← JPMORGAN CHASE & CO
| Annual Trend | FY 2016 | FY 2017 | FY 2018 | FY 2019 | FY 2020 | FY 2021 | FY 2022 | FY 2023 | FY 2024 | FY 2025 | |
|---|---|---|---|---|---|---|---|---|---|---|---|
| ASSETS | |||||||||||
| Current assets: | |||||||||||
| Accrued interest and accounts receivable | $52.3b | $67.7b | $73.2b | $72.9b | $90.5b | $102.6b | $125.2b | $107.4b | $101.2b | $111.6b | |
| Cash and Cash Equivalents, at Carrying Value | — | — | $278.8b | — | — | — | — | — | — | — | |
| Property, Plant and Equipment, Net | $14.1b | $14.2b | $14.9b | $25.8b | $27.1b | $27.1b | $27.7b | — | — | — | |
| Goodwill | $47.3b | $47.5b | $47.5b | $47.8b | $49.2b | $50.3b | $51.7b | $52.6b | $52.6b | $52.7b | |
| Goodwill, MSRs and other intangible assets | $54.2b | $54.4b | $54.3b | $53.3b | $53.4b | $56.7b | $60.9b | $64.4b | $64.6b | $64.5b | |
| Operating Lease, Right-of-Use Asset | — | — | — | $8.2b | $8.0b | $7.9b | $7.8b | $8.4b | $8.5b | $8.9b | |
| Other assets (included $15,849 and $15,122 at fair value and assets pledged of $11,984 and $6,288) | $112.1b | $114.8b | $121.0b | $126.8b | $152.9b | $181.5b | $182.9b | $159.3b | $178.2b | $198.8b | |
| Additional Financial Items | |||||||||||
| All other liabilities | $11.7b | $8.3b | $312.0m | $447.0m | $9.8b | $9.6b | $10.7b | $11.8b | $12.8b | $14.3b | |
| Allowance for loan losses | ($13.8b) | ($13.6b) | ($13.4b) | ($13.1b) | ($28.3b) | ($16.4b) | ($19.7b) | ($22.4b) | ($24.3b) | ($25.8b) | |
| Available-for-sale securities (amortized cost of $507,226 and $411,045; included assets pledged of $7,735 and $10,162) | — | — | — | $350.7b | $388.2b | $308.5b | $205.9b | $201.7b | $406.9b | $507.2b | |
| Beneficial interests issued by consolidated VIEs (included $5 and $1 at fair value) | $39.0b | $26.1b | $20.2b | $17.8b | $17.6b | $10.8b | $12.6b | $23.0b | $27.3b | $28.0b | |
| Cash and due from banks | $23.9b | $25.8b | $22.3b | $21.7b | $24.9b | $26.4b | $27.7b | $29.1b | $23.4b | $21.7b | |
| Deposits (included $20,930 and $33,768 at fair value) | $1.4t | $1.4t | $1.5t | $1.6t | $2.1t | $2.5t | $2.3t | $2.4t | $2.4t | $2.6t | |
| Deposits with banks | $365.8b | $404.3b | $256.5b | $241.9b | $502.7b | $714.4b | $539.5b | $595.1b | $445.9b | $321.6b | |
| Federal funds purchased and securities loaned or sold under repurchase agreements (included $360,194 and $226,329 at fair value) | $165.7b | $158.9b | $182.3b | $183.7b | $215.2b | $194.3b | $202.6b | $216.5b | $296.8b | $442.4b | |
| Federal funds sold and securities purchased under resale agreements (included $327,018 and $286,771 at fair value) | $230.0b | $198.4b | $321.6b | $249.2b | $296.3b | $261.7b | $315.6b | $276.2b | $295.0b | $336.4b | |
| Held-to-maturity securities | — | — | — | $47.5b | $201.8b | $363.7b | $425.3b | $369.8b | $274.5b | $270.1b | |
| Investment securities, net of allowance for credit losses | — | — | — | $398.2b | $590.0b | $672.2b | $631.2b | $571.6b | $681.3b | $777.3b | |
| Loans (included $70,684 and $41,350 at fair value) | $894.8b | $930.7b | $984.6b | $959.8b | $1.0t | $1.1t | $1.1t | $1.3t | $1.3t | $1.5t | |
| Loans, net of allowance for loan losses | $881.0b | $917.1b | $971.1b | $946.6b | $984.5b | $1.1t | $1.1t | $1.3t | $1.3t | $1.5t | |
| Premises and equipment | $14.1b | $14.2b | $14.9b | $25.8b | $27.1b | $27.1b | $27.7b | $30.2b | $32.2b | $36.2b | |
| Securities borrowed (included $98,111 and $83,962 at fair value) | $96.4b | $105.1b | $112.0b | $139.8b | $160.6b | $206.1b | $185.4b | $200.4b | $219.5b | $286.2b | |
