7Baggers

Capital One Quarterly Balance Sheets Chart

Quarterly
 | 
Annual
 
 Goodwill  
20200930 20201231 20210331 20210630 20210930 20211231 20220331 20220630 20220930 20221231 20230331 20230630 20230930 20231231 20240331 20240630 20240930 20241231 20250331 20250630 04.058.112.1416.1920.2424.2928.34Billion

Capital One Quarterly Balance Sheets Table

Quarterly
 | 
Annual
 
Unit: USD2025-06-30 2025-03-31 2024-12-31 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 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-09-30 2020-03-31 2019-06-30 2019-03-31 2018-09-30 2018-06-30 2018-03-31 2016-09-30 2016-06-30 2016-03-31 2015-09-30 2015-06-30 2015-03-31 2014-06-30 2014-03-31 2013-09-30 2013-06-30 2013-03-31 2012-09-30 2012-06-30 2012-03-31 2011-12-31 2011-09-30 2011-06-30 2011-03-31 2010-12-31 
                                               
  assets:                                             
  cash and cash equivalents:                                             
  cash and due from banks4,854,000,000 4,108,000,000 3,793,000,000 3,976,000,000 5,298,000,000 4,671,000,000 3,869,000,000 4,620,000,000 3,360,000,000 3,347,000,000 5,054,000,000 3,716,000,000 4,825,000,000 5,107,000,000 5,281,000,000 5,444,000,000 5,312,000,000 4,670,000,000 4,839,000,000 4,267,000,000 4,545,000,000 5,184,000,000 4,572,000,000 4,547,000,000 4,499,000,000 4,220,000,000 3,350,000,000 3,253,000,000 3,241,000,000 2,701,000,000 2,879,000,000 2,853,000,000 3,598,000,000 3,373,000,000 2,855,000,000 2,176,000,000 1,947,000,000 1,855,000,000 2,297,000,000 2,183,000,000  1,794,000,000 1,954,000,000 2,028,000,000 2,128,000,000 
  interest-bearing deposits and other short-term investments54,255,000,000 44,465,000,000  45,322,000,000 40,116,000,000 46,357,000,000  40,249,000,000 38,236,000,000 43,166,000,000  21,176,000,000 16,728,000,000 21,697,000,000  21,180,000,000 29,534,000,000 45,825,000,000  39,839,000,000 20,391,000,000 9,927,000,000 12,897,000,000 6,335,000,000 7,774,000,000 9,788,000,000                    
  total cash and cash equivalents59,109,000,000 48,573,000,000  49,298,000,000 45,414,000,000 51,028,000,000  44,869,000,000 41,596,000,000 46,513,000,000  24,892,000,000 21,553,000,000 26,804,000,000  26,624,000,000 34,846,000,000 50,495,000,000  44,106,000,000 24,936,000,000 15,111,000,000 17,469,000,000 10,882,000,000 12,273,000,000 14,008,000,000 9,094,000,000 7,149,000,000 5,235,000,000 6,837,000,000 7,156,000,000 8,891,000,000 6,732,000,000 6,182,000,000 5,718,000,000 4,653,000,000 6,746,000,000         
  restricted cash for securitization investors2,469,000,000 392,000,000  421,000,000 2,415,000,000 474,000,000  435,000,000 452,000,000 460,000,000  399,000,000 697,000,000 281,000,000  234,000,000 242,000,000 1,779,000,000  895,000,000 364,000,000 710,000,000 1,969,000,000 746,000,000 1,023,000,000 309,000,000 287,000,000 265,000,000 960,000,000 586,000,000 253,000,000 234,000,000 361,000,000 550,000,000 390,000,000 377,000,000 1,018,000,000 760,000,000 370,000,000 1,090,000,000  984,000,000 1,328,000,000 2,556,000,000  
  securities available for sale87,196,000,000 84,362,000,000  83,500,000,000 79,250,000,000 78,398,000,000  74,837,000,000 78,412,000,000 81,925,000,000  75,303,000,000 83,022,000,000 89,076,000,000  98,149,000,000 101,766,000,000 99,165,000,000  99,853,000,000 81,423,000,000 45,658,000,000 45,888,000,000 47,384,000,000 50,691,000,000 47,155,000,000                    
  loans held for investment:                                             
  unsecuritized loans held for investment384,413,000,000 295,939,000,000  292,061,000,000 289,124,000,000 285,577,000,000  284,953,000,000 280,933,000,000 280,093,000,000  277,576,000,000 271,339,000,000 257,505,000,000  238,475,000,000 226,130,000,000 219,182,000,000  217,878,000,000 231,318,000,000 211,556,000,000 208,591,000,000 204,796,000,000 201,222,000,000 213,313,000,000 206,763,000,000 202,778,000,000 195,705,000,000 179,748,000,000 175,407,000,000 170,040,000,000 161,224,000,000 156,072,000,000 152,332,000,000 151,231,000,000          
  loans held in consolidated trusts54,884,000,000 27,659,000,000  28,182,000,000 29,062,000,000 29,577,000,000  29,827,000,000 30,390,000,000 28,743,000,000  26,367,000,000 25,045,000,000 22,961,000,000  22,915,000,000 23,467,000,000 23,949,000,000  30,345,000,000 31,672,000,000 32,904,000,000 31,682,000,000 33,965,000,000 34,902,000,000 34,943,000,000 31,256,000,000 31,825,000,000 31,908,000,000                 
