7Baggers
Quarterly
Annual
    Unit: USD2025-09-30 2025-06-30 2025-03-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2018-03-31 2016-03-31 
                     
      assets
                     
      cash and due from banks
    21,821,000,000 23,759,000,000 22,066,000,000 22,896,000,000 27,265,000,000 22,750,000,000 29,066,000,000 24,921,000,000 26,064,000,000 25,098,000,000 27,697,000,000 24,654,000,000 27,215,000,000 26,165,000,000 26,438,000,000 24,834,000,000 18,212,000,000 
      deposits with banks
    281,615,000,000 396,568,000,000 403,837,000,000 411,364,000,000 503,554,000,000 539,366,000,000 595,085,000,000 486,448,000,000 469,059,000,000 520,902,000,000 539,537,000,000 619,533,000,000 642,045,000,000 728,367,000,000 714,396,000,000 389,978,000,000 360,196,000,000 
      federal funds sold and securities purchased under resale agreements
    425,815,000,000 470,589,000,000 429,506,000,000 390,821,000,000 392,763,000,000 330,559,000,000 276,152,000,000 350,059,000,000 325,628,000,000 317,111,000,000 315,592,000,000 301,878,000,000 322,156,000,000 301,875,000,000 261,698,000,000 247,608,000,000 223,220,000,000 
      securities borrowed
    248,368,000,000 223,976,000,000 238,702,000,000 252,434,000,000 199,062,000,000 198,336,000,000 200,436,000,000 188,279,000,000 163,563,000,000 195,917,000,000 185,369,000,000 193,216,000,000 202,393,000,000 224,852,000,000 206,071,000,000 116,132,000,000 102,937,000,000 
      trading assets
    952,777,000,000 889,856,000,000 875,203,000,000 787,489,000,000 733,882,000,000 754,409,000,000 540,607,000,000 601,993,000,000 636,996,000,000 578,892,000,000 453,799,000,000 506,487,000,000 465,577,000,000 511,528,000,000 433,575,000,000 412,282,000,000 366,153,000,000 
      available-for-sale securities
    490,499,000,000 485,380,000,000 399,363,000,000 334,548,000,000 266,252,000,000 236,152,000,000 201,704,000,000 197,119,000,000 203,262,000,000 197,248,000,000 205,857,000,000 188,140,000,000 222,069,000,000 312,875,000,000 308,525,000,000   
      held-to-maturity securities
    293,446,000,000 260,559,000,000 265,084,000,000 299,954,000,000 323,746,000,000 334,527,000,000 369,848,000,000 388,261,000,000 408,941,000,000 412,827,000,000 425,305,000,000 430,106,000,000 441,649,000,000 366,585,000,000    
      investment securities, net of allowance for credit losses
    783,945,000,000 745,939,000,000 664,447,000,000 634,502,000,000 589,998,000,000 570,679,000,000 571,552,000,000 585,380,000,000 612,203,000,000 610,075,000,000 631,162,000,000 618,246,000,000 663,718,000,000 679,460,000,000 672,232,000,000   
      loans
    1,435,246,000,000 1,411,992,000,000 1,355,695,000,000 1,340,011,000,000 1,320,700,000,000 1,309,616,000,000 1,323,706,000,000 1,310,059,000,000 1,300,069,000,000 1,128,896,000,000 1,135,647,000,000 1,112,633,000,000 1,104,155,000,000 1,073,285,000,000 1,077,714,000,000 934,424,000,000 847,313,000,000 
      allowance for loan losses
    -25,735,000,000 -24,953,000,000 -25,208,000,000 -23,949,000,000 -22,991,000,000 -22,351,000,000 -22,420,000,000 -21,946,000,000 -21,980,000,000 -20,053,000,000 -19,726,000,000 -18,185,000,000 -17,750,000,000 -17,192,000,000 -16,386,000,000 -13,375,000,000 -13,994,000,000 
      loans, net of allowance for loan losses
    1,409,511,000,000 1,387,039,000,000 1,330,487,000,000 1,316,062,000,000 1,297,709,000,000 1,287,265,000,000 1,301,286,000,000 1,288,113,000,000 1,278,089,000,000 1,108,843,000,000 1,115,921,000,000 1,094,448,000,000 1,086,405,000,000 1,056,093,000,000 1,061,328,000,000 921,049,000,000 833,319,000,000 
      accrued interest and accounts receivable
    141,876,000,000 124,463,000,000 117,845,000,000 122,565,000,000 135,692,000,000 129,823,000,000 107,363,000,000 127,752,000,000 111,561,000,000 115,316,000,000 125,189,000,000 143,905,000,000 145,442,000,000 152,207,000,000 102,570,000,000 72,659,000,000 57,649,000,000 
      premises and equipment
    35,063,000,000 33,562,000,000 32,811,000,000 31,525,000,000 30,582,000,000 30,279,000,000 30,157,000,000 29,677,000,000 29,493,000,000 28,266,000,000 27,734,000,000 27,199,000,000 26,770,000,000 26,916,000,000 27,070,000,000 14,382,000,000 14,195,000,000 
      goodwill, msrs and other intangible assets
    64,442,000,000 64,465,000,000 64,525,000,000 64,455,000,000 64,525,000,000 64,374,000,000 64,381,000,000 64,910,000,000 64,238,000,000 62,090,000,000 60,859,000,000 60,806,000,000 59,360,000,000 58,485,000,000 56,691,000,000 54,533,000,000  
      other assets
    194,972,000,000 192,266,000,000 178,427,000,000 175,935,000,000 167,971,000,000 162,887,000,000 159,308,000,000 150,801,000,000 151,346,000,000 181,795,000,000 182,884,000,000 183,512,000,000 200,233,000,000 188,739,000,000 181,498,000,000 118,140,000,000 108,696,000,000 
      total assets
    4,560,205,000,000 4,552,482,000,000 4,357,856,000,000 4,210,048,000,000 4,143,003,000,000 4,090,727,000,000 3,875,393,000,000 3,898,333,000,000 3,868,240,000,000 3,744,305,000,000 3,665,743,000,000 3,773,884,000,000 3,841,314,000,000 3,954,687,000,000 3,743,567,000,000 2,609,785,000,000 2,423,808,000,000 
      liabilities
                     
