Huntington Bancshares Incorporated financials

HBAN CIK 0000049196

Source: EDGAR filings · raw companyfacts JSON · Built 2026-04-25T10:05:30Z

Key metrics by reporting period

Up to six most-recent periods side-by-side. Rows are the curated key lines — revenue, margins, cash, debt, equity, cash-flow totals, plus the derived and valuation metrics we compute on top. For every tag a filer reported in one period, use the single-filing drilldown below.

Derived Metrics

Concept FY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Free Cash Flow 2.21B 1.69B 2.52B 3.81B 1.81B 1.20B
Net Margin 141.55% 132.15% 139.36% 169.80% 116.35% 92.42%
Return on Equity (ROE) 9.08% 9.83% 10.08% 12.62% 6.71% 6.29%
Return on Assets (ROA) 0.98% 0.95% 1.03% 1.22% 0.74% 0.66%
Debt-to-Equity 0.7772 0.8588 0.692 0.6832 0.4085 0.6738
Effective Tax Rate 17.08% 18.44% 17.32% 18.63% 18.48% 15.95%
Cash Conversion Ratio 1.1226 0.9464 1.3619 1.7994 1.5923 1.6193
Accruals Ratio -0.0012 0.0005 -0.0037 -0.0098 -0.0044 -0.0041
SBC % of Revenue 7.23% 7.22% 6.93% 7.97% 11.59% 8.71%
CapEx Coverage 9.2959 12.8392 18.9786 18.8178 8.3482 11.1176
Free Cash Flow Per Share $1.47 $1.15 $1.71 $2.60 $1.41 $1.17

Valuation Metrics

Concept FY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
P/E Trailing (Diluted) 12.482 13.3361 10.2581 9.7241 17.1333 18.3043
P/FCF 11.7875 14.1885 7.4186 5.4183 10.9323 10.8328
FCF Yield 8.48% 7.05% 13.48% 18.46% 9.15% 9.23%
P/S 17.4137 16.1108 13.159 15.438 19.9191 14.533
P/B 1.1174 1.1981 0.9519 1.1476 1.1489 0.9888

Income Statement

Concept FY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Revenue from Contract with Customer, Excluding Assessed Tax 1.56B 1.47B 1.40B 1.32B 1.11B 884.00M
Income Tax Expense (Benefit) 459.00M 443.00M 413.00M 515.00M 294.00M 155.00M
Net Income (Loss) Attributable to Parent 2.21B 1.94B 1.95B 2.24B 1.29B 817.00M
Earnings Per Share, Basic $1.41 $1.24 $1.26 $1.47 $0.91 $0.71
Weighted Average Number of Shares Outstanding, Basic 1.48B 1.45B 1.45B 1.44B 1.26B 1.02B
Earnings Per Share, Diluted $1.39 $1.22 $1.24 $1.45 $0.90 $0.69
Weighted Average Number of Shares Outstanding, Diluted 1.50B 1.48B 1.47B 1.47B 1.29B 1.03B

Balance Sheet

Concept FY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Assets 225.11B 204.23B 189.37B 182.91B 174.06B 123.04B
Long-term Debt 17.22B 16.37B 12.39B 9.69B 7.11B 8.35B
Liabilities 200.73B 184.45B 169.97B 165.14B 154.75B 110.05B
Stockholders' Equity Attributable to Parent 24.34B 19.74B 19.35B 17.73B 19.30B 12.99B
Common Stock, Shares, Outstanding 1.57B 1.45B 1.45B 1.44B 1.44B 1.02B

Cash Flow Statement

Concept FY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Net Cash Provided by (Used in) Operating Activities 2.48B 1.84B 2.66B 4.03B 2.06B 1.32B
Payments to Acquire Property, Plant, and Equipment 267.00M 143.00M 140.00M 214.00M 247.00M 119.00M
Net Cash Provided by (Used in) Investing Activities -6.35B -12.12B -3.00B -11.61B -3.96B -8.64B
Payments for Repurchase of Common Stock 0 0 650.00M 92.00M
Net Cash Provided by (Used in) Financing Activities 4.51B 13.00B 3.77B 8.76B 827.00M 12.74B

Raw XBRL tagging for a single filing

Every us-gaap and custom concept the filer tagged for one fiscal period, grouped by statement. Start here when a number in the trend table above surprises you and you want to see the exact tag behind it. Derived and valuation rows are omitted here because they already appear in the trend table.

Most recent filing shown by default.

Compare filings side-by-side

Diff any two filings with deltas and added / removed tags.

Immaterial rows are USD line items under 1% of the period's revenue — the noise floor below which a single tag rarely moves the investment thesis. Revenue is read from the filer's top-line concept (Revenues / RevenueFromContractWithCustomerExcludingAssessedTax, with a fallback chain). Non-USD rows, rows without a numeric value, and every row on a filing with no identifiable revenue anchor stay visible. Flip the switch off to see every tag the filer reported for the period.