  total loans held for investment439,297,000,000 323,598,000,000  320,243,000,000 318,186,000,000 315,154,000,000  314,780,000,000 311,323,000,000 308,836,000,000  303,943,000,000 296,384,000,000 280,466,000,000  261,390,000,000 249,597,000,000 243,131,000,000  248,223,000,000 262,990,000,000 244,460,000,000 240,273,000,000 238,761,000,000 236,124,000,000 248,256,000,000 238,019,000,000 234,603,000,000 227,613,000,000 213,329,000,000 209,705,000,000 203,978,000,000 198,528,000,000 192,941,000,000 191,814,000,000 191,512,000,000 191,333,000,000 203,132,000,000 202,749,000,000 173,822,000,000  129,952,000,000 128,965,000,000 124,092,000,000 1,285,261,393,410,840,000 
  allowance for credit losses-23,873,000,000 -15,899,000,000 -15,968,000,000 -16,534,000,000 -16,649,000,000 -15,380,000,000 -14,290,000,000 -14,955,000,000 -14,646,000,000 -14,318,000,000 -11,620,000,000 -12,209,000,000 -11,491,000,000 -11,308,000,000 -13,354,000,000 -11,573,000,000 -12,346,000,000 -14,017,000,000 -14,382,000,000 -16,129,000,000 -14,073,000,000                         
  net loans held for investment415,424,000,000 307,699,000,000  303,709,000,000 301,537,000,000 299,774,000,000  299,825,000,000 296,677,000,000 294,518,000,000  291,734,000,000 284,893,000,000 269,158,000,000  249,817,000,000 237,251,000,000 229,114,000,000  232,094,000,000 248,917,000,000 237,327,000,000 232,960,000,000 231,542,000,000 228,756,000,000 240,689,000,000 231,761,000,000 228,722,000,000 222,197,000,000 208,482,000,000 205,029,000,000 199,573,000,000 194,530,000,000 188,843,000,000 187,481,000,000 187,105,000,000 186,727,000,000 197,978,000,000 197,751,000,000 169,762,000,000  125,672,000,000 124,477,000,000 119,025,000,000  
  loans held for sale198,000,000 686,000,000  96,000,000 808,000,000 1,631,000,000  742,000,000 1,211,000,000 363,000,000  1,729,000,000 875,000,000 1,155,000,000  6,300,000,000 6,522,000,000 2,896,000,000  3,433,000,000 1,056,000,000                         
  premises and equipment5,687,000,000 4,579,000,000 4,409,000,000 4,440,000,000 4,396,000,000 4,366,000,000 4,373,000,000 4,378,000,000 4,359,000,000 4,365,000,000 4,265,000,000 4,265,000,000 4,238,000,000 4,238,000,000 4,257,000,000 4,204,000,000 4,227,000,000 4,277,000,000 4,334,000,000 4,333,000,000 4,336,000,000 4,243,000,000 4,205,000,000 4,149,000,000 4,095,000,000 4,055,000,000 3,561,000,000 3,556,000,000 3,542,000,000 3,629,000,000 3,602,000,000 3,684,000,000 3,764,000,000 3,807,000,000 3,792,000,000 3,766,000,000 3,736,000,000 3,519,000,000 3,556,000,000 3,062,000,000  2,785,000,000 2,754,000,000 2,739,000,000 2,718,000,000 
  interest receivable3,373,000,000 2,599,000,000  2,577,000,000 2,494,000,000 2,514,000,000  2,469,000,000 2,297,000,000 2,250,000,000  1,853,000,000 1,611,000,000 1,479,000,000  1,418,000,000 1,372,000,000 1,380,000,000  1,551,000,000 1,687,000,000 1,544,000,000 1,615,000,000 1,518,000,000 1,493,000,000 1,496,000,000 1,251,000,000 1,236,000,000 1,221,000,000 1,101,000,000 1,056,000,000 1,078,000,000 1,473,000,000 1,325,000,000 1,304,000,000 1,454,000,000 1,378,000,000 1,614,000,000 1,623,000,000 1,157,000,000  958,000,000 1,027,000,000 1,025,000,000  
  goodwill28,335,000,000 15,070,000,000  15,083,000,000 15,062,000,000 15,062,000,000  15,048,000,000 15,060,000,000 14,779,000,000  14,771,000,000 14,778,000,000 14,784,000,000  14,652,000,000 14,654,000,000 14,654,000,000  14,648,000,000 14,645,000,000 14,545,000,000 14,546,000,000 14,513,000,000 14,531,000,000 14,536,000,000 14,493,000,000 14,495,000,000 14,492,000,000 13,983,000,000 13,984,000,000 13,978,000,000 13,977,000,000 13,974,000,000 13,906,000,000 13,900,000,000 13,900,000,000 13,901,000,000 13,864,000,000 13,595,000,000  13,593,000,000 13,596,000,000 13,597,000,000  
  other intangible assets18,157,000,000                                             
  other assets30,904,000,000 29,644,000,000 34,736,000,000 27,309,000,000 28,642,000,000 28,473,000,000 32,617,000,000 28,832,000,000 27,736,000,000 26,487,000,000 36,193,000,000 29,286,000,000 28,621,000,000 27,220,000,000 39,001,000,000 23,979,000,000 22,540,000,000 21,415,000,000 38,034,000,000 20,970,000,000 19,514,000,000 17,177,000,000 17,131,000,000 16,142,000,000 16,183,000,000 16,036,000,000 17,090,000,000 17,394,000,000 16,276,000,000 15,374,000,000 15,560,000,000 14,893,000,000 14,970,000,000            26,752,000,000 