      deposits
    2,548,476,000,000 2,562,380,000,000 2,495,877,000,000 2,430,772,000,000 2,396,530,000,000 2,428,409,000,000  2,379,526,000,000 2,398,962,000,000 2,377,253,000,000 2,340,179,000,000 2,408,615,000,000 2,471,544,000,000 2,561,207,000,000 2,462,303,000,000 1,486,961,000,000 1,321,816,000,000 
      federal funds purchased and securities loaned or sold under repurchase agreements
    567,574,000,000 595,340,000,000 533,046,000,000 389,337,000,000 400,832,000,000 325,670,000,000  268,750,000,000 266,272,000,000 246,396,000,000 202,613,000,000 239,939,000,000 222,719,000,000 223,858,000,000 194,340,000,000 179,091,000,000 160,999,000,000 
      short-term borrowings
    69,355,000,000 65,293,000,000 64,980,000,000 50,638,000,000 47,308,000,000 46,268,000,000  45,470,000,000 41,022,000,000 42,241,000,000 44,027,000,000 47,866,000,000 58,422,000,000 57,586,000,000 53,594,000,000 62,667,000,000  
      trading liabilities
    242,262,000,000 221,402,000,000 187,103,000,000 243,258,000,000 240,836,000,000 228,327,000,000  207,457,000,000 178,809,000,000 189,864,000,000 177,976,000,000 189,878,000,000 190,308,000,000 202,083,000,000 164,693,000,000 136,537,000,000 147,282,000,000 
      accounts payable and other liabilities
    316,896,000,000 303,641,000,000 293,538,000,000 314,356,000,000 295,813,000,000 301,469,000,000  292,070,000,000 286,934,000,000 275,077,000,000 300,141,000,000 300,016,000,000 313,326,000,000 320,671,000,000 262,755,000,000 192,295,000,000 176,934,000,000 
      beneficial interests issued by consolidated vies
    28,227,000,000 27,700,000,000 24,668,000,000 25,694,000,000 27,104,000,000 28,075,000,000  24,896,000,000 19,647,000,000 14,903,000,000  12,079,000,000 10,640,000,000 10,144,000,000  21,584,000,000  
      long-term debt
    427,203,000,000 419,802,000,000 407,224,000,000 410,157,000,000 394,028,000,000 395,872,000,000  362,793,000,000 364,078,000,000 295,489,000,000 295,865,000,000 287,473,000,000 288,212,000,000 293,239,000,000 301,005,000,000 274,449,000,000 290,754,000,000 
      total liabilities
    4,199,993,000,000 4,195,558,000,000 4,006,436,000,000 3,864,212,000,000 3,802,451,000,000 3,754,090,000,000  3,580,962,000,000 3,555,724,000,000 3,441,223,000,000 3,373,411,000,000 3,485,866,000,000 3,555,171,000,000 3,668,788,000,000 3,449,440,000,000 2,353,584,000,000 2,173,651,000,000 
      commitments and contingencies
                     