Income Statement

43 concepts 3 units
Unit US$ · 37 concepts
Label Value Period
Interest and Fee Income, Loans and Leases 8.09B 2025-01-01 → 2025-12-31
Interest Income, Debt Securities, Held-to-maturity 423.00M 2025-01-01 → 2025-12-31
Interest Income, Securities, Operating, Taxable 1.02B 2025-01-01 → 2025-12-31
Revenue from Contract with Customer, Excluding Assessed Tax 1.56B 2025-01-01 → 2025-12-31
Interest Income, Securities, Operating, Tax Exempt 132.00M 2025-01-01 → 2025-12-31
Other Interest and Dividend Income 593.00M 2025-01-01 → 2025-12-31
Interest and Dividend Income, Operating 10.31B 2025-01-01 → 2025-12-31
Interest Expense, Deposits 3.28B 2025-01-01 → 2025-12-31
Interest Expense, Short-term Borrowings 50.00M 2025-01-01 → 2025-12-31
Interest Expense, Other Long-term Debt 987.00M 2025-01-01 → 2025-12-31
Direct Financing Lease, Interest Income 365.00M 2025-01-01 → 2025-12-31
Revenue Not from Contract with Customer 613.00M 2025-01-01 → 2025-12-31
InterestExpenseOperating 4.32B 2025-01-01 → 2025-12-31
Interest Income (Expense), Net 5.99B 2025-01-01 → 2025-12-31
Interest Income (Expense), after Provision for Loan Loss 5.53B 2025-01-01 → 2025-12-31
Depreciation, Nonproduction 13.00M 2025-01-01 → 2025-12-31
Amortization of Intangible Assets 46.00M 2025-01-01 → 2025-12-31
Noninterest Income 2.17B 2025-01-01 → 2025-12-31
Professional Fees 155.00M 2025-01-01 → 2025-12-31
Defined Benefit Plan, Net Periodic Benefit Cost (Credit), Gain (Loss) Due to Settlement -5.00M 2025-01-01 → 2025-12-31
Information Technology and Data Processing 772.00M 2025-01-01 → 2025-12-31
Occupancy, Net 232.00M 2025-01-01 → 2025-12-31
Goodwill, Impairment Loss 0 2025-01-01 → 2025-12-31
Equipment Expense 268.00M 2025-01-01 → 2025-12-31
Federal Deposit Insurance Corporation Premium Expense 65.00M 2025-01-01 → 2025-12-31
Marketing Expense 127.00M 2025-01-01 → 2025-12-31
Labor and Related Expense 3.00B 2025-01-01 → 2025-12-31
Other Noninterest Expense 342.00M 2025-01-01 → 2025-12-31
Noninterest Expense 5.01B 2025-01-01 → 2025-12-31
Gain (Loss) on Extinguishment of Debt 11.00M 2025-01-01 → 2025-12-31
Income (Loss) from Continuing Operations before Income Taxes, Noncontrolling Interest 2.69B 2025-01-01 → 2025-12-31
Income Tax Expense (Benefit) 459.00M 2025-01-01 → 2025-12-31
Net Income (Loss), Including Portion Attributable to Noncontrolling Interest 2.23B 2025-01-01 → 2025-12-31
Net Income (Loss) Attributable to Noncontrolling Interest 18.00M 2025-01-01 → 2025-12-31
Net Income (Loss) Attributable to Parent 2.21B 2025-01-01 → 2025-12-31
Other Preferred Stock Dividends and Adjustments 0 2025-01-01 → 2025-12-31
Net Income (Loss) Available to Common Stockholders, Basic 2.09B 2025-01-01 → 2025-12-31
Unit shares · 3 concepts
Label Value Period
Weighted Average Number of Shares Outstanding, Basic 1.48B 2025-01-01 → 2025-12-31
Weighted Average Number of Shares Outstanding, Diluted 1.50B 2025-01-01 → 2025-12-31
Weighted Average Number Diluted Shares Outstanding Adjustment 25.89M 2025-01-01 → 2025-12-31
Unit US$ / share · 3 concepts
Label Value Period
Earnings Per Share, Basic $1.41 2025-01-01 → 2025-12-31
Earnings Per Share, Diluted $1.39 2025-01-01 → 2025-12-31
Common Stock, Dividends, Per Share, Declared $0.62 2025-01-01 → 2025-12-31

