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JPMorgan Chase & Co. (JPM)

Stock Price: $84.05 -3.46 (-3.95%)
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JPMorgan Chase Balance Sheet (Quarterly)

The table below shows the quarterly balance sheet for JPMorgan Chase stock for the past 41 quarters.

Numbers in millions USD, except per-share numbers.
Quarter Ended2019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-31
Cash263,631256,597268,038302,604278,793419,097405,180414,812431,304457,804449,161460,395389,635417,590365,305378,408360,505397,454422,902529,204512,308439,684421,432398,852355,822402,109340,532303,159175,537157,687175,249170,411144,881185,643200,346104,31149,24055,03772,23690,43689,436
Total Cash263,631256,597268,038302,604278,793419,097405,180414,812431,304457,804449,161460,395389,635417,590365,305378,408360,505397,454422,902529,204512,308439,684421,432398,852355,822402,109340,532303,159175,537157,687175,249170,411144,881185,643200,346104,31149,24055,03772,23690,43689,436
Cash Growth (YoY)-5.44%-38.77%-33.85%-27.05%-35.36%-8.45%-9.79%-9.9%10.69%9.63%22.96%21.67%8.08%5.07%-13.62%-28.49%-29.63%-9.6%0.35%32.68%43.98%9.34%23.76%31.57%102.7%155%94.31%77.9%21.16%-15.06%-12.53%63.37%194.23%237.31%177.35%15.34%-44.94%----
Receivables72,86188,98888,39972,24073,20078,79275,66972,65967,72961,75764,03860,03852,33064,33364,91157,64946,60557,92669,64270,00670,07975,50477,09673,12265,16066,26981,56274,20860,93362,98967,93964,83361,47872,08080,29279,23670,14763,22461,29553,99167,427
Other Current Assets-336,492.00-345,585.00-356,437.00-374,844.00-351,993.00-497,889.00-480,849.00-487,471.00-499,033.00-519,561.00-513,199.00-520,433.00-441,965.00-481,923.00-430,216.00-436,057.00-407,110.00-455,380.00-492,544.00-599,210.00-582,387.00-515,188.00-498,528.00-471,974.00-420,982.00-468,378.00-422,094.00-377,367.00-236,470.00-220,676.00-243,188.00-235,244.00-206,359.00-257,723.00-280,638.00-183,547.00-119,387.00-118,261.00-133,531.00-144,427.00-156,863.00
Property, Plant & Equipment25,81325,11724,66524,16014,93414,18014,13214,38214,15914,21814,20614,22714,13114,20814,26214,19514,36214,70915,07314,96315,13315,17715,21614,91914,89114,87614,57414,54114,51914,27114,20614,21314,04113,81213,67913,42213,35511,31611,26711,12311,118
Goodwill and Intangibles53,34153,07853,30254,16854,34954,69754,53554,53354,39248,11748,12748,13954,24648,18948,22048,25048,34048,44148,56748,58148,83949,24449,44949,55449,69949,91750,00850,14950,41050,81950,94451,23751,39551,57652,56152,71352,89352,71852,49852,74252,978
Other Long-Term Assets-79,154.00-78,195.00-77,967.00-78,328.00-69,283.00-68,877.00-68,667.00-68,915.00-68,551.00-62,335.00-62,333.00-62,366.00-68,377.00-62,397.00-62,482.00-62,445.00-62,702.00-63,150.00-63,640.00-63,544.00-63,972.00-64,421.00-64,665.00-64,473.00-64,590.00-64,793.00-64,582.00-64,690.00-64,929.00-65,090.00-65,150.00-65,450.00-65,436.00-65,388.00-66,240.00-66,135.00-66,248.00-64,034.00-63,765.00-63,865.00-64,096.00
Total Assets2,687,3792,764,6612,727,3792,737,1882,622,5322,615,1832,590,0502,609,7852,533,6002,563,0742,563,1742,546,2902,490,9722,521,0292,466,0962,423,8082,351,6982,417,1212,449,5992,577,1482,572,2742,527,0052,520,3362,476,9862,415,6892,463,3092,439,4942,389,3492,359,1412,321,2842,290,1462,320,1642,265,7922,289,2402,246,7642,198,1612,117,6052,141,5952,014,0192,135,7962,031,989
Accounts Payable210,407225,063216,137216,173196,710209,707196,984192,295189,383196,764189,160183,200190,543190,412184,635176,934177,638187,986191,749202,157206,939211,055203,885202,499194,491212,283211,432193,089195,240203,042207,126204,148202,895199,769184,490171,638170,330169,365160,478154,185162,696
