions was $0.1 million and $5.6 million for the three months ended June 30, 2026 and 2025, respectively, and was $0.4 million and $7.8 million for the six months ended June 30, 2026
and 2025, respectively.


          
            WESBANCO, INC.



          
            Consolidated Selected Financial Highlights                                                                                                                                                                                                                        Page 10



          
            (unaudited, dollars in thousands, except shares and per share amounts)


                                                                                                                                                                                                                                            
 
 
  Quarter Ended



          
            Statement of Income                                                                                                                                June 30,                                                                March 31,      Dec. 31,   Sept. 30,            June 30,



          
            Interest and dividend income                                                                                                                           2026                                                                      2026           2025         2025                 2025


                                                                                                                                    
          Loans, including fees                                                                              $287,916       $280,989     $293,208             $295,482    $290,104


                                                                                                                                    
          Interest and dividends on securities:


                                                                                                                                    
          Taxable                                                                                              32,083         31,443       31,546               31,483      31,066


                                                                                                                                    
          Tax-exempt                                                                                            4,833          4,824        4,865                4,692       4,616


                                                                                                                                                                                      
          Total interest and dividends on securities           36,916         36,267       36,411               36,175      35,682


                                                                                                                                    
          Other interest income                                                                                 8,219          8,368        9,821               11,229      10,596



                    Total interest and dividend income                                                                                                                     333,051                                                                   325,624        339,440      342,886              336,382



          
            Interest expense


                                                                                                                                    
          Interest bearing demand deposits                                                                     30,567         29,368       29,821               31,351      30,405


                                                                                                                                    
          Money market deposits                                                                                33,650         32,151       36,166               38,249      36,287


                                                                                                                                    
          Savings deposits                                                                                     11,029         10,119        9,570                9,577       8,670


                                                                                                                                    
          Certificates of deposit                                                                              20,590         22,591       24,235               23,554      21,442


                                                                                                                                                                                      
          Total interest expense on deposits                   95,836         94,229       99,792              102,731      96,804


                                                                                                                                    
          Federal Home Loan Bank borrowings                                                                    10,390         11,316       11,378               17,337      16,683


                                                                                                                                    
          Other short-term borrowings                                                                             565            598          730                  766         816


                                                                                                                                    
          Subordinated debt and junior subordinated debt                                                        4,098          4,080        5,243                5,336       5,310


                                                                                                                                                                                      
          Total interest expense                              110,889        110,223      117,143              126,170     119,613



          
            Net interest income                                                                                                                                 222,162                                                                   215,401        222,297      216,716              216,769


                                                                                                                                    
          Provision for credit losses                                                                           9,185          (897)       3,059                2,082       3,218



          Net interest income after provision for credit losses                                                                                                            212,977                                                                   216,298        219,238      214,634              213,551



          
            Non-interest income


                                                                                                                                    
          Trust fees                                                                                            9,830         10,442        9,745                8,987       9,657


                                                                                                                                    
          Service charges on deposits                                                                          11,546         10,961       11,159               11,163      10,484


                                                                                                                                    
          Digital banking income                                                                                7,410          6,599        6,422                7,324       7,325


                                                                                                                                    
          Net swap fee and valuation income                                                                     3,135          1,062        3,959                3,231         746


                                                                                                                                    
          Net securities brokerage revenue                                                                      3,670          3,472        2,836                2,961       3,348


                                                                                                                                    
          Bank-owned life insurance                                                                             4,317          3,811        4,458                3,765       3,450


                                                                                                                                    
          Mortgage banking income                                                                               1,055            919          791                1,898       2,364


                                                                                                                                    
          Net securities gains / (losses)                                                                       1,644           (13)       1,077                1,210       1,410


                                                                                                                                               Net gains /(losses) on other real estate owned and other
                                                                                                                                                assets                                                                                               2,036            546        (824)                 329         111


                                                                                                                                    
          Other income                                                                                          8,989          4,032        3,647                3,996       5,062