Balance Sheet

56 concepts 3 units
Unit US$ · 49 concepts
Label Value Period
Cash and Due from Banks 1.78B as of 2025-12-31
Interest-bearing Deposits in Banks and Other Financial Institutions 12.29B as of 2025-12-31
Equity Securities, FV-NI 994.00M as of 2025-12-31
Debt Securities, Trading 63.00M as of 2025-12-31
Debt Securities, Held-to-maturity, Fair Value 13.64B as of 2025-12-31
Derivative Asset 247.00M as of 2025-12-31
Debt Securities, Held-to-Maturity, Accrued Interest, after Allowance for Credit Loss 44.00M as of 2025-12-31
Debt Securities, Available-for-Sale, Accrued Interest, after Allowance for Credit Loss 106.00M as of 2025-12-31
FinancingReceivableExcludingAccruedInterestBeforeAllowanceForCreditLoss 149.64B as of 2025-12-31
FinancingReceivableAllowanceForCreditLossExcludingAccruedInterest 2.54B as of 2025-12-31
FinancingReceivableExcludingAccruedInterestAfterAllowanceForCreditLoss 147.10B as of 2025-12-31
DebtSecuritiesHeldToMaturityExcludingAccruedInterestBeforeAllowanceForCreditLoss 15.26B as of 2025-12-31
DebtSecuritiesHeldToMaturityAllowanceForCreditLossExcludingAccruedInterest 0 as of 2025-12-31
DebtSecuritiesHeldToMaturityExcludingAccruedInterestAfterAllowanceForCreditLoss 15.26B as of 2025-12-31
Operating Lease, Right-of-Use Asset 340.00M as of 2025-12-31
DebtSecuritiesAvailableForSaleAmortizedCostExcludingAccruedInterestBeforeAllowanceForCreditLoss 28.51B as of 2025-12-31
DebtSecuritiesAvailableForSaleAmortizedCostAllowanceForCreditLossExcludingAccruedInterest 0 as of 2025-12-31
DebtSecuritiesAvailableForSaleExcludingAccruedInterest 26.13B as of 2025-12-31
Property, Plant and Equipment, Gross 2.52B as of 2025-12-31
Accumulated Depreciation, Depletion and Amortization, Property, Plant, and Equipment 1.19B as of 2025-12-31
Property, Plant and Equipment, Net 1.32B as of 2025-12-31
Other Assets 6.47B as of 2025-12-31
Servicing Asset at Fair Value, Amount 593.00M as of 2025-12-31
Bank Owned Life Insurance 2.90B as of 2025-12-31
Deposits 176.61B as of 2025-12-31
Noninterest-bearing Deposit Liabilities, Domestic 32.20B as of 2025-12-31
Interest-bearing Deposit Liabilities, Domestic 144.41B as of 2025-12-31
Goodwill 6.00B as of 2025-12-31
Finite-Lived Intangible Assets, Gross 539.00M as of 2025-12-31
Finite-Lived Intangible Assets, Accumulated Amortization 394.00M as of 2025-12-31
Finite-Lived Intangible Assets, Net 145.00M as of 2025-12-31
Derivative Liability 350.00M as of 2025-12-31
Operating Lease, Liability 436.00M as of 2025-12-31
Assets 225.11B as of 2025-12-31
Long-term Debt 17.22B as of 2025-12-31
Short-term Debt 1.26B as of 2025-12-31
Other Liabilities 5.63B as of 2025-12-31
Liabilities 200.73B as of 2025-12-31
Preferred Stock, Value, Issued 2.73B as of 2025-12-31
Common Stock, Value, Issued 16.00M as of 2025-12-31
Additional Paid in Capital 17.24B as of 2025-12-31
Treasury Stock, Common, Value 92.00M as of 2025-12-31
Accumulated Other Comprehensive Income (Loss), Net of Tax -1.91B as of 2025-12-31
Retained Earnings (Accumulated Deficit) 6.35B as of 2025-12-31
Stockholders' Equity Attributable to Parent 24.34B as of 2025-12-31
Stockholders' Equity Attributable to Noncontrolling Interest 37.00M as of 2025-12-31
Stockholders' Equity, Including Portion Attributable to Noncontrolling Interest 24.38B as of 2025-12-31
Preferred Stock, Value, Outstanding 2.73B as of 2025-12-31
Liabilities and Equity 225.11B as of 2025-12-31
Unit shares · 6 concepts
Label Value Period
Preferred Stock, Shares Authorized 6.62M as of 2025-12-31
Preferred Stock, Shares Outstanding 885,000 as of 2025-12-31
Common Stock, Shares Authorized 2.25B as of 2025-12-31
Common Stock, Shares, Issued 1.57B as of 2025-12-31
Common Stock, Shares, Outstanding 1.57B as of 2025-12-31
Treasury Stock, Common, Shares 7.19M as of 2025-12-31
Unit US$ / share · 1 concept
