7Baggers
Quarterly
Annual
    Unit: USD2025-09-30 2025-06-30 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 2014-12-31 2014-03-31 2013-12-31 2012-12-31 2012-06-30 
      
                             
      in millions, except par value
                             
      assets
                             
      cash and due from banks
    5,553,000,000 5,939,000,000 6,102,000,000 6,904,000,000 6,162,000,000 6,242,000,000 5,933,000,000 6,921,000,000 5,300,000,000 6,191,000,000 5,940,000,000 7,043,000,000 6,548,000,000 8,582,000,000 7,572,000,000 8,004,000,000 8,843,000,000 8,724,000,000 7,455,000,000 7,017,000,000  4,723,000,000   4,136,000,000 
      interest-earning deposits with banks
    33,318,000,000 24,455,000,000 32,298,000,000 39,347,000,000 35,024,000,000 33,039,000,000 53,612,000,000 43,804,000,000 41,484,000,000 38,259,000,000 33,865,000,000 27,320,000,000 40,278,000,000 28,404,000,000 48,776,000,000 74,250,000,000 75,478,000,000 72,447,000,000 86,161,000,000 85,173,000,000  14,877,000,000   3,995,000,000 
      loans held for sale
    1,104,000,000 1,837,000,000 1,236,000,000 850,000,000 750,000,000 988,000,000 743,000,000 734,000,000 923,000,000 835,000,000 998,000,000 1,010,000,000 1,126,000,000 1,191,000,000 1,506,000,000 2,231,000,000 2,121,000,000 2,227,000,000 1,967,000,000 1,597,000,000  2,102,000,000  3,693,000,000 3,333,000,000 
      investment securities – available-for-sale
    68,297,000,000 67,136,000,000 63,318,000,000 62,039,000,000                      
      investment securities – held-to-maturity
    73,226,000,000 75,212,000,000 74,457,000,000 77,693,000,000                      
      loans
    326,616,000,000 326,340,000,000 318,850,000,000 316,467,000,000 321,381,000,000 321,429,000,000 319,781,000,000 321,508,000,000 318,416,000,000 321,761,000,000 326,475,000,000 326,025,000,000 315,400,000,000 310,800,000,000 294,457,000,000 288,372,000,000 290,230,000,000 294,704,000,000 237,013,000,000 241,928,000,000  198,242,000,000  185,856,000,000 180,425,000,000 
      allowance for loan and lease losses
    -4,478,000,000 -4,523,000,000 -4,544,000,000 -4,486,000,000 -4,589,000,000 -4,636,000,000 -4,693,000,000 -4,791,000,000 -4,767,000,000 -4,737,000,000 -4,741,000,000 -4,741,000,000 -4,581,000,000 -4,462,000,000 -4,558,000,000 -4,868,000,000 -5,355,000,000 -5,730,000,000 -4,714,000,000 -5,361,000,000  -3,530,000,000   -4,156,000,000 
      net loans
    322,138,000,000 321,817,000,000 314,306,000,000 311,981,000,000 316,792,000,000 316,793,000,000 315,088,000,000 316,717,000,000 313,649,000,000 317,024,000,000 321,734,000,000 321,284,000,000 310,819,000,000 306,338,000,000 289,899,000,000 283,504,000,000 284,875,000,000 288,974,000,000 232,299,000,000 236,567,000,000  194,712,000,000   176,269,000,000 
      equity investments
    9,972,000,000 9,755,000,000 9,448,000,000 9,600,000,000 9,217,000,000 9,037,000,000 8,280,000,000 8,314,000,000 8,046,000,000 8,015,000,000 8,323,000,000 8,437,000,000 8,130,000,000 8,441,000,000 7,798,000,000 8,180,000,000 7,737,000,000 7,521,000,000 6,386,000,000 6,052,000,000  10,337,000,000  10,877,000,000 10,617,000,000 
      mortgage servicing rights
    3,627,000,000 3,467,000,000 3,564,000,000 3,711,000,000 3,503,000,000 3,739,000,000 3,762,000,000 3,686,000,000 4,006,000,000 3,455,000,000 3,293,000,000 3,423,000,000 3,206,000,000 2,608,000,000 2,208,000,000 1,818,000,000 1,833,000,000 1,793,000,000 1,680,000,000 1,242,000,000      
      goodwill
    10,962,000,000 10,932,000,000 10,932,000,000 10,932,000,000 10,932,000,000 10,932,000,000 10,932,000,000 10,932,000,000 10,987,000,000 10,987,000,000 10,987,000,000 10,987,000,000 10,987,000,000 10,916,000,000 10,916,000,000 10,916,000,000 10,885,000,000 10,958,000,000 9,317,000,000 9,233,000,000  9,074,000,000   9,158,000,000 
      other
    40,570,000,000 38,557,000,000 39,061,000,000 36,981,000,000 38,318,000,000 37,104,000,000 37,352,000,000 37,903,000,000 40,552,000,000 37,780,000,000 38,398,000,000 38,425,000,000 41,932,000,000 41,574,000,000 40,160,000,000 35,326,000,000 36,137,000,000 35,025,000,000 30,894,000,000 30,999,000,000  23,315,000,000 -222,000,000 19,643,000,000 24,559,000,000 
      total assets
    568,767,000,000 559,107,000,000 554,722,000,000 560,038,000,000 564,881,000,000 556,519,000,000 566,162,000,000 561,580,000,000 557,334,000,000 558,207,000,000 561,777,000,000 557,263,000,000 559,477,000,000 540,786,000,000 541,246,000,000 557,191,000,000 553,515,000,000 554,212,000,000 474,414,000,000 466,679,000,000  323,423,000,000  305,107,000,000 299,575,000,000 
      liabilities
                             
