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Financial Services - Banks - Diversified - NYSE - US
$ 25.35
-0.0788 %
$ 678 B
Market Cap
1.88
P/E
BALANCE SHEET
3.88 T ASSETS
5.72%
3.55 T LIABILITIES
5.16%
328 B EQUITY
12.16%
BALANCE SHEET DECOMPOSITION
Balance Sheet Decomposition JPMorgan Chase & Co.
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Current Assets 1.16 T
Cash & Short-Term Investments 231 B
Receivables 107 B
Other Current Assets 825 B
Non-Current Assets 94.5 B
Long-Term Investments 0
PP&E 30.2 B
Other Non-Current Assets 64.4 B
Current Liabilities 44.7 B
Accounts Payable 162 B
Short-Term Debt 44.7 B
Other Current Liabilities -162 B
Non-Current Liabilities 3.37 T
Long-Term Debt 392 B
Other Non-Current Liabilities 2.98 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 Dec-1991 Dec-1990 Dec-1989
ASSETS
Cash & Cash Equivalents 624 151.0 567 234.0 740 834.0 527 609.0 263 631.0 278 793.0 431 304.0 389 635.0 360 505.0 512 308.0 355 822.0 175 537.0 144 881.0 49 240.0 89 436.0 165 034.0 51 610.0 53 959.0 58 331.0 56 848.0 30 443.0 28 160.0 35 343.0 32 305.0 44 305.0 24 280.0 18 590.0 22 949.0 11 743.0 14 481.0 12 882.0 10 692.0 10 616.0 6 295.0 6 866.0
Short Term Investments 201 704.0 196 699.0 290 257.0 355 951.0 340 374.0 230 394.0 202 225.0 238 891.0 241 754.0 298 752.0 329 977.0 371 145.0 364 781.0 316 318.0 360 365.0 205 909.0 85 406.0 91 917.0 29 909.0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Receivables 107 363.0 125 189.0 102 570.0 90 503.0 72 861.0 73 200.0 67 729.0 52 330.0 46 605.0 70 079.0 65 160.0 60 933.0 61 478.0 70 147.0 67 427.0 60 987.0 24 823.0 22 891.0 52 161.0 53 131.0 12 356.0 14 137.0 14 799.0 20 618.0 2 505.0 2 316.0 3 359.0 3 020.0 1 328.0 1 190.0 1 106.0 1 086.0 1 187.0 968.0 1 114.0
Inventory 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 0 0 0
Other Current Assets 824 984.0 758 264.0 611 300.0 604 350.0 459 988.0 617 172.0 483 418.0 459 964.0 0 78 975.0 65 759.0 0 0 80 481.0 0 0 0 583 340.0 0 0 0 0 621 794.0 639 505.0 0 0 0 0 0 0 0 0 0 0 0
Total Current Assets 1 163 117.0 1 647 386.0 1 744 961.0 1 578 413.0 1 136 854.0 1 199 559.0 1 184 676.0 1 140 820.0 67 095.0 960 114.0 816 718.0 114 656.0 121 080.0 516 186.0 93 633.0 87 882.0 161 839.0 129 196.0 110 492.0 109 979.0 42 799.0 42 297.0 671 936.0 692 428.0 46 810.0 26 596.0 21 949.0 25 969.0 13 071.0 15 671.0 13 988.0 11 778.0 11 803.0 7 263.0 7 980.0
PP&E 30 157.0 27 734.0 27 070.0 27 109.0 25 813.0 14 934.0 14 159.0 14 131.0 14 362.0 15 133.0 14 891.0 14 519.0 14 041.0 13 355.0 11 118.0 10 045.0 9 319.0 8 735.0 9 081.0 9 145.0 6 487.0 6 829.0 6 292.0 7 087.0 4 439.0 4 055.0 3 780.0 3 642.0 2 038.0 2 134.0 1 910.0 1 699.0 1 763.0 1 007.0 1 092.0
