Fifth Third Bancorp (FITB)
NASDAQ: FITB · Real-Time Price · USD
50.51
+0.99 (2.00%)
Apr 17, 2026, 1:51 PM EDT - Market open

Fifth Third Bancorp Balance Sheet

Millions USD. Fiscal year is Jan - Dec.
Fiscal Quarter
Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q2 2023Q1 2023Q4 2022Q3 2022Q2 2022Q1 2022Q4 2021Q3 2021Q2 2021
Period Ending
Mar '26 Dec '25 Sep '25 Jun '25 Mar '25 Dec '24 Sep '24 Jun '24 Mar '24 Dec '23 Sep '23 Jun '23 Mar '23 Dec '22 Sep '22 Jun '22 Mar '22 Dec '21 Sep '21 Jun '21
Cash & Equivalents
21,54022,37520,11616,01517,97420,13424,94423,92225,63625,22421,76013,53712,57411,8179,66210,85623,57837,56637,41635,694
Securities and Investments
62,55047,52747,95949,90050,93250,82551,75450,42950,31150,42147,89549,33150,72151,50851,29452,84248,83838,11837,87838,022
Trading Assets
2,2131,5101,5531,7281,6531,5261,6041,6081,5311,5121,4721,4701,4977317296196828881,0141,052
Other Earning Assets
1,3657335766464736406125373393786147607491,0071,9402,5422,6164,4155,2035,730
Gross Loans
176,250122,651123,130122,396122,191119,791116,668116,579116,485117,234120,088121,891122,857121,480119,999118,823115,865112,050107,911107,733
Allowance for Loan Losses
-2,922-2,253-2,265-2,412-2,384-2,352-2,305-2,288-2,318-2,322-2,340-2,327-2,215-2,194-2,099-2,014-1,908-1,892-1,954-2,033
Net Loans
173,328120,398120,865119,984119,807117,439114,363114,291114,167114,912117,748119,564120,642119,286117,900116,809113,957110,158105,957105,700
Net Property, Plant & Equipment
3,2833,1083,0342,9042,8202,7942,7822,7812,8032,8082,7832,8122,7972,8142,7672,7182,7242,7362,7482,788
Other Intangible Assets
2,8161,6671,6771,7041,7451,7941,7541,8381,8711,8621,9581,9101,8821,9151,9131,7761,5891,2771,112935
Goodwill
9,9664,9474,9474,9184,9184,9184,9184,9184,9184,9194,9194,9194,9154,9154,9254,9264,5144,5144,5144,259
Other Non-Earning Assets
19,97812,11112,17612,19212,34712,85711,58712,93812,93012,53813,81812,97312,88013,45914,33313,69412,96111,44411,88911,210
Total Assets
297,039214,376212,903209,991212,669212,927214,318213,262214,506214,574212,967207,276208,657207,452205,463206,782211,459211,116207,731205,390
Interest-bearing deposits
168,286129,172124,739122,033124,650126,214126,947126,151127,738125,766123,828118,864113,326110,565104,051100,315105,021104,236101,22999,523
Noninterest-bearing deposits
65,33542,64741,83042,17440,85541,03841,39340,61741,84943,14643,84445,26449,64953,12557,60160,85965,59065,08863,87962,760
Total Deposits
233,621171,819166,569164,207165,505167,252168,340166,768169,587168,912167,672164,128162,975163,690161,652161,174170,611169,324165,108162,283
Short-Term Interbank Borrowing and Repurchase Agreements
--183178227-169194247193205163177180212711250281309338
Short-Term Borrowings
1,2899265,0773,3935,4574,6541,4243,3702,8662,8614,5945,8177,3644,8386,3787,0578729809491,130
Accrued Expenses
2,6282,0831,9431,9701,7222,1372,0342,0401,9652,1951,8341,7651,5771,8221,5891,6831,4712,2332,0832,045
Long-Term Debt
18,75313,58913,67714,49214,53914,33717,09616,29315,44416,38016,31012,27812,89313,71411,71210,99010,81511,82111,41912,364
Other Liabilities
6,6424,2354,3474,6274,8164,9024,4715,3715,3794,8615,8085,3165,3075,8817,1846,1977,2634,2675,3394,304
Total Liabilities
262,933192,652191,796188,867192,266193,282193,534194,036195,488195,402196,423189,467190,293190,125188,727187,812191,282188,906185,207182,464
Preferred Stock
2,1821,7701,7702,1162,1162,1162,1162,1162,1162,1162,1162,1162,1162,1162,1162,1162,1162,1162,1162,116
Common Stock
2,5852,0512,0512,0512,0512,0512,0512,0512,0512,0512,0512,0512,0512,0512,0512,0512,0512,0512,0512,051
Treasury Stock
-8,261-8,306-8,308-8,009-8,019-7,840-7,541-7,346-7,227-7,262-7,264-7,266-7,272-7,103-7,004-7,007-7,010-7,024-6,708-6,160
Additional Paid-in Capital
15,5863,8313,8133,7943,7733,8043,7843,7643,7423,7573,7333,7083,6823,6843,6603,6363,6153,6243,6113,602
Accumulated Other Comprehensive Income
-3,234-3,110-3,276-3,546-3,895-4,636-3,446-4,901-4,888-4,487-6,839-5,166-4,245-5,110-5,306-2,644-1,0961,2071,6371,974
Retained Earnings
25,24825,48825,05724,71824,37724,15023,82023,54223,22422,99722,74722,36622,03221,68921,21920,81820,50120,23619,81719,343
Shareholders' Equity
34,10621,72421,10721,12420,40319,64520,78419,22619,01819,17216,54417,80918,36417,32716,73618,97020,17722,21022,52422,926
Total Liabilities & Equity
297,039214,376212,903209,991212,669212,927214,318213,262214,506214,574212,967207,276208,657207,452205,463206,782211,459211,116207,731205,390
Total Debt
18,75313,58913,67714,49214,53914,33717,09616,29315,44416,38016,31012,27812,89313,71411,71210,99010,81511,82111,41912,364
Net Cash (Debt)
-18,753-13,589-13,677-14,492-14,539-14,337-17,096-16,293-15,444-16,380-16,310-12,278-12,893-13,714-11,712-10,990-10,815-11,821-11,419-12,364
Net Cash Per Share
-22.59-20.31-20.39-21.50-21.51-21.04-24.92-23.58-22.36-23.82-23.74-17.90-18.70-19.70-16.86-15.82-15.54-16.95-16.17-17.22
Book Value
34,10621,72421,10721,12420,40319,64520,78419,22619,01819,17216,54417,80918,36417,32716,73618,97020,17722,21022,52422,926
Book Value Per Share
41.0832.4631.4631.3430.1828.8330.2927.8227.5427.8824.0825.9626.6324.9024.0927.3028.9931.8431.9031.93
Tangible Book Value
21,32415,11014,48314,50213,74012,93314,11212,47012,22912,3919,66710,98011,56710,4979,89812,26814,07416,41916,89817,732
Tangible Book Value Per Share
25.6822.5821.5921.5220.3218.9820.5718.0517.7118.0214.0716.0116.7715.0814.2517.6620.2223.5423.9324.70
Updated Apr 17, 2026. Data Source: Fiscal.ai. Banks template. Financial Sources.
SEC Filings: 10-K · 10-Q