JPMorgan Chase & Co.

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XX

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246.09
2.43 (1.00%)
At close: Apr 02, 2025, 3:59 PM
237.31
-3.57%
After-hours: Apr 02, 2025, 07:59 PM EDT

JPMorgan Chase & Co. Balance Sheet Statement

Financials in USD. Fiscal year is January - December.
Fiscal Year FY 2024 FY 2023 FY 2022 FY 2021 FY 2020 FY 2019 FY 2018 FY 2017 FY 2016 FY 2015 FY 2014 FY 2013 FY 2012 FY 2011 FY 2010 FY 2009 FY 2008 FY 2007 FY 2006 FY 2005 FY 2004 FY 2003 FY 2002 FY 2001 FY 2000 FY 1999 FY 1998 FY 1997 FY 1996 FY 1995 FY 1994 FY 1993 FY 1992 FY 1991 FY 1990 FY 1989
Period Ending Dec 31, 2024 Dec 31, 2023 Dec 31, 2022 Dec 31, 2021 Dec 31, 2020 Dec 31, 2019 Dec 31, 2018 Dec 31, 2017 Dec 31, 2016 Dec 31, 2015 Dec 31, 2014 Dec 31, 2013 Dec 31, 2012 Dec 31, 2011 Dec 31, 2010 Dec 31, 2009 Dec 31, 2008 Dec 31, 2007 Dec 31, 2006 Dec 31, 2005 Dec 31, 2004 Dec 31, 2003 Dec 31, 2002 Dec 31, 2001 Dec 31, 2000 Dec 31, 1999 Dec 31, 1998 Dec 31, 1997 Dec 31, 1996 Dec 31, 1995 Dec 31, 1994 Dec 31, 1993 Dec 31, 1992 Dec 31, 1991 Dec 31, 1990 Dec 31, 1989
Cash & Equivalents 469.32B 624.15B 567.23B 740.83B 527.61B 263.63B 278.79B 431.3B 389.63B 360.5B 512.31B 355.82B 175.54B 144.88B 49.24B 89.44B 165.03B 51.61B 53.96B 58.33B 56.85B 30.44B 28.16B 35.34B 32.3B 44.3B 24.28B 18.59B 22.95B 11.74B 14.48B 12.88B 10.69B 10.62B 6.29B 6.87B
Short-Term Investments 1,193.4B 192.49B 196.7B 290.26B 355.95B 340.37B 230.39B 202.22B 238.89B 241.75B 298.75B 329.98B 371.14B 364.78B 316.32B 360.37B 205.91B 85.41B 91.92B 29.91B n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Long-Term Investments -1,344.3B 9.22B 1,014.1B 1,048.7B 1,013.5B 759.58B 621.33B 575.28B 597.11B 574.99B 668.02B 662.91B 746.2B 716.28B 725.75B 691.31B 553.3B 497.63B 342.03B 426.95B 438.49B 362.2B 375.13B 294.94B 333.12B 124.78B 122.18B 125.13B 108.5B 70.81B 55.8B 37.63B 27.92B 26.83B 11.54B 10.23B
Other Long-Term Assets 1,344.3B -9.22B -1,070.7B -1,068.6B -1,010.8B n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Receivables 101.22B 107.36B 125.19B 102.57B 90.5B 72.86B 73.2B 67.73B 52.33B 46.6B 70.08B 65.16B 60.93B 61.48B 70.15B 67.43B 60.99B 24.82B 22.89B 52.16B 53.13B 12.36B 14.14B 14.8B 20.62B 2.5B 2.32B 3.36B 3.02B 1.33B 1.19B 1.11B 1.09B 1.19B 968M 1.11B
Inventory n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Other Current Assets n/a 824.98B 758.26B 611.3B 604.35B 459.99B 617.17B 483.42B 459.96B n/a 78.97B 65.76B n/a n/a 80.48B n/a n/a n/a 583.34B n/a n/a n/a n/a 621.79B 639.5B n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Total Current Assets 1,763.9B 1,163.1B 1,647.4B 1,745B 1,578.4B 1,136.9B 1,199.6B 1,184.7B 1,140.8B 67.09B 960.11B 816.72B 114.66B 121.08B 516.19B 93.63B 87.88B 161.84B 129.2B 110.49B 109.98B 42.8B 42.3B 671.94B 692.43B 46.81B 26.6B 21.95B 25.97B 13.07B 15.67B 13.99B 11.78B 11.8B 7.26B 7.98B