Intangible Assets 11 747.0 9 197.0 6 376.0 4 180.0 5 518.0 6 878.0 6 885.0 6 958.0 7 623.0 8 628.0 11 232.0 9 849.0 10 430.0 17 688.0 20 152.0 14 984.0 14 731.0 14 852.0 14 559.0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Goodwill 52 634.0 51 662.0 50 315.0 49 248.0 47 823.0 47 471.0 47 507.0 47 288.0 47 325.0 47 647.0 48 081.0 48 175.0 48 188.0 48 854.0 48 357.0 48 027.0 45 270.0 45 186.0 43 621.0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Long Term Investments 0 1 014 081.0 1 048 726.0 1 013 495.0 759 576.0 621 329.0 575 279.0 597 111.0 574 989.0 668 017.0 662 908.0 746 197.0 716 279.0 725 747.0 691 308.0 553 300.0 497 631.0 342 027.0 426 955.0 438 490.0 362 199.0 375 135.0 294 942.0 333 116.0 124 782.0 122 182.0 125 131.0 108 502.0 70 805.0 55 799.0 37 627.0 27 922.0 26 828.0 11 541.0 10 227.0
Other Long Term Assets (94 538.0) (1 070 709.0) (1 068 590.0) (1 010 790.0) 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
Other Assets 2 617 738.0 915 683.0 866 119.0 713 626.0 711 795.0 767 221.0 1 280 373.0 1 287 871.0 2 221 901.0 873 587.0 861 859.0 2 179 556.0 2 079 276.0 795 775.0 1 874 260.0 2 035 727.0 847 373.0 827 708.0 594 234.0 541 747.0 344 436.0 321 637.0 0 0 230 074.0 213 042.0 214 661.0 197 986.0 97 012.0 97 819.0 96 363.0 98 256.0 98 536.0 53 208.0 52 214.0
Total Assets 3 875 393.0 3 665 743.0 3 743 567.0 3 386 071.0 2 687 379.0 2 622 532.0 2 533 600.0 2 490 972.0 2 351 698.0 2 573 126.0 2 415 689.0 2 359 141.0 2 265 792.0 2 117 605.0 2 031 989.0 2 185 613.0 1 576 163.0 1 367 704.0 1 198 942.0 1 157 248.0 770 912.0 758 800.0 693 575.0 715 348.0 406 105.0 365 875.0 365 521.0 336 099.0 182 926.0 171 423.0 149 888.0 139 655.0 138 930.0 73 019.0 71 513.0
LIABILITIES
Accounts Payable 161 960.0 188 692.0 169 172.0 140 291.0 118 375.0 114 794.0 102 727.0 109 842.0 107 632.0 134 467.0 194 491.0 195 240.0 202 895.0 170 330.0 162 696.0 187 978.0 54 397.0 88 096.0 78 460.0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Short Term Debt 44 712.0 44 027.0 53 594.0 45 208.0 40 920.0 69 276.0 51 802.0 34 443.0 15 562.0 0 57 848.0 55 367.0 73 539.0 35 363.0 41 794.0 37 845.0 49 596.0 18 849.0 13 863.0 21 644.0 23 209.0 25 537.0 29 345.0 44 691.0 13 654.0 15 027.0 11 605.0 13 731.0 9 238.0 11 843.0 11 908.0 8 020.0 9 995.0 13 059.0 11 225.0
Other Current Liabilities (161 960.0) (234 858.0) (169 172.0) (37 508.0) (118 375.0) (114 794.0) (102 727.0) (132 547.0) (107 632.0) (134 467.0) (252 339.0) (195 240.0) (224 803.0) (205 693.0) (162 696.0) 1 170 096.0 (103 993.0) (106 945.0) (92 323.0) (21 644.0) (23 209.0) (25 537.0) 579 509.0 581 081.0 348 694.0 308 635.0 317 047.0 288 060.0 154 447.0 140 877.0 (11 908.0) (8 020.0) (9 995.0) (13 059.0) (11 225.0)
Total Current Liabilities 44 712.0 344 168.0 316 349.0 277 807.0 251 327.0 184 070.0 51 802.0 11 738.0 15 562.0 273 298.0 252 339.0 55 367.0 51 631.0 205 693.0 41 794.0 37 845.0 144 072.0 106 945.0 13 863.0 21 644.0 23 209.0 25 537.0 608 854.0 625 772.0 362 348.0 323 662.0 328 652.0 301 791.0 163 685.0 152 720.0 11 908.0 8 020.0 9 995.0 13 059.0 11 225.0
Long Term Debt 391 825.0 295 865.0 301 005.0 281 685.0 291 498.0 282 031.0 284 080.0 295 245.0 309 756.0 306 601.0 295 883.0 275 660.0 256 775.0 304 978.0 322 058.0 391 891.0 227 845.0 163 683.0 119 886.0 105 718.0 54 782.0 45 190.0 43 622.0 43 299.0 20 140.0 18 375.0 15 127.0 13 314.0 7 329.0 7 991.0 8 192.0 6 798.0 5 738.0 3 233.0 2 970.0