      deposits
                           213,142,000,000  
      noninterest-bearing
    91,207,000,000 93,253,000,000 92,369,000,000 92,641,000,000 94,588,000,000 94,542,000,000 98,061,000,000 101,285,000,000 105,672,000,000 110,527,000,000 118,014,000,000 124,486,000,000 138,423,000,000 146,438,000,000 150,798,000,000 155,175,000,000 156,305,000,000 154,190,000,000 120,641,000,000 112,637,000,000  70,063,000,000   64,476,000,000 
      interest-bearing
    341,542,000,000 333,443,000,000 330,546,000,000 334,097,000,000 329,378,000,000 321,849,000,000 327,563,000,000 320,133,000,000 317,937,000,000 316,962,000,000 318,819,000,000 311,796,000,000 299,771,000,000 294,373,000,000 299,399,000,000 302,103,000,000 292,597,000,000 298,693,000,000 254,426,000,000 252,708,000,000  152,319,000,000   142,447,000,000 
      total deposits
    432,749,000,000 426,696,000,000 422,915,000,000 426,738,000,000 423,966,000,000 416,391,000,000 425,624,000,000 421,418,000,000 423,609,000,000 427,489,000,000 436,833,000,000 436,282,000,000 438,194,000,000 440,811,000,000 450,197,000,000 457,278,000,000 448,902,000,000 452,883,000,000 375,067,000,000 365,345,000,000  222,382,000,000   206,923,000,000 
      borrowed funds
                             
      federal home loan bank advances
    16,100,000,000 18,000,000,000 18,000,000,000 22,000,000,000                      
      senior debt
    38,695,000,000 35,750,000,000 34,987,000,000 32,497,000,000 32,492,000,000 29,601,000,000 27,907,000,000 26,836,000,000 22,407,000,000 22,005,000,000 19,622,000,000 16,657,000,000              
      subordinated debt
    3,512,000,000 3,490,000,000 4,163,000,000 4,104,000,000 4,196,000,000 4,078,000,000 4,827,000,000 4,875,000,000 4,728,000,000 5,548,000,000 5,630,000,000 6,307,000,000 7,286,000,000 7,487,000,000 6,766,000,000 6,996,000,000 7,074,000,000 7,120,000,000 6,241,000,000 6,403,000,000  8,289,000,000 5,930,000,000  7,593,000,000 
      total borrowed funds
    62,344,000,000 60,424,000,000 60,722,000,000 61,673,000,000 68,069,000,000 71,391,000,000 72,707,000,000 72,737,000,000 66,167,000,000 65,384,000,000 60,822,000,000 58,713,000,000 54,633,000,000 35,984,000,000 26,571,000,000 30,784,000,000 33,471,000,000 34,813,000,000 33,030,000,000 37,195,000,000  46,806,000,000   43,689,000,000 
      allowance for unfunded lending related commitments
    775,000,000 759,000,000 674,000,000 719,000,000 725,000,000 717,000,000 672,000,000 663,000,000 640,000,000 663,000,000 672,000,000 694,000,000 682,000,000 681,000,000 639,000,000 662,000,000 646,000,000 645,000,000 507,000,000 584,000,000      
      accrued expenses and other liabilities
    13,861,000,000 13,573,000,000 13,960,000,000 16,439,000,000 16,392,000,000 15,339,000,000 15,785,000,000 15,621,000,000 17,437,000,000 15,325,000,000 14,376,000,000 15,762,000,000 19,245,000,000 15,622,000,000 14,623,000,000 12,741,000,000 14,199,000,000 11,186,000,000 11,931,000,000 9,514,000,000      
      total liabilities
    509,729,000,000 501,452,000,000 498,271,000,000 505,569,000,000 509,152,000,000 503,838,000,000 514,788,000,000 510,439,000,000 507,853,000,000 508,861,000,000 512,703,000,000 511,451,000,000 512,754,000,000 493,098,000,000 492,030,000,000 501,465,000,000 497,218,000,000 499,527,000,000 420,535,000,000 412,638,000,000  278,505,000,000  263,342,000,000 259,361,000,000 
      equity
                             