Label Value Period
Common Stock, Par or Stated Value Per Share $0.01 as of 2025-12-31

Cash Flow Statement

44 concepts 1 unit
Unit US$ · 44 concepts
Label Value Period
Depreciation, Amortization and Accretion, Net 762.00M 2025-01-01 → 2025-12-31
Share-based Payment Arrangement, Noncash Expense 113.00M 2025-01-01 → 2025-12-31
Operating Lease, Payments 79.00M 2025-01-01 → 2025-12-31
Interest Paid, Excluding Capitalized Interest, Operating Activities 4.27B 2025-01-01 → 2025-12-31
Deferred Income Tax Expense (Benefit) -403.00M 2025-01-01 → 2025-12-31
IncomeTaxPaidFederalAfterRefundReceived 182.00M 2025-01-01 → 2025-12-31
IncomeTaxPaidStateAndLocalAfterRefundReceived 80.00M 2025-01-01 → 2025-12-31
IncomeTaxPaidForeignAfterRefundReceived 12.00M 2025-01-01 → 2025-12-31
Income Taxes Paid, Net 274.00M 2025-01-01 → 2025-12-31
Other Noncash Income (Expense) 71.00M 2025-01-01 → 2025-12-31
Increase (Decrease) in Loans Held-for-sale 170.00M 2025-01-01 → 2025-12-31
Transfer of Portfolio Loans and Leases to Held-for-sale 988.00M 2025-01-01 → 2025-12-31
Transfer of Loans Held-for-sale to Portfolio Loans 23.00M 2025-01-01 → 2025-12-31
Increase (Decrease) in Debt Securities, Trading, and Equity Securities, FV-NI 10.00M 2025-01-01 → 2025-12-31
Increase (Decrease) in Notes Payable, Current 117.00M 2025-01-01 → 2025-12-31
Increase (Decrease) in Other Noncurrent Liabilities 230.00M 2025-01-01 → 2025-12-31
Net Cash Provided by (Used in) Operating Activities 2.48B 2025-01-01 → 2025-12-31
Proceeds from Sale of Other Investments 0 2025-01-01 → 2025-12-31
Proceeds from Maturities, Prepayments and Calls of Other Investments 109.00M 2025-01-01 → 2025-12-31
Payments to Acquire Property, Plant, and Equipment 267.00M 2025-01-01 → 2025-12-31
Payments to Acquire Debt Securities, Available-for-sale 5.33B 2025-01-01 → 2025-12-31
Payments to Acquire Held-to-maturity Securities 515.00M 2025-01-01 → 2025-12-31
Proceeds from Sale of Loans Held-for-investment 457.00M 2025-01-01 → 2025-12-31
Payments to Acquire Finance Receivables 981.00M 2025-01-01 → 2025-12-31
Payments for (Proceeds from) Other Loans and Leases 12.85B 2025-01-01 → 2025-12-31
Proceeds from Sale of Debt Securities, Available-for-sale 1.69B 2025-01-01 → 2025-12-31
Proceeds from Maturities, Prepayments and Calls of Debt Securities, Available-for-sale 7.14B 2025-01-01 → 2025-12-31
Proceeds from Maturities, Prepayments and Calls of Held-to-maturity Securities 1.64B 2025-01-01 → 2025-12-31
Proceeds from (Payments for) in Interest-bearing Deposits in Banks 297.00M 2025-01-01 → 2025-12-31
Increase (Decrease) in Deposits 3.65B 2025-01-01 → 2025-12-31
Cash Acquired from Acquisition 864.00M 2025-01-01 → 2025-12-31
Payments for (Proceeds from) Other Investing Activities -81.00M 2025-01-01 → 2025-12-31
Net Cash Provided by (Used in) Investing Activities -6.35B 2025-01-01 → 2025-12-31
Proceeds from (Repayments of) Short-term Debt 785.00M 2025-01-01 → 2025-12-31
Proceeds from Issuance of Long-term Debt 2.50B 2025-01-01 → 2025-12-31
Repayments of Long-term Debt 2.05B 2025-01-01 → 2025-12-31
Proceeds from Issuance of Preferred Stock and Preference Stock 741.00M 2025-01-01 → 2025-12-31
Payments for Repurchase of Preferred Stock and Preference Stock 0 2025-01-01 → 2025-12-31
Payments of Ordinary Dividends, Common Stock 908.00M 2025-01-01 → 2025-12-31
Payments of Ordinary Dividends, Preferred Stock and Preference Stock 108.00M 2025-01-01 → 2025-12-31
Proceeds from (Payments for) Other Financing Activities -90.00M 2025-01-01 → 2025-12-31
Net Cash Provided by (Used in) Financing Activities 4.51B 2025-01-01 → 2025-12-31
Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents, Period Increase (Decrease), Including Exchange Rate Effect 648.00M 2025-01-01 → 2025-12-31
Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents 13.49B as of 2025-12-31