                                                                                                                                                                                      
          Total non-interest income                            53,632         41,831       43,270               44,864      43,957



          
            Non-interest expense


                                                                                                                                    
          Salaries and wages                                                                                   66,402         63,964       61,664               60,583      60,153


                                                                                                                                    
          Employee benefits                                                                                    19,148         17,611       17,148               18,040      18,857


                                                                                                                                    
          Net occupancy                                                                                         7,863          8,529        8,522                8,819       8,119


                                                                                                                                    
          Equipment and software                                                                               15,640         15,678       16,110               16,310      17,140


                                                                                                                                    
          Marketing                                                                                             2,271          1,526        2,636                2,979       1,864


                                                                                                                                    
          FDIC insurance                                                                                        4,168          4,784        5,411                5,820       5,479


                                                                                                                                    
          Amortization of intangible assets                                                                     7,141          7,160        7,217                8,425       9,204


                                                                                                                                    
          Restructuring and merger-related expense                                                              1,003          3,713        3,483               11,383      41,056


                                                                                                                                    
          Other operating expenses                                                                             25,450         23,740       25,697               23,829      24,663


                                                                                                                                                                                      
          Total non-interest expense                          149,086        146,705      147,888              156,188     186,535



          Income before provision for income taxes                                                                                                                         117,523                                                                   111,424        114,620      103,310               70,973


                                                                                                                                    
          Provision for income taxes                                                                           24,846         22,789       23,510               19,737      13,558



          Net Income                                                                                                                                                        92,677                                                                    88,635         91,110       83,573               57,415



          Preferred stock dividends                                                                                                                                          4,240                                                                     4,240         12,948        2,531                2,531



          
            Net income available to common shareholders                                                                                                         $88,437                                                                   $84,395        $78,162      $81,042              $54,884





          
            Taxable equivalent net interest income                                                                                                             $223,447                                                                  $216,683       $223,590     $217,963             $217,996





          
            Per common share data



          Net income per common share - basic                                                                                                                                $0.92                                                                     $0.88          $0.81        $0.84                $0.57



          Net income per common share - diluted                                                                                                                               0.91                                                                      0.88           0.81         0.84                 0.57



          Adjusted net income per common share - diluted, excluding certain items (1) (2)                                                                                     0.92                                                                      0.91           0.84         0.94                 0.91



          Dividends declared                                                                                                                                                  0.38                                                                      0.38           0.38         0.37                 0.37



          Book value (period end)                                                                                                                                            40.53                                                                     40.01          39.64        39.02                38.28



          Tangible book value (period end) (1)                                                                                                                               22.98                                                                     22.45          22.01        21.29                20.48



          Average common shares outstanding - basic                                                                                                                     96,028,958                                                                96,103,497     96,053,336   95,995,174           95,744,980



          Average common shares outstanding - diluted                                                                                                                   96,703,880                                                                96,309,352     96,226,845   96,116,617           95,808,310



          Period end common shares outstanding                                                                                                                          95,869,209                                                                96,134,158     96,067,559   96,044,222           95,986,023



          Period end preferred shares outstanding                                                                                                                          230,000                                                                   230,000        230,000      380,000              150,000



          Full time equivalent employees                                                                                                                                     2,996                                                                     2,973          3,030        3,064                3,253





          
            (1) See non-GAAP financial measures for additional information relating to the calculation of this item.



          
            (2) Certain items excluded from the calculation consist of after-tax restructuring and merger-related expenses and the after-tax day one provision for credit losses on
acquired loans.


 
            WESBANCO, INC.