      preferred stock
                             
      common stock
    2,717,000,000 2,717,000,000 2,717,000,000 2,717,000,000 2,716,000,000 2,716,000,000 2,716,000,000 2,716,000,000 2,715,000,000 2,715,000,000 2,714,000,000 2,714,000,000 2,714,000,000 2,714,000,000 2,713,000,000 2,713,000,000 2,713,000,000 2,713,000,000 2,713,000,000 2,713,000,000  2,700,000,000   2,687,000,000 
      capital surplus
    18,859,000,000 18,809,000,000 18,731,000,000 18,710,000,000 19,150,000,000 19,098,000,000 19,032,000,000 19,020,000,000 19,971,000,000 19,934,000,000 19,864,000,000 18,376,000,000 19,810,000,000 18,531,000,000 17,487,000,000 17,457,000,000 17,453,000,000 15,928,000,000 15,879,000,000 15,884,000,000      
      retained earnings
    62,008,000,000 60,951,000,000 60,051,000,000 59,282,000,000 58,412,000,000 57,652,000,000 56,913,000,000 56,290,000,000 56,170,000,000 55,346,000,000 54,598,000,000 53,572,000,000 52,777,000,000 51,841,000,000 51,058,000,000 50,228,000,000 49,541,000,000 48,663,000,000 48,113,000,000 46,848,000,000  24,010,000,000   19,149,000,000 
      accumulated other comprehensive income
    -4,077,000,000 -4,682,000,000 -5,237,000,000 -6,565,000,000 -5,090,000,000 -7,446,000,000 -8,042,000,000 -7,712,000,000 -10,261,000,000 -9,525,000,000 -9,108,000,000 -10,172,000,000 -10,486,000,000 -8,358,000,000 -5,731,000,000 409,000,000 1,079,000,000 1,463,000,000 1,290,000,000 2,770,000,000  656,000,000   402,000,000 
      common stock held in treasury at cost: 151,030,533 and 147,373,633 shares
    -20,517,000,000                         
      total shareholders’ equity
    58,990,000,000 57,607,000,000 56,405,000,000 54,425,000,000 55,689,000,000 52,642,000,000 51,340,000,000 51,105,000,000 49,454,000,000 49,320,000,000 49,044,000,000 45,774,000,000 46,688,000,000 47,652,000,000 49,181,000,000 55,695,000,000 56,259,000,000 54,627,000,000 53,849,000,000 54,010,000,000  43,321,000,000  39,003,000,000 37,005,000,000 
      noncontrolling interests
    48,000,000 48,000,000 46,000,000 44,000,000 40,000,000 39,000,000 34,000,000 36,000,000 27,000,000 26,000,000 30,000,000 38,000,000 35,000,000 36,000,000 35,000,000 31,000,000 38,000,000 58,000,000 30,000,000 31,000,000  1,597,000,000 988,000,000 2,762,000,000 3,209,000,000 
      total equity
    59,038,000,000 57,655,000,000 56,451,000,000 54,469,000,000 55,729,000,000 52,681,000,000 51,374,000,000 51,141,000,000 49,481,000,000 49,346,000,000 49,074,000,000 45,812,000,000 46,723,000,000 47,688,000,000 49,216,000,000 55,726,000,000 56,297,000,000 54,685,000,000 53,879,000,000 54,041,000,000  44,918,000,000  41,765,000,000 40,214,000,000 
      total liabilities and equity
    568,767,000,000 559,107,000,000 554,722,000,000 560,038,000,000 564,881,000,000 556,519,000,000 566,162,000,000 561,580,000,000 557,334,000,000 558,207,000,000 561,777,000,000 557,263,000,000 559,477,000,000 540,786,000,000 541,246,000,000 557,191,000,000 553,515,000,000 554,212,000,000 474,414,000,000 466,679,000,000  323,423,000,000  305,107,000,000 299,575,000,000 
      common stock held in treasury at cost: 149,426,326 and 147,373,633 shares
     -20,188,000,000                        
      common stock held in treasury at cost: 147,519,772 and 147,373,633 shares
      -19,857,000,000                       
      common stock held in treasury at cost: 147,373,633 and 145,087,054 shares
       -19,719,000,000                      
      investment securities – available for sale
        60,338,000,000 51,188,000,000 42,280,000,000 41,785,000,000 40,590,000,000 41,787,000,000 43,220,000,000 44,159,000,000 45,798,000,000 52,984,000,000 112,313,000,000 131,536,000,000 124,127,000,000 125,058,000,000 96,799,000,000 87,358,000,000      
      investment securities – held to maturity