Notes

243 concepts 8 units
Unit US$ · 205 concepts
Label Value Period
Current Federal Tax Expense (Benefit) 778.00M 2025-01-01 → 2025-12-31
Current State and Local Tax Expense (Benefit) 79.00M 2025-01-01 → 2025-12-31
Current Foreign Tax Expense (Benefit) 5.00M 2025-01-01 → 2025-12-31
Current Income Tax Expense (Benefit) 862.00M 2025-01-01 → 2025-12-31
Deferred Federal Income Tax Expense (Benefit) -386.00M 2025-01-01 → 2025-12-31
Deferred State and Local Income Tax Expense (Benefit) -17.00M 2025-01-01 → 2025-12-31
Loans Receivable, Fair Value Disclosure 167.00M as of 2025-12-31
Federal Income Tax Expense (Benefit), Continuing Operations 392.00M 2025-01-01 → 2025-12-31
State and Local Income Tax Expense (Benefit), Continuing Operations 62.00M 2025-01-01 → 2025-12-31
Share-based Payment Arrangement, Expense 130.00M 2025-01-01 → 2025-12-31
Foreign Income Tax Expense (Benefit), Continuing Operations 5.00M 2025-01-01 → 2025-12-31
Loans Held-for-sale, Fair Value Disclosure 885.00M as of 2025-12-31
Derivative Asset, Not Offset, Policy Election Deduction 2.00M as of 2025-12-31
Dividends, Preferred Stock, Cash 124.00M 2025-01-01 → 2025-12-31
Deferred Compensation Arrangement with Individual, Contributions by Employer 3.10M 2025-01-01 → 2025-12-31
Dividends, Preferred Stock 124.00M 2025-01-01 → 2025-12-31
Derivative Asset, Fair Value, Gross Liability and Obligation to Return Cash, Offset 260.00M as of 2025-12-31
Effective Income Tax Rate Reconciliation at Federal Statutory Income Tax Rate, Amount 564.00M 2025-01-01 → 2025-12-31
Equity Securities, FV-NI, Cost 994.00M as of 2025-12-31
Effective Income Tax Rate Reconciliation, State and Local Income Taxes, Amount 49.00M 2025-01-01 → 2025-12-31
Share-based Payment Arrangement, Expense, Tax Benefit 23.00M 2025-01-01 → 2025-12-31
Long-term Debt, Fair Value 1.16B as of 2025-12-31
Short-term Debt, Fair Value 138.00M as of 2025-12-31
Effective Income Tax Rate Reconciliation, Nondeductible Expense, Amount 7.00M 2025-01-01 → 2025-12-31
Effective Income Tax Rate Reconciliation, Tax Contingency, Amount 10.00M 2025-01-01 → 2025-12-31
Dividends, Common Stock, Cash 938.00M 2025-01-01 → 2025-12-31
Effective Income Tax Rate Reconciliation, Tax Exempt Income, Amount 35.00M 2025-01-01 → 2025-12-31
TimeDepositLiabilityAboveUsInsuranceLimit 2.10B as of 2025-12-31
Financing Receivable, 90 Days or More Past Due, Still Accruing 282.00M as of 2025-12-31
Finite-Lived Intangible Asset, Expected Amortization, Year One 46.00M as of 2025-12-31
Finite-Lived Intangible Asset, Expected Amortization, Year Two 25.00M as of 2025-12-31
Finite-Lived Intangible Asset, Expected Amortization, Year Three 20.00M as of 2025-12-31
Finite-Lived Intangible Asset, Expected Amortization, Year Four 16.00M as of 2025-12-31
Finite-Lived Intangible Asset, Expected Amortization, Year Five 13.00M as of 2025-12-31
Guarantor Obligations, Maximum Exposure, Undiscounted 366.00M as of 2025-12-31
Debt Securities, Available-for-Sale, Amortized Cost, Maturity, Allocated and Single Maturity Date, Year One 1.37B as of 2025-12-31
Debt Securities, Available-for-Sale, Amortized Cost, Maturity, Allocated and Single Maturity Date, after Year One Through Five 5.58B as of 2025-12-31
Debt Securities, Available-for-Sale, Amortized Cost, Maturity, Allocated and Single Maturity Date, after Year 5 Through 10 1.90B as of 2025-12-31
Debt Securities, Available-for-Sale, Amortized Cost, Maturity, Allocated and Single Maturity Date, after Year 10 19.66B as of 2025-12-31
Net Income (Loss) Available to Common Stockholders, Diluted 2.09B 2025-01-01 → 2025-12-31
Defined Benefit Plan, Service Cost 4.00M 2025-01-01 → 2025-12-31
Defined Benefit Plan, Interest Cost 34.00M 2025-01-01 → 2025-12-31
Defined Benefit Plan, Expected Return (Loss) on Plan Assets 43.00M 2025-01-01 → 2025-12-31
Derivative, Notional Amount 44.02B as of 2025-12-31
Debt Securities, Available-for-Sale, Fair Value, Maturity, Allocated and Single Maturity Date, Year One 1.36B as of 2025-12-31
Debt Securities, Available-for-Sale, Fair Value, Maturity, Allocated and Single Maturity Date, after Year One Through Five 5.59B as of 2025-12-31
Debt Securities, Available-for-Sale, Fair Value, Maturity, Allocated and Single Maturity Date, after Year 5 Through 10 1.78B as of 2025-12-31
Defined Benefit Plan, Amortization of Gain (Loss) -3.00M 2025-01-01 → 2025-12-31
Debt Securities, Available-for-Sale, Fair Value, Maturity, Allocated and Single Maturity Date, after Year 10 17.39B as of 2025-12-31
Derivative Liability, Fair Value, Gross Asset and Right to Reclaim Cash, Offset 169.00M as of 2025-12-31
Defined Benefit Plan, Net Periodic Benefit Cost (Credit) 3.00M 2025-01-01 → 2025-12-31
Defined Benefit Plan, Plan Assets, Amount 710.00M as of 2025-12-31
Debt Securities, Available-for-sale, Continuous Unrealized Loss Position, Less than 12 Months, Accumulated Loss 14.00M as of 2025-12-31
Defined Benefit Plan, Benefit Obligation 641.00M as of 2025-12-31
Debt Securities, Available-for-sale, Continuous Unrealized Loss Position, 12 Months or Longer, Accumulated Loss 2.43B as of 2025-12-31
Debt Securities, Available-for-sale, Unrealized Loss Position, Accumulated Loss 2.44B as of 2025-12-31
Other Intangible Assets, Net 752.00M as of 2025-12-31
Defined Benefit Plan, Benefit Obligation, Actuarial Gain (Loss) -5.00M 2025-01-01 → 2025-12-31
