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Financial Services - Banks - Diversified - NYSE - US
$ 19.41
-0.154 %
$ 242 B
Market Cap
4.02
P/E
BALANCE SHEET
1.93 T ASSETS
2.74%
1.75 T LIABILITIES
2.70%
186 B EQUITY
3.25%
BALANCE SHEET DECOMPOSITION
Balance Sheet Decomposition Wells Fargo & Company
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Current Assets 316 B
Cash & Short-Term Investments 316 B
Receivables 0
Other Current Assets 0
Non-Current Assets 1.89 T
Long-Term Investments 480 B
PP&E 18.2 B
Other Non-Current Assets 1.39 T
Current Liabilities 972 B
Accounts Payable 0
Short-Term Debt 11.9 B
Other Current Liabilities 960 B
Non-Current Liabilities 690 B
Long-Term Debt 208 B
Other Non-Current Liabilities 483 B

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 237 219.0 159 157.0 234 230.0 264 612.0 141 250.0 173 287.0 215 947.0 20 729.0 19 111.0 19 571.0 19 919.0 21 860.0 19 440.0 16 044.0 27 080.0 23 763.0 14 757.0 15 028.0 15 397.0 12 903.0 16 535.0 18 172.0 16 968.0 16 978.0 13 250.0 12 731.0 5 926.1 7 371.3 4 946.5 4 024.3 3 059.2 2 781.8 2 797.5 2 703.6 1 523.1
Short Term Investments 125 525.0 113 594.0 177 244.0 220 392.0 263 459.0 269 912.0 277 085.0 308 364.0 267 358.0 257 442.0 252 007.0 235 199.0 222 613.0 172 654.0 172 710.0 151 569.0 72 951.0 42 629.0 41 834.0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Receivables 0 14 908.0 14 859.0 16 087.0 19 831.0 60 061.0 64 200.0 55 684.0 12 367.0 12 307.0 12 034.0 12 424.0 13 117.0 13 094.0 14 210.0 15 829.0 20 662.0 15 706.0 13 885.0 3 196.0 3 743.0 6 345.0 23 545.0 21 929.0 15 348.0 10 894.0 5 783.0 4 302.1 4 905.4 2 394.4 1 723.9 1 514.7 1 496.7 1 381.4 735.9
Inventory 0 (369 987.0) (440 907.0) (471 575.0) (385 842.0) (343 641.0) (433 935.0) (398 733.0) 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 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 246 726.0 219 618.0 177 531.0 166 546.0 0 0 0 0 0 0 0 0 0
Total Current Assets 316 459.0 287 659.0 426 333.0 501 091.0 424 540.0 238 408.0 90 557.0 46 436.0 298 836.0 289 320.0 283 960.0 269 483.0 255 170.0 201 792.0 214 000.0 191 161.0 108 370.0 73 363.0 29 282.0 16 099.0 20 278.0 24 517.0 287 239.0 258 525.0 206 129.0 190 171.0 11 709.1 11 673.4 9 851.9 6 418.7 4 783.1 4 296.5 4 294.2 4 085.0 2 259.0
PP&E 18 236.0 8 350.0 8 571.0 8 895.0 9 309.0 8 920.0 18 513.0 8 333.0 8 704.0 8 743.0 9 156.0 9 428.0 9 531.0 9 644.0 10 736.0 11 269.0 7 340.0 7 789.0 4 417.0 3 850.0 3 534.0 3 688.0 3 549.0 3 415.0 2 985.0 3 130.0 1 295.5 1 200.9 1 034.1 955.2 756.5 640.8 583.3 457.9 370.7