  assets of discontinued operations8,116,000,000                                             
  total assets658,968,000,000 493,604,000,000 480,451,000,000 486,433,000,000 480,018,000,000 481,720,000,000 467,807,000,000 471,435,000,000 467,800,000,000 471,660,000,000 440,538,000,000 444,232,000,000 440,288,000,000 434,195,000,000 424,521,000,000 425,377,000,000 423,420,000,000 425,175,000,000 411,187,000,000 421,883,000,000 396,878,000,000 373,619,000,000 373,191,000,000 362,909,000,000 363,989,000,000 362,857,000,000 345,061,000,000 339,117,000,000 330,346,000,000 313,700,000,000 310,510,000,000 306,224,000,000 298,317,000,000 290,500,000,000 289,888,000,000 296,542,000,000 300,163,000,000 301,989,000,000 296,572,000,000 294,481,000,000  200,148,000,000 199,753,000,000 199,300,000,000 200,114,000,000 
  liabilities:                                             
  interest payable888,000,000 646,000,000  705,000,000 668,000,000 762,000,000  685,000,000 637,000,000 621,000,000  433,000,000 333,000,000 261,000,000  241,000,000 301,000,000 288,000,000  332,000,000 359,000,000 437,000,000 382,000,000 391,000,000 450,000,000 353,000,000 237,000,000 301,000,000 217,000,000 198,000,000 262,000,000 195,000,000 309,000,000 259,000,000 276,000,000 324,000,000 310,000,000 368,000,000 462,000,000 384,000,000  401,000,000 469,000,000 411,000,000  
  deposits:                                             
  non-interest-bearing deposits27,879,000,000 26,500,000,000 26,871,000,000 26,378,000,000 27,005,000,000 27,617,000,000 29,817,000,000 28,794,000,000 29,312,000,000 31,186,000,000 36,343,000,000 34,391,000,000 37,004,000,000 37,781,000,000 34,897,000,000 36,804,000,000 34,994,000,000 34,003,000,000 27,556,000,000 29,633,000,000 24,547,000,000 23,374,000,000 24,908,000,000 24,839,000,000 25,620,000,000 26,176,000,000 25,565,000,000 25,424,000,000                  
  interest-bearing deposits440,231,000,000 340,964,000,000 324,297,114,933,540,000 327,253,000,000 324,437,000,000 323,352,000,000 31,373,794,893,020,000 317,217,000,000 314,393,000,000 318,641,000,000 27,720,825,350,910,000 282,802,000,000 270,881,000,000 275,648,000,000 2,715,009,560,350,000 269,134,000,000 271,314,000,000 276,325,000,000 26,327,921,650,820,000 276,092,000,000 245,142,000,000 231,161,000,000 230,199,000,000 222,356,000,000 222,605,000,000 224,671,000,000 200,416,000,000 195,635,000,000 196,597,000,000 187,848,000,000 183,657,000,000 185,208,000,000 180,970,000,000 184,214,000,000            
  total deposits468,110,000,000 367,464,000,000  353,631,000,000 351,442,000,000 350,969,000,000  346,011,000,000 343,705,000,000 349,827,000,000  317,193,000,000 307,885,000,000 313,429,000,000  305,938,000,000 306,308,000,000 310,328,000,000  305,725,000,000 269,689,000,000 254,535,000,000 255,107,000,000 247,195,000,000 248,225,000,000 250,847,000,000 225,981,000,000 221,059,000,000 221,779,000,000 212,903,000,000 208,780,000,000 210,440,000,000             10,474,314,651,400,000 
  securitized debt obligations14,658,000,000 11,716,000,000 165,079,585,800,000 15,881,000,000 17,291,000,000 17,661,000,000 176,759,595,420,000 17,417,000,000 17,861,000,000 17,813,000,000 156,033,842,460,000 15,926,000,000 17,466,000,000 13,740,000,000 123,361,190,960,000 12,635,000,000 10,561,000,000 12,071,000,000 155,332,321,490,000 13,566,000,000 17,141,000,000 16,959,000,000 19,273,000,000 18,649,000,000 19,649,000,000 18,665,000,000 18,411,000,000 16,130,000,000 14,913,000,000 15,656,000,000 13,785,000,000 12,717,000,000 10,010,000,000 9,783,000,000 9,544,000,000 10,831,000,000 11,046,000,000 12,686,000,000 13,608,000,000 15,474,000,000  17,120,000,000 19,860,000,000 24,506,000,000  
  other debt:                                             
  federal funds purchased and securities loaned or sold under agreements to repurchase742,000,000 573,000,000  520,000,000 715,000,000 568,000,000  522,000,000 649,000,000 542,000,000  528,000,000 440,000,000 594,000,000  825,000,000 845,000,000 842,000,000  702,000,000 399,000,000 359,000,000 335,000,000 384,000,000 553,000,000 656,000,000 1,079,000,000 999,000,000 917,000,000 1,021,000,000 1,888,000,000 933,000,000 2,030,000,000 1,544,000,000 1,686,000,000 1,766,000,000 855,000,000 967,000,000 1,101,000,000 770,000,000  1,441,000,000 2,575,000,000 1,970,000,000  