      stockholders’ equity
              292,332,000,000    294,127,000,000   
      preferred stock
    20,045,000,000 20,045,000,000 20,045,000,000 21,650,000,000 23,900,000,000 29,900,000,000  27,404,000,000 27,404,000,000 27,404,000,000  32,838,000,000 32,838,000,000 32,838,000,000  26,068,000,000 26,068,000,000 
      common stock
    4,105,000,000 4,105,000,000 4,105,000,000 4,105,000,000 4,105,000,000 4,105,000,000  4,105,000,000 4,105,000,000 4,105,000,000  4,105,000,000 4,105,000,000 4,105,000,000  4,105,000,000 4,105,000,000 
      additional paid-in capital
    90,865,000,000 90,576,000,000 90,223,000,000 90,638,000,000 90,328,000,000 89,903,000,000  89,899,000,000 89,578,000,000 89,155,000,000  88,865,000,000 88,614,000,000 88,260,000,000  89,211,000,000 91,782,000,000 
      retained earnings
    407,401,000,000 397,424,000,000 386,616,000,000 365,966,000,000 356,924,000,000 342,414,000,000  327,044,000,000 317,359,000,000 306,208,000,000  288,776,000,000 282,445,000,000 277,177,000,000  183,855,000,000 149,730,000,000 
      accumulated other comprehensive losses
    -5,878,000,000 -7,243,000,000 -9,111,000,000 -6,784,000,000 -11,338,000,000 -11,639,000,000  -17,104,000,000 -14,290,000,000 -14,418,000,000  -19,134,000,000      
      treasury stock
    -156,326,000,000 -147,983,000,000 -140,458,000,000 -129,739,000,000 -123,367,000,000 -118,046,000,000  -113,977,000,000 -111,640,000,000 -109,372,000,000  -107,432,000,000 -107,490,000,000 -106,914,000,000  -45,954,000,000 -22,289,000,000 
      total stockholders’ equity
    360,212,000,000 356,924,000,000 351,420,000,000 345,836,000,000 340,552,000,000 336,637,000,000  317,371,000,000 312,516,000,000 303,082,000,000  288,018,000,000 286,143,000,000 285,899,000,000  256,201,000,000 250,157,000,000 
      total liabilities and stockholders’ equity
    4,560,205,000,000 4,552,482,000,000 4,357,856,000,000 4,210,048,000,000 4,143,003,000,000 4,090,727,000,000  3,898,333,000,000 3,868,240,000,000 3,744,305,000,000 3,665,743,000,000 3,773,884,000,000 3,841,314,000,000 3,954,687,000,000 3,743,567,000,000 2,609,785,000,000 2,423,808,000,000 
      58
                     
      selected consolidated balance sheets data
                     
      december 31,
              2,022,000,000    2,021,000,000   
      beneficial interests issued by consolidated variable interest entities
              12,610,000,000    10,750,000,000  38,673,000,000 
      accumulated other comprehensive income/
                -14,369,000,000     
      accumulated other comprehensive income
                 -9,567,000,000   782,000,000 
      held-to-maturity securities, net of allowance for credit losses
                  363,707,000,000   
      investment securities
                   238,188,000,000  
      accumulated other comprehensive loss
                   -1,063,000,000  
      shares held in restricted stock units
                   -21,000,000  
      securities
                    285,323,000,000 
      goodwill
                    47,310,000,000 
      mortgage servicing rights
                    5,658,000,000 
      other intangible assets
                    940,000,000 
      commercial paper
                    17,490,000,000 
      other borrowed funds
                    19,703,000,000 
      shares held in rsu trust, at cost
                    -21,000,000 
    The information provided in this report is taken from www.sec.gov and many other data providers. While we have conducted our best efforts to ensure that the parsed data is accurate, we cannot guarantee its accuracy. Please use caution and understand that any consequences of its use are your own responsibility.