Intangible Assets 8 508.0 10 480.0 8 189.0 7 437.0 12 947.0 16 092.0 16 659.0 14 365.0 13 723.0 13 980.0 16 809.0 12 698.0 14 011.0 15 886.0 17 123.0 16 160.0 17 238.0 17 973.0 12 688.0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Goodwill 25 175.0 25 173.0 25 180.0 26 392.0 26 390.0 26 418.0 26 587.0 26 693.0 25 529.0 25 705.0 25 637.0 25 637.0 25 115.0 24 770.0 24 812.0 22 627.0 13 106.0 11 275.0 10 787.0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Long Term Investments 480 202.0 561 222.0 610 417.0 563 467.0 565 366.0 539 837.0 537 131.0 482 344.0 424 757.0 391 180.0 327 166.0 292 681.0 300 427.0 224 068.0 215 749.0 206 453.0 87 608.0 53 473.0 57 829.0 46 233.0 41 872.0 38 114.0 40 308.0 38 655.0 38 518.0 31 997.0 19 218.0 17 145.8 16 154.1 15 009.2 11 600.6 11 423.4 11 383.3 6 834.0 4 906.4
Other Long Term Assets (532 121.0) (19 917.0) (10 678.0) (12 481.0) (8 453.0) (600 848.0) (7 325.0) (13 328.0) (472 713.0) (439 608.0) (378 768.0) (340 444.0) (349 084.0) (274 368.0) (268 420.0) (256 509.0) (125 292.0) (90 510.0) (86 033.0) (69 268.0) (63 420.0) (56 912.0) 16 781.0 10 486.0 8 988.0 9 174.0 (20 513.5) (18 346.7) (17 188.2) (15 964.4) (12 357.1) (12 064.2) (11 966.6) (7 291.9) (5 277.1)
Other Assets (273 588.0) 988 132.0 869 378.0 847 881.0 889 003.0 1 056 627.0 1 262 310.0 1 351 944.0 1 016 083.0 958 227.0 864 287.0 813 041.0 709 613.0 781 968.0 761 226.0 861 969.0 341 780.0 318 123.0 366 426.0 342 482.0 304 100.0 267 830.0 0 0 0 0 56 317.6 50 155.3 45 094.3 36 932.8 33 642.1 28 196.4 22 240.8 19 249.0 16 798.6
Total Assets 1 932 468.0 1 881 016.0 1 948 068.0 1 955 163.0 1 927 555.0 1 895 883.0 1 951 757.0 1 930 115.0 1 787 632.0 1 687 155.0 1 527 015.0 1 422 968.0 1 313 867.0 1 258 128.0 1 243 646.0 1 309 639.0 575 442.0 481 996.0 481 741.0 427 849.0 387 798.0 349 259.0 307 569.0 272 426.0 218 102.0 202 475.0 88 540.2 80 175.4 72 134.4 59 315.9 50 782.3 44 557.1 38 501.6 30 625.9 24 334.7
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 0 0 0
Short Term Debt 11 883.0 20 522.0 13 218.0 12 637.0 12 109.0 13 357.0 14 572.0 18 657.0 14 580.0 12 466.0 17 620.0 22 202.0 18 053.0 17 454.0 12 950.0 45 871.0 30 427.0 1 122.0 3 958.0 36 548.0 24 659.0 33 446.0 37 782.0 28 989.0 31 727.0 15 897.0 13 381.0 7 572.6 8 527.2 7 850.2 5 805.1 8 575.4 5 337.9 5 087.0 4 291.4
Other Current Liabilities (11 883.0) (20 522.0) (13 218.0) (12 637.0) (12 109.0) (13 357.0) (14 572.0) (18 657.0) (14 580.0) (12 466.0) (17 620.0) (22 202.0) (18 053.0) (17 454.0) (12 950.0) (45 871.0) (30 427.0) (1 122.0) (3 958.0) (36 548.0) (24 659.0) (33 446.0) (37 782.0) (28 989.0) (31 727.0) (15 897.0) (13 381.0) (7 572.6) (8 527.2) (7 850.2) (5 805.1) (8 575.4) (5 337.9) (5 087.0) (4 291.4)
Total Current Liabilities 972 305.0 51 145.0 34 409.0 58 999.0 104 512.0 13 357.0 14 572.0 96 781.0 97 528.0 63 518.0 53 883.0 57 175.0 49 091.0 55 401.0 38 966.0 108 074.0 30 427.0 1 122.0 23 892.0 21 962.0 24 659.0 33 446.0 241 825.0 212 957.0 171 811.0 161 222.0 68 751.0 61 029.0 53 145.0 46 284.0 5 805.1 8 575.4 5 337.9 5 087.0 4 291.4
Long Term Debt 207 588.0 174 870.0 160 689.0 212 950.0 228 191.0 229 044.0 225 020.0 255 077.0 199 536.0 183 943.0 152 987.0 127 379.0 125 354.0 156 983.0 163 366.0 213 162.0 99 393.0 87 145.0 79 668.0 58 994.0 63 642.0 50 205.0 38 530.0 32 981.0 27 801.0 20 494.0 18 634.0 13 082.2 13 676.8 9 186.3 6 802.4 4 468.2 3 578.6 2 905.3 2 557.0
