JPMorgan Chase & Co. (JPM)
NYSE: JPM · IEX Real-Time Price · USD
194.20
+0.83 (0.43%)
Apr 26, 2024, 3:30 PM EDT - Market open

JPMorgan Chase Balance Sheet

Millions USD. Fiscal year is Jan - Dec.
Quarter Ended 2023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-31 +73 Quarters
Cash & Equivalents
624,151511,369495,123546,000567,234644,187669,260754,532740,834759,869705,421711,072527,609487,522493,729367,534263,631256,597268,038302,604278,793419,097405,180414,812431,304457,804449,161460,395389,635417,590365,305378,408360,505397,454422,902529,204512,308439,684421,432398,852
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Cash & Cash Equivalents
624,151511,369495,123546,000567,234644,187669,260754,532740,834759,869705,421711,072527,609487,522493,729367,534263,631256,597268,038302,604278,793419,097405,180414,812431,304457,804449,161460,395389,635417,590365,305378,408360,505397,454422,902529,204512,308439,684421,432398,852
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Cash Growth
10.03%-20.62%-26.02%-27.64%-23.43%-15.22%-5.13%6.11%40.41%55.86%42.88%93.47%100.13%90.00%84.20%21.46%-5.44%-38.77%-33.85%-27.05%-35.36%-8.45%-9.79%-9.90%10.69%9.63%22.96%21.67%8.08%5.07%-13.62%-28.49%-29.63%-9.60%0.35%32.68%43.98%9.34%23.76%31.57%
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Receivables
107,363127,752111,561115,316125,189143,905145,442152,207102,570116,395125,253114,75490,50376,94572,260122,06472,86188,98888,39972,24073,20078,79275,66972,65967,72961,75764,03860,03852,33064,33364,91157,64946,60557,92669,64270,00670,07975,50477,09673,122
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Property, Plant & Equipment
30,15729,67729,49328,26627,73427,19926,77026,91627,07026,99626,63126,92627,10926,67226,30125,88225,81325,11724,66524,16014,93414,18014,13214,38214,15914,21814,20614,22714,13114,20814,26214,19514,36214,70915,07314,96315,13315,17715,21614,919
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Goodwill and Intangibles
64,38164,91064,23862,09060,85960,80659,36058,48556,69156,56654,65554,58853,42851,59451,66951,86753,34153,07853,30254,16854,34954,69754,53554,53354,39248,11748,12748,13954,24648,18948,22048,25048,34048,44148,56748,58148,83949,24449,44949,554
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Total Assets
3,875,3933,898,3333,868,2403,744,3053,665,7433,773,8843,841,3143,954,6873,743,5673,757,5763,684,2563,689,3363,384,7573,246,0763,213,1153,139,4312,687,3792,764,6612,727,3792,737,1882,622,5322,615,1832,590,0502,609,7852,533,6002,563,0742,563,1742,546,2902,490,9722,521,0292,466,0962,423,8082,351,6982,417,1212,449,5992,577,1482,572,2742,527,0052,520,3362,476,986
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Accounts Payable
290,307292,070286,934275,077300,141300,016313,326320,671262,755268,604297,082285,066231,285234,256230,916253,874210,407225,063216,137216,173196,710209,707196,984192,295189,383196,764189,160183,200190,543190,412184,635176,934177,638187,986191,749202,157206,939211,055203,885202,499
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Total Liabilities
3,547,5153,580,9623,555,7243,441,2233,373,4113,485,8663,555,1713,668,7883,449,4403,467,5353,397,8703,408,6223,105,4032,974,9632,948,6492,878,1692,426,0492,500,3132,464,1642,477,3512,366,0172,356,2272,332,5922,353,5842,277,9072,304,6922,304,6912,290,4272,236,7822,266,6982,213,6732,173,6512,104,1252,171,3932,208,3942,341,2842,340,5472,295,7282,293,0222,257,331
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Total Debt
653,072677,013671,372584,126542,505575,278569,353574,683548,939603,778597,301638,424542,102557,607600,664584,460516,093593,131550,442584,875533,627516,367512,325516,207494,798511,942511,737512,058495,354514,646498,895488,946477,996520,094539,889561,876565,046559,319585,007584,730
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Debt Growth
20.38%17.68%17.92%1.64%-1.17%-4.72%-4.68%-9.98%1.26%8.28%-0.56%9.23%5.04%-5.99%9.12%-0.07%-3.29%14.87%7.44%13.30%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%
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Retained Earnings
332,901327,044317,359306,208296,456288,776282,445277,177272,268265,276256,983248,151236,990228,014221,732220,226223,211217,888212,093205,437199,202195,180189,881183,855177,676175,827171,488166,663162,440157,870153,749149,730146,420143,050138,294134,048129,977127,234123,497119,318
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Comprehensive Income
-10,443-17,104-14,290-14,418-17,341-19,134-14,369-9,567-849632,5701,0417,9868,9408,7897,4181,5691,8001,114-558-1,507-2,425-1,138-1,063-119-309-392-923-1,1751,4741,6187821927511,1022,4302,1893,2663,4382,276
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Shareholders' Equity
327,878317,371312,516303,082292,332288,018286,143285,899294,127290,041286,386280,714279,354271,113264,466261,262261,330264,348263,215259,837256,515258,956257,458256,201255,693258,382258,483255,863254,190254,331252,423250,157247,573245,728241,205235,864231,727231,277227,314219,655
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Net Cash / Debt
-28,921-165,644-176,249-38,12624,72968,90999,907179,849191,895156,091108,12072,648-14,493-70,085-106,935-216,926-252,462-336,534-282,404-282,271-254,834-97,270-107,145-101,395-63,494-54,138-62,576-51,663-105,719-97,056-133,590-110,538-117,491-122,640-116,987-32,672-52,738-119,635-163,575-185,878
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Net Cash / Debt Growth
-----87.11%-55.85%-7.60%147.56%--------------------------------
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Net Cash Per Share
-9.91-56.49-59.78-12.838.3323.2433.6860.3364.3751.9435.5423.60-4.70-22.73-34.71-69.96-80.21-104.93-86.63-85.32-76.13-28.66-31.19-29.14-18.06-15.21-17.39-14.23-28.99-26.45-36.05-29.57-30.38-32.92-31.25-8.70-14.01-31.58-42.90-48.61
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Book Value Per Share
112.50108.41106.16102.1098.6797.2696.6096.0498.8196.6894.3191.3390.7188.0985.9784.3983.2382.6580.9778.7976.8976.7075.3974.0873.1973.1072.3271.0470.3969.9268.6867.4264.5266.5165.0563.3162.1161.5960.1358.00
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Source: Financials are provided by Nasdaq Data Link and sourced from the audited annual (10-K) and quarterly (10-Q) reports submitted to the Securities and Exchange Commission (SEC).