Defined Benefit Plan, Benefit Obligation, Benefits Paid 35.00M 2025-01-01 → 2025-12-31
Debt Securities, Available-for-sale, Accumulated Gross Unrealized Gain, before Tax 66.00M as of 2025-12-31
Debt Securities, Available-for-sale, Accumulated Gross Unrealized Loss, before Tax 2.44B as of 2025-12-31
Securities Sold under Agreements to Repurchase, Fair Value of Collateral 40.00M as of 2025-12-31
Defined Benefit Plan, Benefit Obligation, (Increase) Decrease for Settlement 13.00M 2025-01-01 → 2025-12-31
Defined Benefit Plan, Benefit Obligation, Period Increase (Decrease) -5.00M 2025-01-01 → 2025-12-31
Debt Securities, Available-for-sale, Continuous Unrealized Loss Position, Less than 12 Months 1.20B as of 2025-12-31
Debt Securities, Available-for-sale, Continuous Unrealized Loss Position, 12 Months or Longer 16.50B as of 2025-12-31
Deferred Tax Assets, Operating Loss Carryforwards, Domestic 30.00M as of 2025-12-31
Debt Securities, Available-for-sale, Unrealized Loss Position 17.70B as of 2025-12-31
Defined Benefit Plan, Plan Assets, Increase (Decrease) for Actual Return (Loss) 80.00M 2025-01-01 → 2025-12-31
Deferred Tax Assets, Operating Loss Carryforwards, State and Local 34.00M as of 2025-12-31
Financing Receivable, Allowance for Credit Loss, Purchased with Credit Deterioration, Increase 71.00M 2025-01-01 → 2025-12-31
Deferred Tax Assets, Operating Loss Carryforwards 639.00M as of 2025-12-31
Share-based Compensation Arrangement by Share-based Payment Award, Options, Outstanding, Intrinsic Value 39.00M as of 2025-12-31
Defined Benefit Plan, Plan Assets, Benefits Paid 35.00M 2025-01-01 → 2025-12-31
Derivative Asset, Fair Value, Amount Offset Against Collateral 145.00M as of 2025-12-31
Stock Issued During Period, Value, New Issues 741.00M 2025-01-01 → 2025-12-31
Derivative Liability, Fair Value, Amount Offset Against Collateral 215.00M as of 2025-12-31
Goodwill, Acquired During Period 450.00M 2025-01-01 → 2025-12-31
Defined Benefit Plan, Plan Assets, Payment for Settlement 13.00M 2025-01-01 → 2025-12-31
Share-based Compensation Arrangement by Share-based Payment Award, Options, Exercisable, Intrinsic Value 39.00M as of 2025-12-31
Defined Benefit Plan, Plan Assets, Period Increase (Decrease) 32.00M 2025-01-01 → 2025-12-31
Goodwill, Written off Related to Sale of Business Unit 14.00M 2025-01-01 → 2025-12-31
Deferred Tax Assets, Tax Credit Carryforwards 561.00M as of 2025-12-31
Debt Securities, Held-to-maturity, Accumulated Unrecognized Loss 1.65B as of 2025-12-31
Debt Securities, Held-to-maturity, Accumulated Unrecognized Gain 25.00M as of 2025-12-31
Share-based Compensation Arrangement by Share-based Payment Award, Options, Vested and Expected to Vest, Outstanding, Aggregate Intrinsic Value 33.00M as of 2025-12-31
Deferred Tax Assets, Other Tax Carryforwards 78.00M as of 2025-12-31
FinancingReceivableExcludingAccruedInterestCreditLossExpenseReversal 466.00M 2025-01-01 → 2025-12-31
FinancingReceivableExcludingAccruedInterestAllowanceForCreditLossWriteoff 526.00M 2025-01-01 → 2025-12-31
FinancingReceivableExcludingAccruedInterestAllowanceForCreditLossRecovery 210.00M 2025-01-01 → 2025-12-31
Operating Lease, Cost 67.00M 2025-01-01 → 2025-12-31
Short-term Lease, Cost 1.00M 2025-01-01 → 2025-12-31
Lease, Cost 68.00M 2025-01-01 → 2025-12-31
Deferred Tax Assets, Tax Deferred Expense, Reserves and Accruals, Provision for Loan Losses 646.00M as of 2025-12-31
Right-of-Use Asset Obtained in Exchange for Operating Lease Liability 109.00M 2025-01-01 → 2025-12-31
FinancingReceivableExcludingAccruedInterestAllowanceForCreditLossPeriodIncreaseDecrease 297.00M 2025-01-01 → 2025-12-31
DebtSecuritiesHeldToMaturityAmortizedCostExcludingAccruedInterestAfterAllowanceForCreditLossMaturityAllocatedAndSingleMaturityDateYearOne 603.00M as of 2025-12-31
DebtSecuritiesHeldToMaturityAmortizedCostExcludingAccruedInterestAfterAllowanceForCreditLossMaturityAllocatedAndSingleMaturityDateAfterYearOneThroughFive 1.77B as of 2025-12-31
DebtSecuritiesHeldToMaturityAmortizedCostExcludingAccruedInterestAfterAllowanceForCreditLossMaturityAllocatedAndSingleMaturityDateAfterYear5Through10 144.00M as of 2025-12-31
DebtSecuritiesHeldToMaturityAmortizedCostExcludingAccruedInterestAfterAllowanceForCreditLossMaturityAllocatedAndSingleMaturityDateAfterYear10 12.74B as of 2025-12-31
Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Vested in Period, Fair Value 156.00M 2025-01-01 → 2025-12-31
Deferred Tax Assets, Tax Deferred Expense, Reserves and Accruals, Accrued Liabilities 2.00M as of 2025-12-31
Debt Securities, Held-to-Maturity, Fair Value, Maturity, Allocated and Single Maturity Date, Year One 604.00M as of 2025-12-31
Debt Securities, Held-to-Maturity, Fair Value, Maturity, Allocated and Single Maturity Date, after Year One Through Five 1.79B as of 2025-12-31
Debt Securities, Held-to-Maturity, Fair Value, Maturity, Allocated and Single Maturity Date, after Year 5 Through 10 134.00M as of 2025-12-31
Debt Securities, Held-to-Maturity, Fair Value, Maturity, Allocated and Single Maturity Date, after Year 10 11.11B as of 2025-12-31
Deferred Tax Assets, in Process Research and Development 136.00M as of 2025-12-31
Lessee, Operating Lease, Liability, to be Paid, Year One 72.00M as of 2025-12-31
Lessee, Operating Lease, Liability, to be Paid, Year Two 70.00M as of 2025-12-31
Lessee, Operating Lease, Liability, to be Paid, Year Three 62.00M as of 2025-12-31