  senior and subordinated notes36,706,000,000 29,459,000,000 3,152,923,337,400,000 32,911,000,000 29,925,000,000 32,108,000,000 3,110,922,047,080,000 31,283,000,000 31,627,000,000 30,398,000,000 2,928,610,743,670,000 30,615,000,000 30,489,000,000 26,976,000,000 255,304,881,910,000 23,983,000,000 24,878,000,000 25,467,000,000 296,216,792,290,000 28,448,000,000 32,049,000,000 31,822,000,000 30,645,000,000 31,291,000,000 32,920,000,000 31,051,000,000 24,001,000,000 21,872,000,000 21,736,000,000 21,773,000,000 19,987,000,000 20,559,000,000 16,628,000,000 14,891,000,000 12,395,000,000 12,406,000,000 13,255,000,000 11,756,000,000 12,079,000,000 11,948,000,000  11,051,000,000 8,664,000,000 8,545,000,000 85,712,763,220,000 
  other borrowings560,000,000 25,000,000  24,000,000 25,000,000 24,000,000  25,000,000 121,000,000 24,000,000  7,538,000,000 10,543,000,000 4,048,000,000  58,000,000 59,000,000 70,000,000  79,000,000 6,092,000,000 93,000,000 105,000,000 1,881,000,000 188,000,000 321,000,000 16,329,000,000 20,180,000,000 12,931,000,000 4,328,000,000 10,106,000,000 6,820,000,000 10,446,000,000 3,900,000,000 8,220,000,000 11,228,000,000 12,336,000,000 12,968,000,000 9,086,000,000 4,693,000,000  4,703,000,000 6,636,000,000 4,776,000,000  
  total other debt38,008,000,000 30,057,000,000  33,455,000,000 30,665,000,000 32,700,000,000  31,830,000,000 32,397,000,000 30,964,000,000  38,681,000,000 41,472,000,000 31,618,000,000  24,866,000,000 25,782,000,000 26,379,000,000  29,229,000,000 38,540,000,000 32,274,000,000 31,085,000,000 33,556,000,000 33,661,000,000 32,028,000,000 41,409,000,000 43,051,000,000 35,584,000,000 27,122,000,000 31,981,000,000 28,312,000,000 29,104,000,000 20,335,000,000 22,301,000,000 25,400,000,000 26,446,000,000 25,691,000,000 22,266,000,000 17,411,000,000  17,195,000,000 17,875,000,000 15,291,000,000  
  other liabilities26,316,000,000 20,179,000,000 19,024,000,000 19,836,000,000 21,971,000,000 21,827,000,000 17,880,000,000 21,824,000,000 18,641,000,000 17,782,000,000 19,173,000,000 21,138,000,000 19,722,000,000 18,802,000,000 15,441,000,000 18,153,000,000 15,844,000,000 14,921,000,000 14,115,000,000 14,607,000,000 14,319,000,000 13,647,000,000 13,863,000,000 12,480,000,000 12,078,000,000 11,761,000,000 10,810,000,000 10,468,000,000 10,146,000,000 10,136,000,000 9,043,000,000 8,830,000,000 9,189,000,000 8,998,000,000 9,183,000,000 9,081,000,000 8,655,000,000 10,317,000,000 9,113,000,000 7,734,000,000  7,736,000,000 6,751,000,000 6,096,000,000 6,105,000,000 
  liabilities of discontinued operations32,000,000                                             
  total liabilities548,012,000,000 430,062,000,000 420,652,000,000 423,508,000,000 422,037,000,000 423,919,000,000 412,612,000,000 417,767,000,000 413,241,000,000 417,007,000,000 385,413,000,000 393,371,000,000 386,878,000,000 377,850,000,000 361,965,000,000 361,833,000,000 358,796,000,000 363,987,000,000 352,986,000,000 363,459,000,000 340,048,000,000 317,852,000,000 319,710,000,000 312,271,000,000 314,063,000,000 313,654,000,000 296,848,000,000 291,009,000,000 282,639,000,000 266,015,000,000 263,851,000,000 260,494,000,000 254,502,000,000 247,699,000,000 248,138,000,000 255,501,000,000 258,867,000,000 262,317,000,000 259,380,000,000 257,531,000,000  170,770,000,000 171,072,000,000 171,750,000,000 175,173,000,000 
  commitments, contingencies and guarantees                                             
  stockholders’ equity:                                             
  preferred stock                 
  common stock7,000,000 7,000,000  7,000,000 7,000,000 7,000,000  7,000,000 7,000,000 7,000,000  7,000,000 7,000,000 7,000,000  7,000,000 7,000,000 7,000,000  7,000,000 7,000,000 7,000,000 7,000,000 7,000,000 7,000,000 7,000,000 7,000,000 7,000,000 7,000,000 6,000,000 6,000,000 6,000,000 6,000,000 6,000,000 6,000,000 6,000,000 6,000,000 6,000,000 6,000,000 6,000,000  5,000,000 5,000,000 5,000,000  
  additional paid-in capital63,465,000,000 36,693,000,000  36,216,000,000 36,012,000,000 35,808,000,000  35,334,000,000 35,163,000,000 34,952,000,000  34,579,000,000 34,425,000,000 34,286,000,000  35,051,000,000 35,472,000,000 33,671,000,000  33,793,000,000 33,450,000,000 32,262,000,000 32,160,000,000 31,978,000,000 31,868,000,000 31,779,000,000 30,439,000,000 29,786,000,000 29,709,000,000 29,594,000,000 29,063,000,000 27,939,000,000 27,210,000,000 26,605,000,000 26,426,000,000 26,339,000,000 26,256,000,000         
