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Financial Services - Banks - Diversified - NYSE - US
$ 21.38
0.187 %
$ 352 B
Market Cap
6.08
P/E
BALANCE SHEET
3.18 T ASSETS
4.24%
2.89 T LIABILITIES
4.00%
292 B EQUITY
6.75%
BALANCE SHEET DECOMPOSITION
Balance Sheet Decomposition Bank of America Corporation
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Current Assets 1.31 T
Cash & Short-Term Investments 327 B
Receivables 0
Other Current Assets 981 B
Non-Current Assets 2.82 T
Long-Term Investments 1.02 T
PP&E 11.9 B
Other Non-Current Assets 1.79 T
Current Liabilities 857 B
Accounts Payable 0
Short-Term Debt 32.1 B
Other Current Liabilities 825 B
Non-Current Liabilities 2.89 T
Long-Term Debt 302 B
Other Non-Current Liabilities 2.59 T

Balance Sheet

Millions
Dec-2023 Dec-2022 Dec-2021 Dec-2020 Dec-2019 Dec-2018 Dec-2017 Dec-2016 Dec-2015 Dec-2014 Dec-2013 Dec-2012 Dec-2011 Dec-2010 Dec-2009 Dec-2008 Dec-2007 Dec-2006 Dec-2005 Dec-2004 Dec-2003 Dec-2002 Dec-2001 Dec-2000 Dec-1999 Dec-1998 Dec-1997 Dec-1996 Dec-1995 Dec-1994 Dec-1993 Dec-1992
ASSETS
Cash & Cash Equivalents 327 473.0 237 462.0 355 365.0 387 009.0 168 667.0 184 898.0 168 587.0 157 599.0 167 097.0 146 099.0 142 862.0 129 446.0 146 106.0 134 860.0 145 541.0 42 427.0 54 304.0 50 381.0 49 799.0 41 297.0 35 135.0 31 786.0 32 769.0 32 961.0 31 827.0 35 027.0 12 981.0 10 776.0 9 744.0 11 741.0 9 128.0 9 765.0
Short Term Investments 266 649.0 220 788.0 299 178.0 234 491.0 245 639.0 229 366.0 315 117.0 313 660.0 322 380.0 320 695.0 268 795.0 286 906.0 276 151.0 337 627.0 301 601.0 277 589.0 213 330.0 192 806.0 12 800.0 12 361.0 0 0 0 0 0 0 0 0 0 0 0 0
Receivables 0 81 021.0 87 473.0 0 0 0 0 0 85 518.0 86 558.0 84 529.0 95 232.0 66 907.0 107 520.0 0 0 0 0 0 0 0 0 2 800.0 4 432.0 3 777.0 3 734.0 1 721.0 1 159.0 1 597.0 1 408.0 1 117.0 856.0
Inventory 0 (868 808.0) (925 529.0) (954 265.0) (729 256.0) (726 435.0) (652 551.0) (605 838.0) 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Current Assets 981 003.0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 567 633.0 585 223.0 576 265.0 556 921.0 237 255.0 169 117.0 171 935.0 152 304.0 143 815.0 104 338.0
Total Current Assets 1 308 476.0 539 271.0 742 016.0 702 657.0 489 964.0 502 458.0 554 798.0 532 535.0 574 995.0 553 352.0 496 186.0 511 584.0 489 164.0 580 007.0 145 541.0 42 427.0 54 304.0 50 381.0 49 799.0 41 297.0 35 135.0 31 786.0 603 202.0 622 616.0 611 869.0 595 682.0 251 957.0 181 052.0 183 276.0 165 453.0 154 060.0 114 959.0
PP&E 11 855.0 11 510.0 10 833.0 11 000.0 10 561.0 9 906.0 9 247.0 9 139.0 9 485.0 10 049.0 10 475.0 11 858.0 13 637.0 14 306.0 15 500.0 13 161.0 11 240.0 9 255.0 7 786.0 7 517.0 6 036.0 6 717.0 6 414.0 6 433.0 6 713.0 7 289.0 3 225.0 2 712.0 2 508.0 2 439.0 2 259.0 2 200.0
Intangible Assets 0 0 0 0 0 0 2 302.0 5 669.0 6 855.0 8 142.0 10 626.0 12 535.0 15 531.0 25 100.0 31 800.0 21 591.0 13 643.0 12 467.0 3 194.0 3 887.0 0 0 0 0 0 0 0 0 0 0 0 0