| Short-term borrowings (included $32,460 and $26,521 at fair value) | $34.4b | $51.8b | $69.3b | $40.9b | $45.2b | $53.6b | $44.0b | $44.7b | $52.9b | $64.8b | |
| Trading assets (included assets pledged of $165,927 and $136,070) | $372.1b | $381.8b | $413.7b | $411.1b | $503.1b | $433.6b | $453.8b | $540.6b | $637.8b | $802.9b | |
| Trading liabilities | $136.7b | $123.7b | $144.8b | $119.3b | $170.2b | $164.7b | $178.0b | $180.4b | $192.9b | $216.0b | |
| Total stockholders’ equity | $254.2b | $255.7b | $256.5b | $261.3b | $279.4b | $294.1b | $292.3b | $327.9b | $344.8b | $362.4b | |
| Assets | $2.5t | $2.5t | $2.6t | $2.7t | $3.4t | $3.7t | $3.7t | $3.9t | $4.0t | $4.4t | |
| Total assets | $2.5t | $2.5t | $2.6t | $2.7t | $3.4t | $3.7t | $3.7t | $3.9t | $4.0t | $4.4t | |
| LIABILITIES AND EQUITY | |||||||||||
| Total liabilities and stockholders’ equity | $2.5t | $2.5t | $2.6t | $2.7t | $3.4t | $3.7t | $3.7t | $3.9t | $4.0t | $4.4t | |
| Accounts payable and other liabilities (included $6,660 and $5,893 at fair value) | $190.5b | $189.4b | $196.7b | $210.4b | $232.6b | $262.8b | $300.1b | $290.3b | $280.7b | $316.8b | |
| Long-term debt (included $134,559 and $100,780 at fair value) | $295.2b | $284.1b | $282.0b | $291.5b | $281.7b | $301.0b | $295.9b | $391.8b | $401.4b | $435.2b | |
| Deferred Tax Liabilities, Net | $205.0m | $4.1b | $5.6b | $7.3b | $3.9b | $3.6b | — | — | — | — | |
| Liabilities | $2.2t | $2.3t | $2.4t | $2.4t | $3.1t | $3.4t | $3.4t | $3.5t | $3.7t | $4.1t | |
| Total liabilities | $2.2t | $2.3t | $2.4t | $2.4t | $3.1t | $3.4t | $3.4t | $3.5t | $3.7t | $4.1t | |
| Stockholders’ equity: | |||||||||||
| Accumulated Other Comprehensive Income (Loss), Net of Tax | ($1.2b) | ($119.0m) | ($1.5b) | $1.6b | $8.0b | ($84.0m) | ($17.3b) | ($10.4b) | ($12.5b) | ($4.3b) | |
| Accumulated other comprehensive losses | ($1.2b) | ($119.0m) | ($1.5b) | $1.6b | $8.0b | ($84.0m) | ($17.3b) | ($10.4b) | ($12.5b) | ($4.3b) | |
| Additional Paid in Capital, Common Stock | $91.6b | $90.6b | $89.2b | $88.5b | $88.4b | $88.4b | $89.0b | $90.1b | $90.9b | $91.1b | |
| Additional paid-in capital | $91.6b | $90.6b | $89.2b | $88.5b | $88.4b | $88.4b | $89.0b | $90.1b | $90.9b | $91.1b | |
| Common Stock, Value, Issued | $4.1b | $4.1b | $4.1b | $4.1b | $4.1b | $4.1b | $4.1b | $4.1b | $4.1b | $4.1b | |
| Common stock ($1 par value; authorized 9,000,000,000 shares; issued 4,104,933,895 shares) | $4.1b | $4.1b | $4.1b | $4.1b | $4.1b | $4.1b | $4.1b | $4.1b | $4.1b | $4.1b | |
| Preferred stock ($1 par value; authorized 200,000,000 shares: issued 2,005,375 and 2,005,375 shares) | $26.1b | $26.1b | $26.1b | $27.0b | $30.1b | $34.8b | $27.4b | $27.4b | $20.1b | $20.0b | |
| Retained Earnings (Accumulated Deficit) | $162.4b | $177.7b | $199.2b | $223.2b | $237.0b | $272.3b | $296.5b | $332.9b | $376.2b | $416.1b | |
| Treasury stock, at cost (1,408,661,319 and 1,307,313,494 shares) | ($28.9b) | ($42.6b) | ($60.5b) | ($83.0b) | ($88.2b) | ($105.4b) | ($107.3b) | ($116.2b) | ($134.0b) | ($164.6b) | |
| Stockholders' Equity Attributable to Parent | $254.2b | $255.7b | $256.5b | $261.3b | $279.4b | $294.1b | $292.3b | $327.9b | $344.8b | $362.4b | |
| Liabilities and Equity | $2.5t | $2.5t | $2.6t | $2.7t | $3.4t | $3.7t | $3.7t | $3.9t | $4.0t | $4.4t |
Values abbreviated: b = billions, m = millions, k = thousands. Per share data in USD.