  retained earnings60,892,000,000 65,616,000,000  63,698,000,000 62,211,000,000 61,905,000,000  60,529,000,000 59,028,000,000 57,898,000,000  56,240,000,000 54,836,000,000 53,099,000,000  48,944,000,000 46,461,000,000 43,167,000,000  37,653,000,000 36,552,000,000 38,386,000,000 37,030,000,000 34,883,000,000 33,626,000,000 31,996,000,000 29,245,000,000 28,479,000,000 27,808,000,000 26,407,000,000 25,540,000,000 24,925,000,000 22,270,000,000 21,259,000,000 19,731,000,000 18,804,000,000 17,876,000,000 16,054,000,000 14,905,000,000 14,841,000,000  13,091,000,000 12,287,000,000 11,399,000,000  
  accumulated other comprehensive loss-6,819,000,000 -7,529,000,000  -6,287,000,000 -9,701,000,000 -9,534,000,000  -12,224,000,000 -9,818,000,000 -8,540,000,000             -660,000,000 -1,877,000,000 -1,793,000,000 -1,599,000,000   -41,000,000 -142,000,000 -397,000,000 -212,000,000              
  treasury stock-6,589,000,000 -31,245,000,000  -30,709,000,000 -30,548,000,000 -30,385,000,000  -29,978,000,000 -29,821,000,000 -29,664,000,000  -29,261,000,000 -28,942,000,000 -26,954,000,000  -21,818,000,000 -19,108,000,000 -17,440,000,000  -16,862,000,000 -16,858,000,000 -15,058,000,000 -15,056,000,000 -14,353,000,000 -13,782,000,000 -12,980,000,000 -11,599,000,000 -10,405,000,000 -9,776,000,000 -8,180,000,000 -7,553,000,000 -6,928,000,000 -5,300,000,000             
  total stockholders’ equity110,956,000,000 63,542,000,000  62,925,000,000 57,981,000,000 57,801,000,000  53,668,000,000 54,559,000,000 54,653,000,000  50,861,000,000 53,410,000,000 56,345,000,000  63,544,000,000 64,624,000,000 61,188,000,000  58,424,000,000 56,830,000,000 55,767,000,000 53,481,000,000 50,638,000,000 49,926,000,000 49,203,000,000 48,213,000,000 48,108,000,000 47,707,000,000 47,685,000,000 46,659,000,000 45,730,000,000 43,815,000,000 42,801,000,000 41,750,000,000 41,041,000,000 41,296,000,000 39,672,000,000 37,192,000,000 36,950,000,000 29,666,000,000 29,378,000,000 28,681,000,000 27,550,000,000  
  total liabilities and stockholders’ equity658,968,000,000 493,604,000,000 480,451,000,000 486,433,000,000 480,018,000,000 481,720,000,000 467,807,000,000 471,435,000,000 467,800,000,000 471,660,000,000 440,538,000,000 444,232,000,000 440,288,000,000 434,195,000,000 424,521,000,000 425,377,000,000 423,420,000,000 425,175,000,000 411,187,000,000 421,883,000,000 396,878,000,000 373,619,000,000 373,191,000,000 362,909,000,000 363,989,000,000 362,857,000,000 345,061,000,000 339,117,000,000 330,346,000,000 313,700,000,000 310,510,000,000 306,224,000,000 298,317,000,000 290,500,000,000 289,888,000,000 296,542,000,000 300,163,000,000 301,989,000,000 296,572,000,000 294,481,000,000  200,148,000,000 199,753,000,000 199,300,000,000 200,114,000,000 
  interest-earning assets:                                             
  loans:                                             
  credit card  1,531,152,922,619,090,200    1,416,752,626,718,540,000    1,210,551,962,616,210,000    1,060,161,547,414,600,000    1,106,341,557,514,080,100                           
  consumer banking  7,597,466,128,700,000    7,751,460,417,790,000    8,051,157,827,180,000    7,387,458,047,860,000    6,629,955,518,370,000                           
  commercial banking  8,900,763,017,080,000    9,298,463,636,840,000    9,227,337,024,010,000    7,743,821,192,740,000    7,796,824,383,130,000                           
  other                                 14,689,000,000 15,709,000,000 16,437,000,000 16,280,000,000 16,597,000,000 16,997,000,000 13,626,000,000 -2,000,000 10,985,000,000 10,268,000,000 10,592,000,000  
  total loans, including loans held for sale  3,180,964,089,412,860,000    3,121,733,741,011,980,000    293,839,289,109,840,000    257,328,242,639,429,980    254,901,240,749,440,000                           
  investment securities  9,025,028,733,180,000    8,910,525,502,860,001    9,060,818,842,080,000    9,839,414,461,470,000    8,722,218,772,150,000                          3,948,913,423,400,000 
  cash equivalents and other interest-earning assets  4,513,522,675,020,000    3,996,019,784,950,000    221,994,432,000,000    33,614,600,180,000    36,239,820,230,000                           