Lessee, Operating Lease, Liability, to be Paid, Year Four 56.00M as of 2025-12-31
Lessee, Operating Lease, Liability, to be Paid, Year Five 48.00M as of 2025-12-31
Lessee, Operating Lease, Liability, to be Paid, after Year Five 284.00M as of 2025-12-31
Lessee, Operating Lease, Liability, to be Paid 592.00M as of 2025-12-31
FinancingReceivableExcludingAccruedInterestModifiedPeriod 724.00M 2025-01-01 → 2025-12-31
Derivative, Collateral, Right to Reclaim Cash 15.00M as of 2025-12-31
Deferred Tax Assets, Other 12.00M as of 2025-12-31
Derivative, Collateral, Right to Reclaim Securities 120.00M as of 2025-12-31
Derivative, Collateral, Obligation to Return Cash 100.00M as of 2025-12-31
Deferred Tax Assets, Gross 2.19B as of 2025-12-31
Deferred Tax Assets, Valuation Allowance 27.00M as of 2025-12-31
Lessee, Operating Lease, Liability, Undiscounted Excess Amount 156.00M as of 2025-12-31
Deferred Tax Liabilities, Gross 1.21B as of 2025-12-31
Deferred Tax Assets, Net 948.00M as of 2025-12-31
Long-term Debt, Gross 17.29B as of 2025-12-31
Deferred Tax Liabilities, Unrealized Gains on Trading Securities 54.00M as of 2025-12-31
Deferred Tax Liabilities, Mortgage Servicing Rights 121.00M as of 2025-12-31
Defined Benefit Plan, Expected Future Benefit Payment, Year One 53.00M as of 2025-12-31
Defined Benefit Plan, Expected Future Benefit Payment, Year Two 53.00M as of 2025-12-31
Defined Benefit Plan, Expected Future Benefit Payment, Year Three 53.00M as of 2025-12-31
Defined Benefit Plan, Expected Future Benefit Payment, Year Four 53.00M as of 2025-12-31
Defined Benefit Plan, Expected Future Benefit Payment, Year Five 52.00M as of 2025-12-31
Defined Benefit Plan, Expected Future Benefit Payment, after Year Five for Next Five Years 247.00M as of 2025-12-31
Deferred Tax Liabilities, Leasing Arrangements 701.00M as of 2025-12-31
Deferred Tax Liabilities, Financing Arrangements 181.00M as of 2025-12-31
Debt and Equity Securities, Gain (Loss) -58.00M 2025-01-01 → 2025-12-31
OCI, before Reclassifications, Net of Tax, Attributable to Parent 864.00M 2025-01-01 → 2025-12-31
Reclassification from AOCI, Current Period, Net of Tax, Attributable to Parent -94.00M 2025-01-01 → 2025-12-31
Deferred Tax Liabilities, Other 25.00M as of 2025-12-31
Defined Benefit Plan, Pension Plan with Accumulated Benefit Obligation in Excess of Plan Assets, Projected Benefit Obligation 69.00M as of 2025-12-31
Hedged Asset, Fair Value Hedge, Last-of-Layer, Cumulative Increase (Decrease) 177.00M as of 2025-12-31
Bad Debt Reserve, Tax Purpose of Qualified Lender 182.00M as of 2025-12-31
Deferred Tax Liability Not Recognized, Amount of Unrecognized Deferred Tax Liability, Bad Debt Reserve for Tax Purposes of Qualified Lender 38.00M as of 2025-12-31
Cash Flow Hedge Gain (Loss) to be Reclassified within Twelve Months -15.00M 2025-01-01 → 2025-12-31
Long-Term Debt, Maturity, Year One 3.83B as of 2025-12-31
Defined Contribution Plan, Cost 69.00M 2025-01-01 → 2025-12-31
Long-Term Debt, Maturity, Year Two 681.00M as of 2025-12-31
Long-Term Debt, Maturity, Year Three 3.68B as of 2025-12-31
Long-Term Debt, Maturity, Year Four 1.95B as of 2025-12-31
Long-Term Debt, Maturity, Year Five 1.87B as of 2025-12-31
Long-Term Debt, Maturity, after Year Five 5.27B as of 2025-12-31
Off-Balance Sheet, Credit Loss, Liability 206.00M as of 2025-12-31
Off-Balance Sheet, Credit Loss, Liability, Credit Loss Expense (Reversal) 0 2025-01-01 → 2025-12-31
DebtSecuritiesAvailableForSaleExcludingAccruedInterestAllowanceForCreditLossWriteoff 2.00M 2025-01-01 → 2025-12-31
Unrecognized Tax Benefits 29.00M as of 2025-12-31
Unrecognized Tax Benefits, Increase Resulting from Prior Period Tax Positions 8.00M 2025-01-01 → 2025-12-31
Unrecognized Tax Benefits, Decrease Resulting from Prior Period Tax Positions 0 2025-01-01 → 2025-12-31
Unrecognized Tax Benefits, Increase Resulting from Current Period Tax Positions 6.00M 2025-01-01 → 2025-12-31
Unrecognized Tax Benefits, Decrease Resulting from Settlements with Taxing Authorities 4.00M 2025-01-01 → 2025-12-31
Sales-Type and Direct Financing Leases, Lease Receivable, to be Received, Year One 1.20B as of 2025-12-31
Sales-Type and Direct Financing Leases, Lease Receivable, to be Received, Year Two 1.10B as of 2025-12-31
Sales-Type and Direct Financing Leases, Lease Receivable, to be Received, Year Three 1.00B as of 2025-12-31
Sales-Type and Direct Financing Leases, Lease Receivable, to be Received, Year Four 901.00M as of 2025-12-31
Sales-Type and Direct Financing Leases, Lease Receivable, to be Received, Year Five 623.00M as of 2025-12-31
Sales-Type and Direct Financing Leases, Lease Receivable, to be Received, after Year Five 636.00M as of 2025-12-31
Sales-type and Direct Financing Leases, Lease Receivable, Payments to be Received 5.40B as of 2025-12-31
Financing Receivable, Held-for-Sale, Not Part of Disposal Group, after Valuation Allowance 1.42B as of 2025-12-31
Residual Value of Leased Asset 419.00M as of 2025-12-31
Income (Loss) from Continuing Operations before Income Taxes, Domestic 2.67B 2025-01-01 → 2025-12-31
Income (Loss) from Continuing Operations before Income Taxes, Foreign 22.00M 2025-01-01 → 2025-12-31
FinancingReceivableExcludingAccruedInterestYearOneOriginatedCurrentFiscalYearWriteoff 31.00M 2025-01-01 → 2025-12-31
FinancingReceivableExcludingAccruedInterestYearTwoOriginatedFiscalYearBeforeCurrentFiscalYearWriteoff 84.00M 2025-01-01 → 2025-12-31