 
            Consolidated Selected Financial Highlights                                                                                                                                                                                          Page 11



 
            (unaudited, dollars in thousands)


                                                                                                                                                                      
 
 
 Quarter Ended


                                                                                                                                                                            June 30,                 March 31,             Dec. 31,              Sept. 30,               June 30,



 
            Asset quality data                                                                                                                        2026                    2026                       2025                  2025                    2025



 Non-performing assets:


                                                                                                                         
 Total non-performing loans                       $146,058                   $145,008               $91,584                 $94,463                 $84,319


                                                                                                                           Other real estate and repossessed assets          1,391                      1,323                   907                     997                     958


                                                                                                                         
 Total non-performing assets                      $147,449                   $146,331               $92,491                 $95,460                 $85,277





 Past due loans (1):


                                                                                                                         
 Loans past due 30-89 days                         $67,388                    $89,877               $91,199                 $80,333                 $65,401


                                                                                                                         
 Loans past due 90 days or more                     21,783                     16,210                37,783                  19,430                  20,890


                                                                                                                         
 Total past due loans                              $89,171                   $106,087              $128,982                 $99,763                 $86,291





 Loans past due 30-89 days / total portfolio loans                                                                                                      0.35
                                                                                                                                                                                   %                         %                    %                      %
                                                                                                                                                            %                   0.47                       0.47                  0.42                    0.35



 Loans past due 90 days or more / total portfolio loans                                                                                                 0.11                    0.08                       0.20                  0.10                    0.11



 Non-performing loans / total portfolio loans                                                                                                           0.75                    0.76                       0.48                  0.50                    0.45



 Non-performing assets / total portfolio loans, other


                                                                                                                         
 real estate and repossessed assets                   0.76                       0.77                  0.48                    0.50                    0.45



 Non-performing assets / total assets                                                                                                                   0.53                    0.53                       0.33                  0.35                    0.31





 
            Allowance for credit losses



 Allowance for credit losses - loans                                                                                                                $217,775                $210,023                   $218,749              $217,666                $223,866



 Allowance for credit losses - loan commitments                                                                                                        7,740                   7,212                      6,950                 7,628                   6,168



 Provision for credit losses                                                                                                                           9,185                   (897)                     3,059                 2,082                   3,218



 Net loan and deposit account overdraft charge-offs and recoveries                                                                                       892                   7,584                      2,666                 8,867                   4,329





 Annualized net loan charge-offs and recoveries / average loans                                                                                         0.02
                                                                                                                                                                                   %                         %                    %                      %
                                                                                                                                                            %                   0.16                       0.06                  0.19                    0.09



 Allowance for credit losses - loans / total portfolio loans                                                                                            1.12
                                                                                                                                                                                   %                         %                    %                      %
                                                                                                                                                            %                   1.10                       1.14                  1.15                    1.19



 Allowance for credit losses - loans / non-performing loans                                                                                             1.49       x            1.45     x                 2.39  x               2.30  x                 2.65  x



 Allowance for credit losses - loans / non-performing loans and


                                                                                                                         
 loans past due                                       0.93        x              0.84  x               0.99  x                 1.12  x                 1.31 x






                                                                                                                                                                            June 30,          Mar. 31,              Dec. 31,              Sept. 30,               June 30,


                                                                                                                                                                                2026                       2026                  2025                    2025                    2025



 
            Capital ratios



 Tier I leverage capital                                                                                                                                9.83
                                                                                                                                                                                   %                         %                    %                      %
                                                                                                                                                            %                   9.63                       9.42                  9.72                    8.66



 Tier I risk-based capital                                                                                                                             11.72                   11.72                      11.42                 11.83                   10.59



 Total risk-based capital                                                                                                                              14.18                   14.19                      13.92                 14.58                   13.40



 Common equity tier 1 capital ratio (CET 1)                                                                                                            10.70                   10.67                      10.37                 10.10                    9.90



 Average shareholders' equity to average assets                                                                                                        14.94                   14.84                      14.88                 14.22                   13.99



 Tangible equity to tangible assets (2)                                                                                                                 9.29                    9.24                       8.99                  9.35                    8.16



 Tangible common equity to tangible assets (2)                                                                                                          8.44                    8.37                       8.13                  7.92                    7.60







 
            (1) Excludes non-performing loans.



 
            (2) See non-GAAP financial measures for additional information relating to the calculation of this ratio.