Property-Plant & Equipment 32.22B 30.16B 27.73B 27.07B 27.11B 25.81B 14.93B 14.16B 14.13B 14.36B 15.13B 14.89B 14.52B 14.04B 13.36B 11.12B 10.04B 9.32B 8.73B 9.08B 9.14B 6.49B 6.83B 6.29B 7.09B 4.44B 4.05B 3.78B 3.64B 2.04B 2.13B 1.91B 1.7B 1.76B 1.01B 1.09B
Goodwill & Intangibles 64.56B 64.38B 60.86B 56.69B 53.43B 53.34B 54.35B 54.39B 54.25B 54.95B 56.27B 59.31B 58.02B 58.62B 66.54B 68.51B 63.01B 60B 60.04B 58.18B 57.89B 14.99B 12.9B 15.35B 15.83B n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Total Long-Term Assets 96.78B 94.54B 1,102.7B 1,132.5B 1,094B 838.73B 655.75B 68.55B 62.28B 62.7B 739.42B 737.11B 64.93B 65.44B 805.64B 64.1B 62B 566.95B 410.8B 494.22B 505.52B 383.68B 394.87B 21.64B 22.92B 129.22B 126.24B 128.91B 112.14B 72.84B 57.93B 39.54B 29.62B 28.59B 12.55B 11.32B
Total Assets 4,002.8B 3,875.4B 3,665.7B 3,743.6B 3,386.1B 2,687.4B 2,622.5B 2,533.6B 2,491B 2,351.7B 2,573.1B 2,415.7B 2,359.1B 2,265.8B 2,117.6B 2,032B 2,185.6B 1,576.2B 1,367.7B 1,198.9B 1,157.2B 770.91B 758.8B 693.58B 715.35B 406.11B 365.88B 365.52B 336.1B 182.93B 171.42B 149.89B 139.66B 138.93B 73.02B 71.51B
Account Payables n/a 161.96B 188.69B 169.17B 140.29B 118.38B 114.79B 102.73B 109.84B 107.63B 134.47B 194.49B 195.24B 202.9B 170.33B 162.7B 187.98B 54.4B 88.1B 78.46B n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Deferred Revenue n/a n/a n/a n/a n/a n/a 102.15B n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a -64.6B n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Short-Term Debt 52.89B 44.71B 44.03B 53.59B 45.21B 40.92B 69.28B 51.8B 34.44B 15.56B n/a 57.85B 55.37B 73.54B 35.36B 41.79B 37.84B 49.6B 18.85B 13.86B 21.64B 23.21B 25.54B 29.34B 44.69B 13.65B 15.03B 11.61B 13.73B 9.24B 11.84B 11.91B 8.02B 9.99B 13.06B 11.22B
Other Current Liabilities n/a -317.95B -339.98B -303.07B -191.43B -247.72B -114.79B -222.26B -258.68B -160.42B -205.58B -309.65B -265.9B -299.78B -274.91B -222.82B 1,048.5B -172.7B -106.94B -92.32B -97.37B -68.28B -63.98B 531.7B 540.33B 331.64B 294.34B 304.52B 275.75B 149.56B 138.52B -14.52B -9.97B -13.12B -14.08B -12.26B
Total Current Liabilities 52.89B 44.71B 344.17B 316.35B 277.81B 251.33B 184.07B 51.8B 11.74B 15.56B 273.3B 252.34B 55.37B 51.63B 205.69B 41.79B 37.84B 144.07B 106.94B 13.86B 21.64B 23.21B 25.54B 608.85B 625.77B 362.35B 323.66B 328.65B 301.79B 163.69B 152.72B 11.91B 8.02B 9.99B 13.06B 11.22B