Deferred Tax Income 0 20 047.0 2 787.0 4 690.0 15 731.0 18 155.0 15 486.0 20 379.0 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 (207 588.0) (174 870.0) (160 689.0) (212 950.0) (228 191.0) (229 044.0) (225 020.0) (255 077.0) (199 536.0) (183 943.0) 1 203 020.0 (127 379.0) (125 354.0) (156 983.0) (163 366.0) (213 162.0) (99 393.0) (87 145.0) (79 668.0) (58 994.0) (63 642.0) (50 205.0) (38 530.0) (32 981.0) (27 801.0) (20 494.0) (18 634.0) (0.2) (13 676.8) (9 186.3) (6 802.4) (4 468.2) (3 578.6) (2 905.3) (2 557.0)
Total Liabilities 1 745 025.0 1 699 141.0 1 757 958.0 1 769 243.0 1 739 571.0 1 698 817.0 1 743 678.0 1 729 618.0 1 593 607.0 1 501 893.0 1 356 007.0 1 264 057.0 1 172 180.0 1 130 239.0 1 129 287.0 1 210 571.0 527 814.0 436 120.0 441 081.0 389 983.0 353 329.0 318 901.0 280 355.0 245 938.0 195 971.0 181 716.0 81 518.0 74 111.2 66 822.3 55 469.5 47 213.9 41 484.4 35 910.4 28 988.2 23 056.9
EQUITY
Common Stock 9 136.0 9 136.0 9 136.0 9 136.0 9 136.0 9 136.0 9 136.0 9 136.0 9 136.0 9 136.0 9 136.0 9 136.0 8 931.0 8 787.0 8 743.0 7 273.0 5 788.0 5 788.0 2 894.0 2 894.0 2 894.0 2 894.0 2 894.0 2 894.0 2 777.0 2 769.0 0 0 0 0 0 0 0 0 0
Retained Earnings 201 136.0 187 649.0 180 322.0 162 890.0 166 697.0 158 163.0 145 263.0 133 075.0 121 000.0 107 040.0 92 361.0 77 679.0 64 385.0 51 918.0 41 563.0 36 730.0 38 970.0 35 277.0 30 580.0 26 482.0 22 842.0 19 394.0 16 005.0 14 541.0 11 196.0 9 045.0 5 007.7 4 248.2 3 496.3 2 950.0 2 394.4 2 008.4 1 561.7 1 277.5 1 117.8
Other Accumulative Comprehensive Income/Loss (11 580.0) (13 381.0) (1 702.0) 194.0 (1 311.0) (6 336.0) (2 144.0) (3 137.0) 297.0 3 518.0 1 386.0 5 650.0 3 207.0 4 738.0 3 009.0 (7 072.0) 725.0 302.0 317.0 661.0 709.0 976.0 752.0 524.0 891.0 460.0 409.9 (6.4) (5.8) (268.7) (3.3) (0.3) 0 0 0
Total Equity 187 443.0 181 875.0 190 110.0 185 920.0 187 984.0 197 066.0 208 079.0 200 497.0 194 025.0 185 262.0 171 008.0 158 911.0 141 687.0 127 889.0 114 359.0 102 300.0 47 628.0 45 876.0 40 660.0 37 866.0 34 469.0 30 358.0 27 214.0 26 488.0 22 131.0 20 759.0 7 022.2 6 064.2 5 312.1 3 846.4 3 568.4 3 072.7 2 591.2 1 637.7 1 277.8
Total Liabilities and Equity 1 932 468.0 1 881 016.0 1 948 068.0 1 955 163.0 1 927 555.0 1 895 883.0 1 951 757.0 1 930 115.0 1 787 632.0 1 687 155.0 1 527 015.0 1 422 968.0 1 313 867.0 1 258 128.0 1 243 646.0 1 309 639.0 575 442.0 481 996.0 481 741.0 427 849.0 387 798.0 349 259.0 307 569.0 272 426.0 218 102.0 202 475.0 88 540.2 80 175.4 72 134.4 59 315.9 50 782.3 44 557.1 38 501.6 30 625.9 24 334.7
SHARES OUTSTANDING
Common Shares Outstanding 3 688.3 3 805.2 4 061.9 4 118.0 4 393.1 4 799.7 5 013.2 5 106.0 5 209.8 5 322.2 5 369.9 5 351.5 5 278.1 5 226.8 4 545.2 3 378.1 3 348.5 3 368.3 3 372.5 3 384.4 3 362.2 3 402.2 3 414.1 3 411.9 3 428.4 3 243.0 1 498.6 1 460.5 1 316.3 1 260.4 1 317.9 1 396.3 1 030.3 812.2 740.0 741.1 703.6 719.4 697.0