          
            WESBANCO, INC.



          
            Non-GAAP Financial Measures                                                                                                                                                                                                                                                                                           Page 12



          The following non-GAAP financial measures used by WesBanco provide information useful to investors in understanding WesBanco's operating performance and trends, and facilitate comparisons with the performance of
WesBanco's peers. The following tables summarize the non-GAAP financial measures derived from amounts reported in WesBanco's financial statements.


                                                                                                                                                                                                                                                                                 
     
   
     Three Months Ended                                                                              Year to Date


                                                                                                                                                                                                                                   June 30,                 Mar. 31,                              Dec. 31,                   Sept. 30,                        June 30,                                           June 30,



          
            (unaudited, dollars in thousands, except shares and per share amounts)                                                                                2026                     2026                                          2025                       2025                                  2025                            2026                2025



          
            Return on average assets, excluding certain items:


                                                                                                                             
          Net income available to common shareholders                                               $88,437                    $84,395                               $78,162                      $81,042                          $54,884            $172,832           $43,360


                                                                                                                             
          Add: after-tax restructuring and merger-related expenses (1)                                  792                      2,933                                 2,752                        8,993                           32,434               3,726            48,242


                                                                                                                                        Add: after-tax day one provision for credit losses on acquired loans
                                                                                                                                           (1)                                                                                                                                                                                                                                                      46,926


                                                                                                                                        Net income available to common shareholders, excluding certain items                             89,229                     87,328                                80,914                       90,035                           87,318             176,558           138,528




                                                                                                                             
          Average total assets                                                                    $27,514,390                $27,530,620                           $27,481,963                  $27,419,726                      $27,304,700         $27,522,460       $24,459,913





          Return on average assets, excluding certain items (annualized) (2)                                                                                               1.30 %                  1.29 %                                       1.17 %                    1.30 %                               1.28 %                         1.29 %             1.14 %





          
            Return on average equity, excluding certain items:


                                                                                                                             
          Net income available to common shareholders                                               $88,437                    $84,395                               $78,162                      $81,042                          $54,884            $172,832           $43,360


                                                                                                                             
          Add: after-tax restructuring and merger-related expenses (1)                                  792                      2,933                                 2,752                        8,993                           32,434               3,726            48,242


                                                                                                                                        Add: after-tax day one provision for credit losses on acquired loans
                                                                                                                                           (1)                                                                                                                                                                                                                                                      46,926


                                                                                                                                        Net income available to common shareholders excluding certain items                             89,229                     87,328                                80,914                       90,035                           87,318             176,558           138,528




                                                                                                                             
          Average total shareholders' equity                                                     $4,110,881                 $4,086,617                            $4,088,456                   $3,898,142                       $3,819,513          $4,098,816        $3,486,668





          Return on average equity, excluding certain items (annualized) (2)                                                                                               8.71 %                  8.67 %                                       7.85 %                    9.16 %                               9.17 %                         8.69 %             8.01 %





          
            Return on average tangible equity:


                                                                                                                             
          Net income available to common shareholders                                               $88,437                    $84,395                               $78,162                      $81,042                          $54,884            $172,832           $43,360


                                                                                                                             
          Add: amortization of intangibles (1)                                                        5,641                      5,656                                 5,701                        6,656                            7,271              11,298            10,607


                                                                                                                                        Net income available to common shareholders before amortization of
                                                                                                                                         intangibles                                                                               94,078                     90,051                                83,863                       87,698                           62,155             184,130            53,967




                                                                                                                             
          Average total shareholders' equity                                                      4,110,881                  4,086,617                             4,088,456                    3,898,142                        3,819,513           4,098,816         3,486,668


                                                                                                                                        Less: average goodwill and other intangibles, net of def. tax liability                        (1,685,204)               (1,691,156)                          (1,700,188)                 (1,704,105)                     (1,608,358)        (1,688,164)      (1,461,946)