        83,845,000,000 87,457,000,000 88,180,000,000 90,784,000,000 91,797,000,000 93,874,000,000 95,019,000,000 95,175,000,000 90,653,000,000 79,748,000,000 20,098,000,000 1,426,000,000 1,479,000,000 1,485,000,000 1,456,000,000 1,441,000,000      
      federal home loan bank borrowings
        28,000,000,000 35,000,000,000 37,000,000,000 38,000,000,000 36,000,000,000 34,000,000,000 32,020,000,000 32,075,000,000 30,075,000,000 10,000,000,000     1,500,000,000 3,500,000,000  13,911,000,000   10,440,000,000 
      common stock held in treasury at cost: 146,306,706 and 145,087,054 shares
        -19,499,000,000                     
      common stock held in treasury at cost: 145,667,981 and 145,087,054 shares
         -19,378,000,000                    
      common stock held in treasury at cost: 145,068,954 and 145,087,054 shares
          -19,279,000,000                   
      common stock held in treasury at cost: 145,087,054 and 142,298,689 shares
           -19,209,000,000                  
      common stock held in treasury at cost: 144,671,252 and 142,298,689 shares
            -19,141,000,000                 
      common stock held in treasury at cost: 145 and 142 shares
             -19,150,000,000                
      common stock held in treasury at cost: 144 and 142 shares
              -19,024,000,000               
      common stock held in treasury at cost: 142 and 123 shares
               -18,716,000,000              
      bank notes and senior debt
                13,357,000,000 14,358,000,000 16,206,000,000 20,661,000,000 22,993,000,000 24,408,000,000 22,139,000,000 24,271,000,000  13,861,000,000   10,185,000,000 
      common stock held in treasury at cost: 139 and 123 shares
                -18,127,000,000             
      common stock held in treasury at cost: 132 and 123 shares
                 -17,076,000,000            
      common stock held in treasury at cost: 128 and 123 shares
                  -16,346,000,000           
      common stock held in treasury at cost: 123 and 119 shares
                   -15,112,000,000          
      common stock held in treasury at cost: 120 and 119 shares
                    -14,527,000,000         
      common stock held in treasury at cost: 118 and 119 shares
                     -14,140,000,000 -14,146,000,000       
      asset held for sale
                             
      common stock held in treasury at cost: 119 and 109 shares
                       -14,205,000,000      
      performance ratios
                             
      return on average assets
                        970,000,000     
      noninterest income to total revenue
                        35,000,000,000     
      efficiency
                        76,000,000,000     
      other information
                             
      credit-related statistics:
                             
      commercial nonperforming assets
                        139,000,000,000     
      consumer nonperforming assets
                        1,059,000,000,000     
      total nonperforming assets
                        1,198,000,000,000     
      purchased impaired loans
                        575,000,000,000     
      commercial lending net charge-offs
                        31,000,000,000     
      credit card lending net charge-offs
                        142,000,000,000     
      consumer lending (excluding credit card) net charge-offs
                        285,000,000,000     
      total net charge-offs
                        458,000,000,000     
      commercial lending net charge-off ratio
                        240,000,000     
      credit card lending net charge-off ratio
                        3,250,000,000     
      consumer lending
                        580,000,000     
      total net charge-off ratio
                        690,000,000     
      home equity portfolio credit statistics:
                             