  total interest-earning assets  4,534,814,603,410,150,400    441,238,419,389,500,000    406,646,312,377,680,000    389,336,257,696,619,970    378,362,260,336,880,000                          175,730,153,538,740,000 
  liabilities and stockholders’ equity:                                             
  interest-bearing liabilities:                                             
  other borrowings and interest-bearing liabilities  2,424,421,710,000                                           
  total interest-bearing liabilities  374,757,148,263,960,000    364,915,126,973,480,000    32,989,741,231,250,000    31,162,715,980,510,000    31,131,531,201,000,000                          15,435,328,961,880,000 
  stockholders’ equity  59,799,000,000    55,195,000,000    55,125,000,000    62,556,000,000    58,201,000,000                          24,941,000,000 
  net interest income/spread  312,086,200,000    292,416,030,000    271,146,430,000    241,716,110,000    229,135,880,000                          124,576,860,000 
  impact of non-interest-bearing funding  680,000    600,000    240,000    100,000    180,000                           
  net interest margin  6,880,000    6,630,000    6,670,000    6,210,000    6,060,000                          7,090,000 
  other borrowings and liabilities      2,394,451,890,000    78,001,301,670,000    2,261,351,570,000    2,882,441,550,000                           
  accumulated other comprehensive income           -10,704,000,000 -6,916,000,000 -4,093,000,000  1,360,000,000 1,792,000,000 1,783,000,000  3,833,000,000 3,679,000,000 170,000,000     121,000,000 241,000,000     -371,000,000  -839,000,000 -792,000,000 473,000,000 781,000,000 350,000,000 253,000,000  291,000,000 442,000,000 245,000,000  
  investment securities:                                             
  securities held to maturity                     35,475,000,000 36,503,000,000 34,631,000,000 33,464,000,000 23,075,000,000                    
  total investment securities                     81,133,000,000 82,391,000,000 82,015,000,000 84,155,000,000 70,230,000,000                    
  allowance for loan and lease losses                     -7,133,000,000 -7,313,000,000 -7,219,000,000 -7,368,000,000 -7,567,000,000 -6,258,000,000 -5,881,000,000 -5,416,000,000 -4,847,000,000 -4,676,000,000 -4,405,000,000 -3,998,000,000            -7,257,000,000 
  loans held for sale, at lower of cost or fair value                     1,829,000,000 905,000,000 1,402,000,000 1,480,000,000 1,498,000,000 994,000,000 1,220,000,000 1,251,000,000 566,000,000 1,066,000,000 1,331,000,000 709,000,000 259,000,000 180,000,000 6,248,000,000 6,410,000,000         
  interest-bearing deposits with banks                          5,744,000,000 3,840,000,000 1,909,000,000 3,952,000,000 4,275,000,000 6,038,000,000 2,954,000,000 2,641,000,000 2,481,000,000 2,279,000,000 4,563,000,000 3,860,000,000 3,352,000,000 28,165,000,000  3,238,000,000 4,037,000,000 5,397,000,000  
  securities available for sale, at fair value                          41,511,000,000 39,960,000,000 40,092,000,000 39,431,000,000 39,136,000,000 39,321,000,000 41,113,000,000 40,721,000,000 43,132,000,000 62,602,000,000 63,968,000,000 61,464,000,000 55,289,000,000 60,810,000,000  38,400,000,000 39,474,000,000 41,566,000,000  
  securities held to maturity, at carrying value                          25,019,000,000 25,120,000,000 25,080,000,000 23,711,000,000 23,668,000,000 23,241,000,000 20,688,000,000 20,150,000,000 18,276,000,000           
  federal funds sold and securities purchased under agreements to resell                           56,000,000 85,000,000 184,000,000 2,000,000  180,000,000 168,000,000 382,000,000 198,000,000 236,000,000 254,000,000 330,000,000 308,000,000  1,326,000,000 652,000,000 546,000,000  
  non-interest bearing deposits                            25,182,000,000 25,055,000,000 25,123,000,000 25,232,000,000 24,920,000,000 24,110,000,000 22,281,000,000 22,097,000,000 21,317,000,000 20,767,000,000 20,072,000,000 19,274,000,000  17,541,000,000 16,839,000,000 16,349,000,000 14,267,000,000 
  restricted loans for securitization investors                             33,581,000,000 34,298,000,000 33,938,000,000 37,304,000,000 36,869,000,000 39,482,000,000 40,281,000,000 40,612,000,000 43,913,000,000 44,069,000,000 44,895,000,000  46,942,000,000 47,380,000,000 48,908,000,000  
  customer deposits:                                             