                                                                                                                             
          Average tangible equity                                                                  $2,425,677                 $2,395,461                            $2,388,268                   $2,194,037                       $2,211,155          $2,410,652        $2,024,722





          Return on average tangible equity (annualized) (2)                                                                                                              15.56 %                 15.25 %                                      13.93 %                   15.86 %                              11.27 %                        15.40 %             5.38 %




                                                                                                                             
          Average tangible common equity                                                         $2,201,490                 $2,171,274                            $2,096,528                   $2,015,329                       $2,066,671          $2,186,465        $1,880,238



          Return on average tangible common equity (annualized) (2)                                                                                                       17.14 %                 16.82 %                                      15.87 %                   17.26 %                              12.06 %                        16.98 %             5.79 %





          
            Return on average tangible equity, excluding certain items:


                                                                                                                             
          Net income available to common shareholders                                               $88,437                    $84,395                               $78,162                      $81,042                          $54,884            $172,832           $43,360


                                                                                                                             
          Add: after-tax restructuring and merger-related expenses (1)                                  792                      2,933                                 2,752                        8,993                           32,434               3,726            48,242


                                                                                                                             
          Add: amortization of intangibles (1)                                                        5,641                      5,656                                 5,701                        6,656                            7,271              11,298            10,607


                                                                                                                                        Add: after-tax day one provision for credit losses on acquired loans
                                                                                                                                           (1)                                                                                                                                                                                                                                                      46,926


                                                                                                                                        Net income available to common shareholders before amortization of
                                                                                                                                         intangibles


                                                                                                                             
               and excluding certain items                                                           94,870                     92,984                                86,615                       96,691                           94,589             187,856           149,135




                                                                                                                             
          Average total shareholders' equity                                                      4,110,881                  4,086,617                             4,088,456                    3,898,142                        3,819,513           4,098,816         3,486,668


                                                                                                                                        Less: average goodwill and other intangibles, net of def. tax liability                        (1,685,204)               (1,691,156)                          (1,700,188)                 (1,704,105)                     (1,608,358)        (1,688,164)      (1,461,946)


                                                                                                                             
          Average tangible equity                                                                  $2,425,677                 $2,395,461                            $2,388,268                   $2,194,037                       $2,211,155          $2,410,652        $2,024,722





          Return on average tangible equity, excluding certain items (annualized) (2)                                                                                     15.69 %                 15.74 %                                      14.39 %                   17.48 %                              17.16 %                        15.71 %            14.85 %




                                                                                                                             
          Average tangible common equity                                                         $2,201,490                 $2,171,274                            $2,096,528                   $2,015,329                       $2,066,671          $2,186,465        $1,880,238



          Return on average tangible common equity, excluding certain items (annualized) (2)                                                                              17.28 %                 17.37 %                                      16.39 %                   19.03 %                              18.36 %                        17.33 %            15.99 %





          
            Efficiency ratio:


                                                                                                                             
          Non-interest expense                                                                       $149,086                   $146,705                              $147,888                     $156,188                         $186,535            $295,788          $320,500


                                                                                                                             
          Less: amortization of intangibles                                                         (7,141)                   (7,160)                              (7,217)                     (8,245)                         (9,204)           (14,301)         (13,427)


                                                                                                                             
          Less: restructuring and merger-related expense                                            (1,003)                   (3,713)                              (3,483)                    (11,383)                        (41,056)            (4,716)         (61,066)


                                                                                                                                        Non-interest expense excluding restructuring and merger-related
                                                                                                                                         expense                                                                                  140,942                    135,832                               137,188                      136,380                          136,275             276,771           246,007




                                                                                                                             
          Net interest income on a fully taxable equivalent basis                                   223,447                    216,683                               223,590                      217,963                          217,996             440,129           377,719


                                                                                                                             
          Non-interest income, excluding net securities gains                                        51,988                     41,844                                42,193                       43,654                           42,547              93,831            78,622


                                                                                                                                        Net interest income on a fully taxable equivalent basis plus non-
                                                                                                                                         interest income                                                                         $275,435                   $258,527                              $265,783                     $261,617                         $260,543            $533,960          $456,341