Long-Term Debt 387.78B 391.82B 295.87B 301B 281.69B 291.5B 282.03B 284.08B 295.25B 309.76B 306.6B 295.88B 275.66B 256.77B 304.98B 322.06B 391.89B 227.84B 163.68B 119.89B 105.72B 54.78B 45.19B 43.62B 43.3B 20.14B 18.38B 15.13B 13.31B 7.33B 7.99B 8.19B 6.8B 5.74B 3.23B 2.97B
Other Long-Term Liabilities 3,217.4B 3,111B 3,033.5B 3,094.8B 2,675.7B 2,093.6B 2,014.7B 1,886.2B 1,827.9B 1,686.7B -306.6B -295.88B 598.04B 601.63B -304.98B 213.17B 220.36B -227.84B -163.68B -119.89B -105.72B -54.78B -45.19B -43.62B -43.3B -20.14B -18.38B -15.13B -13.31B -7.33B -7.99B -8.19B -6.8B -5.74B -3.23B -2.97B
Total Long-Term Liabilities 3,605.2B 3,502.8B 3,331.5B 415.58B 381.24B 367.07B 282.03B 2,226.1B 2,225B 2,088.6B 388.76B 376.31B 2,099.7B 2,030.6B 381.93B 1,824.8B 1,970.3B 227.84B 163.68B 119.89B 105.72B 54.78B 45.19B 43.62B 47.24B 20.14B 18.38B 15.13B 13.31B 7.33B 7.99B 8.19B 6.8B 5.74B 3.23B 2.97B
Total Liabilities 3,658.1B 3,547.5B 3,373.4B 3,449.4B 3,106.7B 2,426B 2,366B 2,277.9B 2,236.8B 2,104.1B 2,341.1B 2,204.5B 2,155.1B 2,082.2B 1,941.5B 1,866.6B 2,008.2B 1,438.9B 1,235.7B 1,049.5B 1,003.5B 712.46B 716.49B 651.93B 672.46B 381.94B 341.49B 343.23B 314.56B 171.01B 160.71B 138.72B 129.8B 131.65B 69.11B 67.81B
Total Debt 454.31B 436.54B 466.73B 469.18B 426.45B 407.99B 454.31B 421.77B 417.12B 399.43B 455.1B 434.16B 392.29B 397.03B 417.29B 428.8B 486.2B 277.44B 182.53B 133.75B 127.36B 77.99B 70.73B 72.97B 91.93B 33.79B 33.4B 26.73B 27.05B 16.57B 19.83B 20.1B 14.82B 15.73B 16.29B 14.2B
Common Stock 4.11B 4.11B 4.11B 4.11B 4.11B 4.11B 4.11B 4.11B 4.11B 4.11B 4.11B 4.11B 4.11B 4.11B 4.11B 4.11B 3.94B 3.66B 3.66B 3.62B 3.58B 2.04B 2.02B 2B 1.94B 882M n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Retained Earnings 376.17B 332.9B 296.46B 272.27B 236.99B 223.21B 199.2B 177.68B 162.44B 146.42B 130.31B 115.76B 104.22B 88.31B 74B 62.48B 54.01B 54.72B 43.6B 33.85B 30.21B 29.68B 25.85B 26.99B 28.1B 17.55B 13.54B 11.1B 8.63B 4.49B 3.26B 2.5B 1.41B 769M 501M 513M
Comprehensive Income -12.46B -10.44B -17.34B -84M 7.99B 1.57B -1.51B -119M -1.18B 192M 2.19B 1.2B 4.1B 944M 1B -91M -5.69B -917M -1.56B -626M -208M -30M 1.23B -442M -241M -1.45B 392M 95M -288M n/a n/a n/a n/a n/a n/a n/a
Shareholders Equity 344.76B 327.88B 292.33B 294.13B 279.35B 261.33B 256.51B 255.69B 254.19B 247.57B 232.06B 211.18B 204.07B 183.57B 176.11B 165.37B 166.88B 123.22B 115.79B 107.21B 105.65B 46.15B 42.31B 41.1B 42.34B 23.62B 23.84B 21.74B 21.54B 11.91B 10.71B 11.16B 9.85B 7.28B 3.91B 3.71B
Total Investments -150.94B 201.7B 1,219.9B 1,357.3B 1,401.7B 1,120.9B 816.86B 723.97B 785.91B 763B 926.46B 952.35B 1,083.5B 1,083.7B 1,049.5B 1,093.6B 846.77B 583.04B 394.37B 426.95B 438.49B 362.2B 375.13B 294.94B 333.12B 124.78B 122.18B 125.13B 108.5B 70.81B 55.8B 37.63B 27.92B 26.83B 11.54B 10.23B