Deferred Tax Income 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 0 0 0
Other Liabilities 2 980 530.0 3 033 519.0 3 094 841.0 2 675 727.0 2 093 631.0 2 014 710.0 1 886 200.0 1 827 895.0 1 686 737.0 (306 601.0) (295 883.0) 598 040.0 601 634.0 (304 978.0) 213 173.0 220 358.0 (227 845.0) (163 683.0) (119 886.0) (105 718.0) (54 782.0) (45 190.0) (43 622.0) (43 299.0) (20 140.0) (18 375.0) (15 127.0) (13 314.0) (7 329.0) (7 991.0) (8 192.0) (6 798.0) (5 738.0) (3 233.0) (2 970.0)
Total Liabilities 3 547 515.0 3 373 411.0 3 449 440.0 3 106 717.0 2 426 049.0 2 366 017.0 2 277 907.0 2 236 782.0 2 104 125.0 2 341 061.0 2 204 511.0 2 155 072.0 2 082 219.0 1 941 499.0 1 866 624.0 2 008 168.0 1 438 926.0 1 235 730.0 1 049 534.0 1 003 534.0 712 463.0 716 494.0 651 926.0 672 460.0 381 938.0 341 487.0 343 229.0 314 555.0 171 014.0 160 711.0 138 724.0 129 804.0 131 649.0 69 112.0 67 808.0
EQUITY
Common Stock 4 105.0 4 105.0 4 105.0 4 105.0 4 105.0 4 105.0 4 105.0 4 105.0 4 105.0 4 105.0 4 105.0 4 105.0 4 105.0 4 105.0 4 105.0 3 942.0 3 658.0 3 658.0 3 618.0 3 585.0 2 044.0 2 024.0 1 997.0 1 940.0 882.0 0 0 0 0 0 0 0 0 0 0
Retained Earnings 332 901.0 296 456.0 272 268.0 236 990.0 223 211.0 199 202.0 177 676.0 162 440.0 146 420.0 130 315.0 115 756.0 104 223.0 88 315.0 73 998.0 62 481.0 54 013.0 54 715.0 43 600.0 33 848.0 30 209.0 29 681.0 25 851.0 26 993.0 28 096.0 17 547.0 13 544.0 11 103.0 8 627.0 4 493.0 3 263.0 2 501.0 1 407.0 769.0 501.0 513.0
Other Accumulative Comprehensive Income/Loss (10 443.0) (17 341.0) (84.0) 7 986.0 1 569.0 (1 507.0) (119.0) (1 175.0) 192.0 2 189.0 1 199.0 4 102.0 944.0 1 001.0 (91.0) (5 687.0) (917.0) (1 557.0) (626.0) (208.0) (30.0) 1 227.0 (442.0) (241.0) (1 454.0) 392.0 95.0 (288.0) 0 0 0 0 0 0 0
Total Equity 327 878.0 292 332.0 294 127.0 279 354.0 261 330.0 256 515.0 255 693.0 254 190.0 247 573.0 232 065.0 211 178.0 204 069.0 183 573.0 176 106.0 165 365.0 177 445.0 137 237.0 131 974.0 149 408.0 153 714.0 58 449.0 42 306.0 41 649.0 42 888.0 24 167.0 24 388.0 22 292.0 22 094.0 11 912.0 10 712.0 11 164.0 9 851.0 7 281.0 3 907.0 3 705.0
Total Liabilities and Equity 3 875 393.0 3 665 743.0 3 743 567.0 3 386 071.0 2 687 379.0 2 622 532.0 2 533 600.0 2 490 972.0 2 351 698.0 2 573 126.0 2 415 689.0 2 359 141.0 2 265 792.0 2 117 605.0 2 031 989.0 2 185 613.0 1 576 163.0 1 367 704.0 1 198 942.0 1 157 248.0 770 912.0 758 800.0 693 575.0 715 348.0 406 105.0 365 875.0 365 521.0 336 099.0 182 926.0 171 423.0 149 888.0 139 655.0 138 930.0 73 019.0 71 513.0
SHARES OUTSTANDING
Common Shares Outstanding 2 938.6 2 965.8 3 021.5 3 082.4 3 221.5 3 396.4 3 576.4 3 688.9 3 773.6 3 795.3 3 814.9 3 822.2 3 900.4 3 956.3 3 862.8 3 501.1 3 404.0 3 470.0 3 492.0 2 780.0 2 009.0 1 984.0 1 972.4 1 884.1 1 243.2 1 269.2 1 273.8 1 339.2 757.8 747.9 753.6 717.7 500.0 269.9 345.4 293.3 265.6 148.5 144.8