                                                                                                                             
          Efficiency ratio                                                                            51.17 %                   52.54 %                              51.62 %                     52.13 %                         52.30 %            51.83 %          53.91 %







          
            Adjusted net income available to common shareholders, excluding certain items:


                                                                                                                             
          Net income available to common shareholders                                               $88,437                    $84,395                               $78,162                      $81,042                          $54,884            $172,832           $43,360


                                                                                                                             
          Add: after-tax restructuring and merger-related expenses (1)                                  792                      2,933                                 2,752                        8,993                           32,434               3,726            48,242


                                                                                                                                        Add: after-tax day one provision for credit losses on acquired loans
                                                                                                                                           (1)                                                                                                                                                                                                                                                      46,926



          Adjusted net income available to common shareholders, excluding certain items:                                                                                  $89,229                  $87,328                                       $80,914                    $90,035                               $87,318                        $176,558            $138,528





          
            Adjusted net income per common share - diluted, excluding certain items:


                                                                                                                             
          Net income per common share - diluted                                                       $0.91                      $0.88                                 $0.81                        $0.84                            $0.57               $1.79             $0.50


                                                                                                                                        Add: after-tax restructuring and merger-related expenses per common
                                                                                                                                         share - diluted (1)                                                                         0.01                       0.03                                  0.03                         0.10                             0.34                0.04              0.56


                                                                                                                                        Add: after-tax day one provision for credit losses on acquired loans
                                                                                                                                           (1)                                                                                                                                                                                                                                                        0.54



          Adjusted net income per common share - diluted, excluding certain items:                                                                                          $0.92                    $0.91                                         $0.84                      $0.94                                 $0.91                           $1.83               $1.60






                                                                                                                                                                                                                                                                                     
   
   
       Period End


                                                                                                                                                                                                                                   June 30,                 March 31,                             Dec. 31,                   Sept. 30,                        June 30,


                                                                                                                                                                                                                                       2026                       2026                                  2025                         2025                             2025



          
            Tangible book value per share:


                                                                                                                             
          Total shareholders' equity                                                             $4,109,685                 $4,070,608                            $4,031,913                   $4,116,527                       $3,819,220


                                                                                                                                        Less:  goodwill and other intangible assets, net of def. tax liability                        (1,682,457)               (1,688,098)                          (1,693,755)                 (1,702,916)                     (1,709,001)


                                                                                                                             
          Less: preferred shareholder's equity                                                    (224,187)                 (224,187)                            (224,187)                   (368,867)                       (144,484)


                                                                                                                             
          Tangible common equity                                                                    2,203,041                  2,158,323                             2,113,971                    2,044,744                        1,965,735




                                                                                                                             
          Common shares outstanding                                                              95,869,209                 96,134,158                            96,067,559                   96,044,222                       95,986,023





          Tangible book value per share                                                                                                                                    $22.98                   $22.45                                        $22.01                     $21.29                                $20.48





          
            Tangible common equity to tangible assets:


                                                                                                                             
          Total shareholders' equity                                                             $4,109,685                 $4,070,608                            $4,031,913                   $4,116,527                       $3,819,220


                                                                                                                                        Less:  goodwill and other intangible assets, net of def. tax liability                        (1,682,457)               (1,688,098)                          (1,693,755)                 (1,702,916)                     (1,709,001)


                                                                                                                             
          Tangible equity                                                                           2,427,228                  2,382,510                             2,338,158                    2,413,611                        2,110,219


                                                                                                                             
          Less: preferred shareholder's equity                                                    (224,187)                 (224,187)                            (224,187)                   (368,867)                       (144,484)


                                                                                                                             
          Tangible common equity                                                                    2,203,041                  2,158,323                             2,113,971                    2,044,744                        1,965,735




                                                                                                                             
          Total assets                                                                               27,796,917                 27,482,455                            27,696,333                   27,518,042                       27,571,576


