Citigroup Inc. (FRA:TRVC)
Germany flag Germany · Delayed Price · Currency is EUR
95.67
+0.54 (0.57%)
At close: Jan 30, 2026

Citigroup 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
23,717256,990241,915325,049248,611
Investment Securities
1,126,286646,999753,613788,612740,798
Trading Asset Securities
537,139249,456214,600200,579198,117
Mortgage-Backed Securities
-103,720111,172103,37199,312
Total Investments
1,663,4251,000,1751,079,3851,092,5621,038,227
Gross Loans
752,230695,457690,279658,018668,537
Allowance for Loan Losses
-19,247-18,574-18,145-16,974-16,455
Other Adjustments to Gross Loans
--969-917-797-770
Net Loans
732,983675,914671,217640,247651,312
Property, Plant & Equipment
33,33930,19228,74726,25324,328
Goodwill
19,09819,30020,09819,69121,299
Other Intangible Assets
3,5253,7343,7303,7634,091
Accrued Interest Receivable
-5,0005,0005,000-
Other Receivables
62,67950,84153,91554,19254,340
Restricted Cash
-26,74222,91718,77613,422
Other Current Assets
-193,291197,156133,535133,828
Long-Term Deferred Tax Assets
-34,76735,48533,42129,812
Other Real Estate Owned & Foreclosed
2218361527
Other Long-Term Assets
118,41455,98152,23364,17272,116
Total Assets
2,657,2022,352,9452,411,8342,416,6762,291,413
Accrued Expenses
74,83666,60163,53969,21861,430
Interest Bearing Deposits
1,194,922902,7491,107,6041,148,1171,061,408
Institutional Deposits
-174,022---
Non-Interest Bearing Deposits
208,651207,687201,077217,837255,822
Total Deposits
1,403,5731,284,4581,308,6811,365,9541,317,230
Short-Term Borrowings
399,976351,558366,243309,456274,774
Current Portion of Long-Term Debt
-41,8757,0004,3005,300
Current Portion of Leases
-709---
Other Current Liabilities
162,79886,232105,837113,067106,013
Long-Term Debt
315,827241,803273,505262,700247,340
Federal Home Loan Bank Debt, Long-Term
-2,0004,5003,000-
Long-Term Leases
-2,3042,9743,0763,116
Trust Preferred Securities
-1,6221,6141,6061,734
Long-Term Deferred Tax Liabilities
-4,9225,8775,7495,023
Other Long-Term Liabilities
86,37059,49565,81376,71266,781
Total Liabilities
2,443,3802,143,5792,205,5832,214,8382,088,741
Preferred Stock, Redeemable
20,05017,85017,60016,74516,745
Preferred Stock, Convertible
---2,2502,250
Total Preferred Equity
20,05017,85017,60018,99518,995
Common Stock
3131313131
Additional Paid-In Capital
108,452109,117108,955108,458108,003
Retained Earnings
215,128206,294198,905194,734184,948
Treasury Stock
-89,473-76,842-75,238-73,967-71,240
Comprehensive Income & Other
-41,897-47,852-44,800-47,062-38,765
Total Common Equity
192,241190,748187,853182,194182,977
Minority Interest
1,531768798649700
Shareholders' Equity
213,822209,366206,251201,838202,672
Total Liabilities & Equity
2,657,2022,352,9452,411,8342,416,6762,291,413
Total Debt
715,803641,871655,836584,138532,264
Net Cash (Debt)
527,110138,637146,379306,891241,752
Net Cash Growth
280.21%-5.29%-52.30%26.95%14.42%
Net Cash Per Share
281.4171.4674.84156.23117.96
Filing Date Shares Outstanding
1,7481,8841,9111,9441,981
Total Common Shares Outstanding
1,7481,8771,9031,9371,984
Book Value Per Share
110.01101.6298.7194.0692.21
Tangible Book Value
169,618167,714164,025158,740157,587
Tangible Book Value Per Share
97.0689.3586.1981.9579.41
Source: S&P Global Market Intelligence. Banks template. Financial Sources.