Other Current Liabilities-210,407.00-225,063.00-216,137.00-216,173.00-196,710.00-209,707.00-196,984.00-192,295.00-189,383.00-196,764.00-189,160.00-183,200.00-190,543.00-190,412.00-184,635.00-176,934.00-177,638.00-187,986.00-191,749.00-202,157.00-206,939.00-211,055.00-203,885.00-202,499.00-194,491.00-212,283.00-211,432.00-193,089.00-195,240.00-203,042.00-207,126.00-204,148.00-202,895.00-199,769.00-184,490.00-171,638.00-170,330.00-169,365.00-160,478.00-154,185.00-162,696.00
Other Long-Term Liabilities0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00
Total Liabilities2,426,0492,500,3132,464,1642,477,3512,366,0172,356,2272,332,5922,353,5842,277,9072,304,6922,304,6912,290,4272,236,7822,266,6982,213,6732,173,6512,104,1252,171,3932,208,3942,341,2842,340,5472,295,7282,293,0222,257,3312,204,5112,256,6392,230,2552,182,2632,155,0722,121,5912,098,5742,130,8952,082,2192,106,9532,063,8852,017,5631,941,4991,967,7651,842,8991,971,0751,866,624
Total Debt516,093593,131550,442584,875533,627516,367512,325516,207494,798511,942511,737512,058495,354514,646498,895488,946477,996520,094539,889561,876565,046559,319585,007584,730534,894566,277612,190602,641571,130576,087573,448584,189543,846592,664614,720637,786616,985660,003571,586657,563625,265
Debt Growth (YoY)-3.29%14.87%7.44%13.3%7.85%0.86%0.11%0.81%-0.11%-0.53%2.57%4.73%3.63%-1.05%-7.59%-12.98%-15.41%-7.01%-7.71%-3.91%5.64%-1.23%-4.44%-2.97%-6.34%-1.7%6.76%3.16%5.02%-2.8%-6.71%-8.4%-11.85%-10.2%7.55%-3.01%-1.32%----
Common Stock36,55044,66050,00854,95858,82066,20168,71573,40978,13682,86487,38790,12392,92594,98797,05699,645100,961101,927101,80999,38699,561100,777100,37998,06194,22394,14594,88794,19395,74495,37993,78294,73694,31494,59798,629101,544101,107101,203103,251102,917102,975
Retained Earnings223,211217,888212,093205,437199,202195,180189,881183,855177,676175,827171,488166,663162,440157,870153,749149,730146,420143,050138,294134,048129,977127,234123,497119,318115,756112,135114,216109,402104,22399,88895,51891,88888,31585,72682,61278,34273,99869,53165,46561,04362,481
Comprehensive Income1,5691,8001,114-558-1,507-2,425-1,138-1,063-119-309-392-923-1,1751,4741,6187821927511,1022,4302,1893,2663,4382,2761,1993901363,4914,1024,4262,2722,6459441,9641,6387121,0013,0962,404761-91.00
Shareholders Equity261,330264,348263,215259,837256,515258,956257,458256,201255,693258,382258,483255,863254,190254,331252,423250,157247,573245,728241,205235,864231,727231,277227,314219,655211,178206,670209,239207,086204,069199,693191,572189,269183,573182,287182,879180,598176,106173,830171,120164,721165,365
Total Liabilities and Equity2,687,3792,764,6612,727,3792,737,1882,622,5322,615,1832,590,0502,609,7852,533,6002,563,0742,563,1742,546,2902,490,9722,521,0292,466,0962,423,8082,351,6982,417,1212,449,5992,577,1482,572,2742,527,0052,520,3362,476,9862,415,6892,463,3092,439,4942,389,3492,359,1412,321,2842,290,1462,320,1642,265,7922,289,2402,246,7642,198,1612,117,6052,141,5952,014,0192,135,7962,031,989
Net Cash / Debt-252,462-336,534-282,404-282,271-254,834-97,270-107,145-101,395-63,494-54,138-62,576-51,663-105,719-97,056-133,590-110,538-117,491-122,640-116,987-32,672-52,738-119,635-163,575-185,878-179,072-164,168-271,658-299,482-395,593-418,400-398,199-413,778-398,965-407,021-414,374-533,475-567,745-604,966-499,350-567,127-535,829
Net Cash / Debt Growth (YoY)-0.93%245.98%163.57%178.39%301.35%79.67%71.22%96.26%-39.94%-44.22%-53.16%-53.26%-10.02%-20.86%14.19%238.33%122.78%2.51%-28.48%-82.42%-70.55%-27.13%-39.79%-37.93%-54.73%-60.76%-31.78%-27.62%-0.85%2.8%-3.9%-22.44%-29.73%-32.72%-17.02%-5.93%5.96%----
Net Cash Per Share-80.40-105.22-86.88-85.59-76.39-28.81-31.37-29.32-18.17-15.32-17.51-14.34-29.27-26.68-36.35-29.79-30.62-33.20-31.55-8.77-14.14-31.86-43.27-49.08-47.60-43.58-71.82-78.44-103.93-110.01-104.54-108.35-104.94-105.46-104.68-133.99-144.94-152.99-125.35-142.84-135.78