  total customer deposits                                205,890,000,000 208,324,000,000 206,834,000,000 209,865,000,000 212,410,000,000 213,255,000,000 213,931,000,000 216,528,000,000  128,318,000,000 126,117,000,000 125,446,000,000  
  less: allowance for loan and lease losses                                 -4,098,000,000 -4,333,000,000 -4,407,000,000 -4,606,000,000 -5,154,000,000 -4,998,000,000 -4,060,000,000  -4,280,000,000 -4,488,000,000 -5,067,000,000  
  preferred stock, par value .01 per share; 50,000,000 shares authorized; 875,000 shares issued and outstanding as of march 31, 2014 and december 31, 2013                                            
  accumulated other comprehensive losses                                 -710,000,000            
  less: treasury stock, at cost; par value .01 per share; 65,042,260 and 64,476,425 shares as of march 31, 2014 and december 31, 2013, respectively                                 -4,359,000,000            
  interest bearing deposits                                  184,553,000,000 187,768,000,000 191,093,000,000 192,488,000,000 193,859,000,000 197,254,000,000  110,777,000,000 109,278,000,000 109,097,000,000  
  preferred stock, par value .01 per share; 50,000,000 shares authorized; 875,000 shares issued and outstanding as of september 30, 2013 and december 31, 2012                                            
  less: treasury stock, at cost; par value .01 per share; 53,877,453 and 49,599,452 shares as of september 30, 2013 and december 31, 2012, respectively                                  -3,574,000,000           
  preferred stock, par value .01 per share; 50,000,000 shares authorized; 875,000 shares issued and outstanding as of june 30, 2013 and december 31, 2012                                             
  less: treasury stock, at cost; par value .01 per share; 50,114,282 and 49,599,452 shares as of june 30, 2013 and december 31, 2012, respectively                                   -3,316,000,000          
  unsecuritized loans held for investment, at amortized cost                                    150,721,000,000 159,219,000,000 158,680,000,000 128,927,000,000  83,010,000,000 81,585,000,000 75,184,000,000  
  preferred stock, par value .01 per share; 50,000,000 shares authorized; 875,000 shares issued and outstanding as of march 31, 2013 and december 31, 2012                                            
  less: treasury stock, at cost; par value .01 per share; 50,098,318 and 49,599,452 shares as of march 31, 2013 and december 31, 2012, respectively                                    -3,315,000,000         
  cash and cash equivalents                                     5,969,000,000 5,979,000,000 30,656,000,000  6,358,000,000 6,643,000,000 7,971,000,000  
  loans held for sale, at lower-of-cost-or-fair value                                     187,000,000 1,047,000,000 627,000,000  312,000,000 80,000,000 117,000,000  
  preferred stock, par value .01 per share; 50,000,000 shares authorized; 875,000 shares and zero shares issued and outstanding as of september 30, 2012 and december 31, 2011, respectively                                     853,000,000        
  paid-in capital                                     25,265,000,000 25,217,000,000 25,136,000,000  19,234,000,000 19,188,000,000 19,141,000,000  
  less: treasury stock, at cost; 49,585,851 and 48,647,091 shares as of september 30, 2012 and december 31, 2011, respectively                                     -3,287,000,000        
  accounts receivable from securitizations                                      96,000,000 96,000,000  101,000,000 106,000,000 112,000,000  
  preferred stock, par value .01 per share; authorized 50,000,000 shares; zero shares issued or outstanding as of june 30, 2012 and december 31, 2011                                            
  less: treasury stock, at cost; 49,571,662 and 48,647,091 shares as of june 30, 2012 and december 31, 2011, respectively                                      -3,286,000,000       
  preferred stock, par value .01 per share; authorized 50,000,000 shares; zero shares issued or outstanding as of march 31, 2012 and december 31, 2011                                            
  less: treasury stock, at cost; 49,576,117 and 48,647,091 shares as of march 31, 2012 and december 31, 2011, respectively                                       -3,286,000,000      