      % of first lien positions at origination
                        54,000,000,000     
      weighted-average loan-to-value ratios
                        77,000,000,000     
      weighted-average updated fico scores
                        748,000,000,000     
      net charge-off ratio
                        540,000,000     
      delinquency data – % of total loans:
                             
      loans 30 – 59 days past due
                        200,000,000     
      loans 60 – 89 days past due
                        90,000,000     
      accruing loans past due
                        290,000,000     
      nonperforming loans
                        3,130,000,000     
      other statistics:
                             
      atms
                        8,605,000,000,000     
      branches
                        2,697,000,000,000     
      brokerage account client assets
                        43,000,000,000     
      customer-related statistics
                             
      non-teller deposit transactions
                        35,000,000,000     
      digital consumer customers
                        46,000,000,000     
      recorded investment of purchased impaired loans related to acquisitions.
                             
      lien position, ltv and fico statistics are based upon customer balances.
                             
      lien position and ltv calculations reflect management assumptions where data limitations exist.
                             
      ltv statistics are based upon current information.
                             
      represents fico scores that are updated at least quarterly.
                             
      data based upon recorded investment. past due amounts exclude purchased impaired loans, even if contractually past due, as we are currently accreting interest income over the expected life of the loans.
                             
      excludes satellite offices (e.g., drive-ups, electronic branches and retirement centers) that provide limited products and/or services.
                             
      percentage of total consumer and business banking deposit transactions processed at an atm or through our mobile banking application.
                             
      represents consumer checking relationships that process the majority of their transactions through non-teller channels.
                             
      federal funds sold and resale agreements
                         1,143,000,000   1,646,000,000 
      trading securities
                         2,381,000,000   2,121,000,000 
      investment securities
                         58,644,000,000  61,406,000,000 61,937,000,000 
      other intangible assets
                         2,115,000,000   1,804,000,000 
      federal funds purchased and repurchase agreements
                         3,233,000,000   4,166,000,000 
      commercial paper
                         4,923,000,000  8,453,000,000  
      allowance for unfunded loan commitments and letters of credit
                         228,000,000   224,000,000 
      accrued expenses
                         4,808,000,000   3,428,000,000 
      capital surplus – preferred stock
                         3,943,000,000   3,120,000,000 
      capital surplus – common stock and other
                         12,394,000,000   12,098,000,000 
      common stock held in treasury at cost: 6 and 7 shares
                         -382,000,000    
      capital components
                             
      shareholders’ equity
                             
      common
                          38,467,000,000   
      preferred
                          3,941,000,000   
      trust preferred capital securities
                          199,000,000   
      goodwill and other intangible assets
                          -9,654,000,000 10,869,000,000  
      eligible deferred income taxes on goodwill and other intangible assets
                          333,000,000   
      pension and other postretirement benefit plan adjustments
                          237,000,000   
      net unrealized securities (gains)/losses, after-tax
                          -434,000,000   
      net unrealized (gains)/losses on cash flow hedge derivatives, after-tax
                          -243,000,000   
      tier 1 risk-based capital
                          33,612,000,000   
      eligible allowance for credit losses
                          3,408,000,000   
      total risk-based capital
                          42,950,000,000   
      tier 1 common capital
                          28,484,000,000   
      preferred equity
                          -3,941,000,000   
      risk-weighted assets, including off-balance sheet instruments and market risk equivalent assets
                          272,169,000,000   
      adjusted average total assets
                          303,828,000,000   
      basel i capital ratios
                             
      tier 1 common
                          10,500,000   
      tier 1 risk-based
                          12,400,000   
      total risk-based
                          15,800,000   
      leverage
                          11,100,000   
      cash and short-term investments
                           12,763,000,000  
      common stock held in treasury at cost: 8 and 10 shares
                            -451,000,000 
    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.