                                                                                                                                        Less:  goodwill and other intangible assets, net of def. tax liability                        (1,682,457)               (1,688,098)                          (1,693,755)                 (1,702,916)                     (1,709,001)


                                                                                                                             
          Tangible assets                                                                         $26,114,460                $25,794,357                           $26,002,578                  $25,815,126                      $25,862,575





          Tangible equity to tangible assets                                                                                                                               9.29 %                  9.24 %                                       8.99 %                    9.35 %                               8.16 %





          Tangible common equity to tangible assets                                                                                                                        8.44 %                  8.37 %                                       8.13 %                    7.92 %                               7.60 %







          
            (1) Tax effected at 21% for all periods presented.



          
            (2) The ratios are annualized by utilizing actual numbers of days in the quarter versus the year.


          
            WESBANCO, INC.



          
            Additional Non-GAAP Financial Measures                                                                                                                                                                                                                                                                                                                                 Page 13



          The following non-GAAP financial measures used by WesBanco provide information useful to investors in understanding WesBanco's operating performance and trends, and facilitate comparisons with the performance of
WesBanco's peers. The following tables summarize the non-GAAP financial measures derived from amounts reported in WesBanco's financial statements.




                                                                                                                                                                                                                                                                                                             
          
  
 Three Months Ended                                                                                        Year to Date


                                                                                                                                                                                                                                                                          June 30,                Mar. 31,                                Dec. 31,                 Sept. 30,                  June 30,                                                June 30,



          
            (unaudited, dollars in thousands, except shares and per share amounts)                                                                                                                                                        2026                     2026                     2025                                     2025                       2025                       2026          2025



          
            Pre-tax, pre-provision income:


                                                                                                                                                                        
          Income before provision for income taxes                                   $117,523                 $111,424                  $114,620                                 $103,310                    $70,973                   $228,948       $61,309


                                                                                                                                                                        
          Add: provision for credit losses                                              9,185                    (897)                    3,059                                    2,082                      3,218                      8,288        72,101



          Pre-tax, pre-provision income                                                                                                                                                                                                          $126,708                 $110,527                 $117,679                                 $105,392                    $74,191                   $237,236      $133,410





          
            Pre-tax, pre-provision income, excluding restructuring and merger-related expenses:


                                                                                                                                                                        
          Income before provision for income taxes                                   $117,523                 $111,424                  $114,620                                 $103,310                    $70,973                   $228,948       $61,309


                                                                                                                                                                        
          Add: provision for credit losses                                              9,185                    (897)                    3,059                                    2,082                      3,218                      8,288        72,101


                                                                                                                                                                        
          Add: restructuring and merger-related expenses                                1,003                    3,713                     3,483                                   11,383                     41,056                      4,716        61,066



          Pre-tax, pre-provision income, excluding restructuring and merger-related expenses                                                                                                                                                     $127,711                 $114,240                 $121,162                                 $116,775                   $115,247                   $241,952      $194,476





          
            Pre-tax, pre-provision return on average assets, excluding restructuring and merger-related expenses:


                                                                                                                                                                        
          Income before provision for income taxes                                   $117,523                 $111,424                  $114,620                                 $103,310                    $70,973                   $228,948       $61,309


                                                                                                                                                                        
          Add: provision for credit losses                                              9,185                    (897)                    3,059                                    2,082                      3,218                      8,288        72,101


                                                                                                                                                                        
          Add: restructuring and merger-related expenses                                1,003                    3,713                     3,483                           #       11,383                     41,056                      4,716        61,066



          Pre-tax, pre-provision income, excluding restructuring and merger-related expenses                                                                                                                                                      127,711                  114,240                  121,162             #                    116,775                    115,247                    241,952       194,476




                                                                                                                                                                        
          Average total assets                                                                $27,514,390              $27,530,620                              $27,481,963                $27,419,726                $27,304,700                $27,522,460     $24,459,913