  less: net unrealized gains recorded in aoci                                        -289,000,000     
  net incomees on cash flow hedges recorded in aoci                                        71,000,000     
  disallowed goodwill and other intangible assets                                        -13,855,000,000     
  disallowed deferred tax assets                                        -534,000,000     
  tier 1 common equity                                        15,057,000,000     
  plus: tier 1 restricted core capital items                                        3,635,000,000     
  tier 1 risk-based capital                                        18,692,000,000     
  plus: long-term debt qualifying as tier 2 capital                                        2,438,000,000     
  qualifying allowance for loan and lease losses                                        1,979,000,000     
  other tier 2 components                                        23,000,000     
  tier 2 risk-based capital                                        4,440,000,000     
  total risk-based capital                                        23,132,000,000     
  risk-weighted assets                                        155,657,000,000     
  calculated under capital standards and regulations based on the international capital framework commonly known as basel i.                                             
  preferred stock, par value .01 per share; authorized 50,000,000 shares; zero shares issued or outstanding as of september 30, 2011 and december 31, 2010                                            
  less: treasury stock, at cost; 48,622,469 and 47,787,697 shares as of september 30, 2011 and december 31, 2010, respectively                                         -3,243,000,000    
  preferred stock, par value .01 per share; authorized 50,000,000 shares; zero shares issued or outstanding as of june 30, 2011 and december 31, 2010                                            
  less: treasury stock, at cost; 48,582,348 and 47,787,697 shares as of june 30, 2011 and december 31, 2010, respectively                                          -3,241,000,000   
  less: treasury stock, at cost; 48,567,602 and 47,787,697 shares as of march 31, 2011 and december 31, 2010, respectively                                           -3,240,000,000  
  consumer loans:                                             
  domestic                                            914,511,144,412,510,000 
  international                                            7,499,121,216,160,000 
  total consumer loans                                            989,501,265,612,790,000 
  commercial loans                                            2,957,612,784,320,000 
  other interest-earning assets:                                             
  total other                                            7,715,771,000,000 
  total assets from discontinued operations                                            43,000,000 
  liabilities and equity:                                             
  securitized debt:                                             
  total securitized debt                                            341,858,092,370,000 
  other borrowings:                                             
  total other borrowings                                            68,543,465,050,000 
  total liabilities from discontinued operations                                            448,000,000 
  interest income to average earning assets                                            8,740,000 
  interest expense to average earning assets                                            1,650,000 

We provide you with 20 years of balance sheets for Capital One stock, allowing you to gain comprehensive visibility into the fundamentals of the company. Our detailed breakdowns include key financial metrics such as asset and liabilities, payables and receivables, long debts and short debts, cash and inventories, expenses and profits. This in-depth information is essential for making informed investment decisions and understanding the financial health and performance of Capital One. Explore the full financial landscape of Capital One stock with our expertly curated balance sheets.

The information provided in this report about Capital One stock 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.