JPMorgan Chase & Co. (FRA:CMC)
Germany flag Germany · Delayed Price · Currency is EUR
257.35
+2.70 (1.06%)
At close: Jan 30, 2026

JPMorgan Chase & Co. Balance Sheet

Millions USD. Fiscal year is Jan - Dec.
Fiscal Year
FY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Cash & Equivalents
358,168441,847604,576540,525721,201
Investment Securities
1,098,928764,660634,667747,233748,249
Trading Asset Securities
802,873501,714411,613360,112330,865
Mortgage-Backed Securities
-215,368217,469212,437197,164
Total Investments
1,901,8011,481,7421,263,7491,319,7821,276,278
Gross Loans
1,456,2411,392,8791,367,3681,180,9611,128,707
Allowance for Loan Losses
-25,765-24,345-22,420-19,726-16,386
Net Loans
1,430,4761,368,5341,344,9481,161,2351,112,321
Property, Plant & Equipment
36,24445,77541,33440,03644,623
Goodwill
52,73152,56552,63451,66250,315
Other Intangible Assets
2,5602,8743,2251,224882
Loans Held for Sale
84,5247,0483,9853,9708,688
Accrued Interest Receivable
64,26349,28459,71675,90542,889
Restricted Cash
-27,50019,60026,80019,700
Other Current Assets
286,191355,616329,430279,056308,781
Long-Term Deferred Tax Assets
-12,17510,148--
Other Real Estate Owned & Foreclosed
502112162157134
Other Long-Term Assets
207,440157,742141,886165,391157,755
Total Assets
4,424,9004,002,8143,875,3933,665,7433,743,567
Accounts Payable
316,79495,51997,64077,18462,994
Accrued Expenses
-167,553175,160199,992178,972
Interest Bearing Deposits
1,938,9211,544,8481,511,0021,525,7431,631,044
Institutional Deposits
-241,878222,841142,52993,505
Non-Interest Bearing Deposits
620,399619,306666,845671,907737,754
Total Deposits
2,559,3202,406,0322,400,6882,340,1792,462,303
Short-Term Borrowings
553,501389,389302,094304,781303,650
Current Portion of Long-Term Debt
-19,251---
Current Portion of Leases
-1,709---
Other Current Liabilities
169,690159,122145,181126,835114,577
Long-Term Debt
463,157390,212371,871295,534298,670
Federal Home Loan Bank Debt, Long-Term
-17,67541,24611,09311,110
Long-Term Leases
-7,1918,8338,1838,328
Trust Preferred Securities
-1,6031,7281,8481,975
Other Long-Term Liabilities
-2,8003,0747,7826,861
Total Liabilities
4,062,4623,658,0563,547,5153,373,4113,449,440
Preferred Stock, Redeemable
20,04520,05027,40427,40434,838
Common Stock
4,1054,1054,1054,1054,105
Additional Paid-In Capital
91,11490,91190,12889,04488,415
Retained Earnings
416,055376,166332,901296,456272,268
Treasury Stock
-164,591-134,018-116,217-107,336-105,415
Comprehensive Income & Other
-4,290-12,456-10,443-17,341-84
Total Common Equity
342,393324,708300,474264,928259,289
Shareholders' Equity
362,438344,758327,878292,332294,127
Total Liabilities & Equity
4,424,9004,002,8143,875,3933,665,7433,743,567
Total Debt
1,016,658827,030725,772621,439623,733
Net Cash (Debt)
465,979411,502566,544594,699689,964
Net Cash Growth
13.24%-27.37%-4.73%-13.81%30.24%
Net Cash Per Share
167.53142.93192.50200.24227.97
Filing Date Shares Outstanding
2,6962,7962,8802,9432,953
Total Common Shares Outstanding
2,6962,7982,8772,9342,944
Book Value Per Share
126.99116.07104.4590.2988.07
Tangible Book Value
287,102269,269244,615212,042208,092
Tangible Book Value Per Share
106.4896.2585.0372.2770.68
Source: S&P Global Market Intelligence. Banks template. Financial Sources.