Goodwill 69 021.0 69 022.0 69 022.0 68 951.0 68 951.0 68 951.0 68 951.0 68 969.0 69 761.0 69 777.0 69 844.0 69 976.0 69 967.0 73 861.0 86 314.0 81 934.0 77 530.0 65 662.0 45 354.0 45 262.0 0 0 0 0 0 0 0 0 0 0 0 0
Long Term Investments 1 017 946.0 1 158 371.0 1 229 707.0 883 704.0 702 023.0 536 738.0 543 214.0 504 883.0 583 532.0 572 246.0 524 938.0 573 613.0 480 735.0 532 725.0 493 647.0 437 111.0 376 120.0 345 898.0 377 022.0 318 895.0 136 787.0 133 144.0 132 843.0 108 879.0 121 529.0 120 189.0 70 881.0 33 076.0 42 714.0 35 766.0 39 664.0 26 247.0
Other Long Term Assets (1 098 822.0) (13 345.0) (20 606.0) (20 002.0) (16 690.0) (17 595.0) (19 462.0) (28 736.0) (669 633.0) (660 214.0) (615 883.0) (667 982.0) (579 870.0) (645 992.0) (513 421.0) (450 167.0) (379 467.0) (348 943.0) (379 828.0) (318 895.0) (155 186.0) (152 345.0) 12 148.0 13 142.0 13 992.0 14 708.0 9 380.0 2 030.0 1 514.0 1 712.0 1 367.0 900.0
Other Assets (952 673.0) 1 272 532.0 1 118 370.0 1 153 315.0 1 162 580.0 1 236 454.0 1 102 722.0 1 066 507.0 899 688.0 890 968.0 990 204.0 1 030 408.0 1 060 012.0 1 038 910.0 1 963 918.0 1 671 886.0 1 562 376.0 1 325 017.0 1 185 670.0 1 012 494.0 546 124.0 476 327.0 0 0 0 0 0 0 0 0 0 0
Total Assets 3 180 151.0 3 050 706.0 3 169 948.0 2 819 627.0 2 434 079.0 2 354 507.0 2 281 234.0 2 187 702.0 2 144 316.0 2 104 534.0 2 102 273.0 2 209 974.0 2 129 046.0 2 264 909.0 2 223 299.0 1 817 943.0 1 715 746.0 1 459 737.0 1 291 803.0 1 110 457.0 736 445.0 660 458.0 621 764.0 642 191.0 632 574.0 617 679.0 264 562.0 185 794.0 187 298.0 169 604.0 157 686.0 118 059.0
LIABILITIES
Accounts Payable 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Short Term Debt 32 098.0 26 932.0 23 753.0 19 321.0 24 204.0 20 189.0 32 666.0 23 944.0 28 098.0 31 172.0 45 999.0 30 731.0 35 698.0 59 962.0 69 524.0 158 056.0 191 089.0 141 300.0 116 269.0 78 598.0 42 478.0 25 234.0 22 217.0 42 198.0 47 671.0 31 491.0 18 045.0 4 623.0 6 916.0 5 640.0 15 877.0 5 905.0
Other Current Liabilities (32 098.0) (26 932.0) (23 753.0) (19 321.0) (24 204.0) (20 189.0) (32 666.0) 10 646.0 (28 098.0) (31 172.0) (45 999.0) 34 256.0 49 054.0 71 013.0 0 0 0 0 0 0 (42 478.0) (25 234.0) (22 217.0) (42 198.0) (47 671.0) (31 491.0) (18 045.0) (4 623.0) (6 916.0) (5 640.0) (15 877.0) (5 905.0)
Total Current Liabilities 857 499.0 26 932.0 23 753.0 19 321.0 24 204.0 20 189.0 42 539.0 34 590.0 42 171.0 44 479.0 65 447.0 64 987.0 84 752.0 130 975.0 69 524.0 158 056.0 191 089.0 141 300.0 116 269.0 78 598.0 42 478.0 25 234.0 505 218.0 522 061.0 527 701.0 520 899.0 214 066.0 148 135.0 156 722.0 150 105.0 15 877.0 5 905.0
Long Term Debt 302 204.0 275 982.0 280 117.0 262 934.0 240 856.0 229 340.0 227 402.0 216 823.0 236 764.0 243 139.0 249 674.0 275 585.0 372 265.0 448 431.0 438 521.0 268 292.0 197 508.0 146 000.0 100 848.0 98 078.0 75 343.0 67 176.0 68 026.0 67 547.0 60 441.0 45 888.0 42 887.0 22 985.0 17 775.0 11 007.0 8 352.0 3 066.0