          Pre-tax, pre-provision return on average assets, excluding restructuring and merger-related expenses (annualized) (2)                                                                                                                    1.86 %                  1.68 %                  1.75 %                                  1.69 %                    1.69 %                    1.77 %       1.60 %





          
            Pre-tax, pre-provision return on average equity, excluding restructuring and merger-related expenses:


                                                                                                                                                                        
          Income before provision for income taxes                                   $117,523                 $111,424                  $114,620                                 $103,310                    $70,973                   $228,948       $61,309


                                                                                                                                                                        
          Add: provision for credit losses                                              9,185                    (897)                    3,059                                    2,082                      3,218                      8,288        72,101


                                                                                                                                                                        
          Add: restructuring and merger-related expenses                                1,003                    3,713                     3,483                           #       11,383                     41,056                      4,716        61,066



          Pre-tax, pre-provision income, excluding restructuring and merger-related expenses                                                                                                                                                      127,711                  114,240                  121,162             #                    116,775                    115,247                    241,952       194,476




                                                                                                                                                                        
          Average total shareholders' equity                                       $4,110,881               $4,086,617                $4,088,456                               $3,898,142                 $3,819,513                 $4,098,816    $3,486,668





          Pre-tax, pre-provision return on average equity, excluding restructuring and merger-related expenses (annualized) (2)                                                                                                                   12.46 %                 11.34 %                 11.76 %                                 11.88 %                   12.10 %                   11.90 %      11.25 %





          
            Pre-tax, pre-provision return on average tangible equity, excluding certain items (1):


                                                                                                                                                                        
          Income before provision for income taxes                                   $117,523                 $111,424                  $114,620                                 $103,310                    $70,973                   $228,948       $61,309


                                                                                                                                                                        
          Add: provision for credit losses                                              9,185                    (897)                    3,059                                    2,082                      3,218                      8,288        72,101


                                                                                                                                                                        
          Add: amortization of intangibles                                              7,141                    7,160                     7,217                                    8,425                      9,204                     14,301        13,427


                                                                                                                                                                        
          Add: restructuring and merger-related expenses                                1,003                    3,713                     3,483                           #       11,383                     41,056                      4,716        61,066



          Pre-tax, pre-provision income before restructuring and merger-related expenses and amortization of intangibles                                                                                                                          134,852                  121,400                  128,379             #                    125,200                    124,451                    256,253       207,903




                                                                                                                                                                        
          Average total shareholders' equity                                        4,110,881                4,086,617                 4,088,456                                3,898,142                  3,819,513                  4,098,816     3,486,668


                                                                                                                                                                        
          Less: average goodwill and other intangibles, net of def. tax liability (1,685,204)              (1,691,156)               (1,700,188)                             (1,704,105)                (1,608,358)                (1,688,164)   (1,461,946)


                                                                                                                                                                        
          Average tangible equity                                                              $2,425,677               $2,395,461                               $2,388,268                 $2,194,037                 $2,211,155                 $2,410,652      $2,024,722





          Pre-tax, pre-provision return on average tangible equity, excluding certain items (annualized) (1) (2)                                                                                                                                  22.30 %                 20.55 %                 21.33 %                                 22.64 %                   22.58 %                   21.44 %      20.71 %




                                                                                                                                                                        
          Average tangible common equity                                           $2,201,490               $2,171,274                $2,096,528                               $2,015,329                 $2,066,671                 $2,186,465    $1,880,238



          Pre-tax, pre-provision return on average tangible common equity, excluding certain items (annualized) (1) (2)                                                                                                                           24.57 %                 22.68 %                 24.29 %                                 24.65 %                   24.15 %                   23.63 %      22.30 %





          
            (1) Certain items excluded from the calculations consist of credit provisions, tax provisions and restructuring and merger-related expenses.



          
            (2) The ratios are annualized by utilizing actual numbers of days in the quarter versus the year.

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SOURCE WesBanco, Inc.

Contact:

WesBanco Company Contact: John H. Iannone, Senior Vice President, Investor Relations, 304-905-7021

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