Deferred Tax Income 0 0 11 453.0 12 555.0 10 246.0 6 854.0 6 837.0 9 145.0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Liabilities 2 586 301.0 2 502 196.0 2 619 312.0 2 283 769.0 1 928 413.0 1 859 842.0 1 744 147.0 1 669 449.0 1 609 176.0 1 573 445.0 1 554 467.0 1 632 446.0 1 441 928.0 1 457 255.0 1 483 810.0 1 214 543.0 1 180 346.0 1 037 165.0 973 153.0 834 136.0 (75 343.0) (67 176.0) (68 026.0) (67 547.0) (60 441.0) (45 888.0) (42 887.0) (22 985.0) (17 775.0) (2 519.0) (27.0) (24.0)
Total Liabilities 2 888 505.0 2 777 509.0 2 899 882.0 2 546 703.0 2 169 269.0 2 089 182.0 2 014 088.0 1 920 862.0 1 888 111.0 1 861 063.0 1 869 588.0 1 973 018.0 1 898 945.0 2 036 661.0 1 991 855.0 1 640 891.0 1 568 943.0 1 324 465.0 1 190 270.0 1 010 812.0 688 465.0 610 139.0 573 244.0 594 563.0 588 142.0 571 741.0 243 225.0 172 085.0 174 497.0 158 593.0 147 707.0 110 245.0
EQUITY
Common Stock 56 365.0 58 953.0 62 398.0 85 982.0 91 723.0 118 896.0 138 089.0 147 038.0 151 042.0 153 458.0 155 293.0 158 142.0 156 621.0 150 905.0 128 734.0 76 766.0 60 328.0 61 574.0 41 693.0 44 236.0 14.0 496.0 5 076.0 8 613.0 11 671.0 0 0 0 0 0 0 0
Retained Earnings 224 672.0 207 003.0 188 064.0 164 088.0 156 319.0 136 314.0 113 816.0 101 870.0 88 564.0 75 024.0 72 497.0 62 843.0 60 520.0 60 849.0 71 233.0 73 823.0 81 393.0 79 024.0 67 552.0 58 006.0 50 213.0 48 517.0 42 980.0 39 815.0 35 681.0 30 998.0 11 754.0 9 673.0 7 826.0 6 451.0 5 247.0 4 179.0
Other Accumulative Comprehensive Income/Loss (17 788.0) (21 156.0) (5 104.0) (1 656.0) (6 633.0) (12 211.0) (7 082.0) (7 288.0) (5 674.0) (4 320.0) (8 457.0) (2 797.0) (5 437.0) (66.0) (5 619.0) (10 825.0) 1 129.0 (7 711.0) (7 983.0) (2 868.0) (2 301.0) 1 248.0 399.0 (872.0) (2 997.0) 0 0 0 0 0 0 0
Total Equity 291 646.0 273 197.0 270 066.0 272 924.0 264 810.0 265 325.0 267 146.0 266 840.0 256 205.0 243 471.0 232 685.0 236 956.0 230 101.0 228 248.0 231 444.0 177 052.0 146 803.0 135 272.0 101 533.0 99 645.0 47 980.0 56 350.0 48 520.0 52 583.0 44 432.0 45 938.0 21 337.0 13 709.0 12 801.0 11 011.0 9 979.0 7 814.0
Total Liabilities and Equity 3 180 151.0 3 050 706.0 3 169 948.0 2 819 627.0 2 434 079.0 2 354 507.0 2 281 234.0 2 187 702.0 2 144 316.0 2 104 534.0 2 102 273.0 2 209 974.0 2 129 046.0 2 264 909.0 2 223 299.0 1 817 943.0 1 715 746.0 1 459 737.0 1 291 803.0 1 110 457.0 736 445.0 660 458.0 621 764.0 642 191.0 632 574.0 617 679.0 264 562.0 185 794.0 187 298.0 169 604.0 157 686.0 118 059.0
SHARES OUTSTANDING
Common Shares Outstanding 8 028.6 8 113.7 8 493.3 8 753.2 9 390.5 10 096.5 10 195.6 10 284.1 10 462.3 10 527.8 10 731.2 10 746.0 10 142.6 9 790.5 7 728.6 4 592.1 4 423.6 4 526.6 4 008.7 3 758.5 2 973.4 3 040.1 3 189.9 3 292.8 3 452.0 1 143.2 1 143.9 1 180.4 1 089.9 1 098.6 1 031.8 974.8