FinancingReceivableExcludingAccruedInterestYearThreeOriginatedTwoYearsBeforeCurrentFiscalYearWriteoff 124.00M 2025-01-01 → 2025-12-31
FinancingReceivableExcludingAccruedInterestYearFourOriginatedThreeYearsBeforeCurrentFiscalYearWriteoff 95.00M 2025-01-01 → 2025-12-31
FinancingReceivableExcludingAccruedInterestYearFiveOriginatedFourYearsBeforeCurrentFiscalYearWriteoff 34.00M 2025-01-01 → 2025-12-31
FinancingReceivableExcludingAccruedInterestOriginatedMoreThanFiveYearsBeforeCurrentFiscalYearWriteoff 71.00M 2025-01-01 → 2025-12-31
FinancingReceivableExcludingAccruedInterestRevolvingWriteoff 36.00M 2025-01-01 → 2025-12-31
FinancingReceivableExcludingAccruedInterestRevolvingConvertedToTermLoanWriteoff 51.00M 2025-01-01 → 2025-12-31
Federal Home Loan Bank, Advances, General Debt Obligations, Disclosures, Collateral Pledged 114.20B as of 2025-12-31
Fair Value, Net Derivative Asset (Liability) Measured on Recurring Basis with Unobservable Inputs 3.00M as of 2025-12-31
Fair Value, Net Derivative Asset (Liability) Measured on Recurring Basis, Unobservable Inputs Reconciliation, Gain (Loss) Included in Other Comprehensive Income (Loss) 0 2025-01-01 → 2025-12-31
Fair Value, Net Derivative Asset (Liability) Measured on Recurring Basis, Unobservable Inputs Reconciliation, Purchases 0 2025-01-01 → 2025-12-31
Fair Value, Net Derivative Asset (Liability) Measured on Recurring Basis, Unobservable Inputs Reconciliation, Sales 0 2025-01-01 → 2025-12-31
Fair Value, Net Derivative Asset (Liability) Measured on Recurring Basis, Unobservable Inputs Reconciliation, Settlements -9.00M 2025-01-01 → 2025-12-31
Fair Value, Net Derivative Asset (Liability) Measured on Recurring Basis, Unobservable Inputs Reconciliation, Transfers into Level 3 0 2025-01-01 → 2025-12-31
Fair Value, Net Derivative Asset (Liability) Measured on Recurring Basis, Unobservable Inputs Reconciliation, Transfers out of Level 3 42.00M 2025-01-01 → 2025-12-31
Fair Value, Net Derivative Asset (Liability), Recurring Basis, Still Held, Unrealized Gain (Loss) 3.00M 2025-01-01 → 2025-12-31
Banking Regulation, Tier One Risk-Based Capital, Actual 20.03B as of 2025-12-31
Banking Regulation, Common Equity Tier One Risk-Based Capital, Actual 17.29B as of 2025-12-31
Banking Regulation, Tier One Leverage Capital, Actual 20.03B as of 2025-12-31
Banking Regulation, Total Capital, Actual 23.59B as of 2025-12-31
Financing Receivable, Nonaccrual 931.00M as of 2025-12-31
Financing Receivable, Nonaccrual, Interest Income 35.00M 2025-01-01 → 2025-12-31
Financing Receivable, Nonaccrual, No Allowance 166.00M as of 2025-12-31
Collateral Already Posted, Aggregate Fair Value 174.00M as of 2025-12-31
Financing Receivable, Unamortized Loan Fee (Cost) and Purchase Premium (Discount) -815.00M as of 2025-12-31
Derivative Liability, Fair Value, Gross Liability 519.00M as of 2025-12-31
Derivative Asset, Fair Value, Gross Asset 507.00M as of 2025-12-31
Debt Securities, Held-to-maturity, Continuous Unrealized Loss Position, Less than 12 Months, Accumulated Loss 0 as of 2025-12-31
Debt Securities, Held-to-maturity, Continuous Unrealized Loss Position, 12 Months or Longer, Accumulated Loss 1.65B as of 2025-12-31
Debt Securities, Held-to-maturity, Continuous Unrealized Loss Position, Less than 12 Months, Fair Value 48.00M as of 2025-12-31
Debt Securities, Held-to-maturity, Continuous Unrealized Loss Position, 12 Months or Longer, Fair Value 11.08B as of 2025-12-31
Debt Securities, Held-to-maturity, Unrealized Loss Position, Accumulated Loss 1.65B as of 2025-12-31
Debt Securities, Held-to-maturity, Unrealized Loss Position, Fair Value 11.13B as of 2025-12-31
APIC, Share-based Payment Arrangement, Increase for Cost Recognition 113.00M 2025-01-01 → 2025-12-31
Unit pure · 20 concepts
Label Value Period
Effective Income Tax Rate Reconciliation, at Federal Statutory Income Tax Rate, Percent 0.21 2025-01-01 → 2025-12-31
Effective Income Tax Rate Reconciliation, State and Local Income Taxes, Percent 0.018 2025-01-01 → 2025-12-31
Effective Income Tax Rate Reconciliation, Nondeductible Expense, Percent 0.003 2025-01-01 → 2025-12-31
Effective Income Tax Rate Reconciliation, Tax Contingency, Percent 0.004 2025-01-01 → 2025-12-31
Effective Income Tax Rate Reconciliation, Tax Exempt Income, Percent 0.013 2025-01-01 → 2025-12-31
Effective Income Tax Rate Reconciliation, Percent 0.171 2025-01-01 → 2025-12-31
FinancingReceivableModificationToTotalFinancingReceivablesExcludingAccruedInterestPercent 0.0048 2025-01-01 → 2025-12-31
Defined Benefit Plan, Assumptions Used Calculating Benefit Obligation, Discount Rate 0.055 as of 2025-12-31
Defined Benefit Plan, Assumptions Used Calculating Net Periodic Benefit Cost, Discount Rate 0.0567 2025-01-01 → 2025-12-31
Defined Benefit Plan, Assumptions Used Calculating Net Periodic Benefit Cost, Expected Long-term Rate of Return on Plan Assets 0.055 2025-01-01 → 2025-12-31
Banking Regulation, Tier One Risk-Based Capital Ratio, Actual 0.12 as of 2025-12-31
Banking Regulation, Tier One Risk-Based Capital Ratio, Well Capitalized, Minimum 0.06 as of 2025-12-31
Banking Regulation, Tier One Risk-Based Capital Ratio, Capital Adequacy, Minimum 0.06 as of 2025-12-31
Banking Regulation, Total Risk-Based Capital Ratio, Actual 0.142 as of 2025-12-31
Banking Regulation, Total Risk-Based Capital Ratio, Well Capitalized, Minimum 0.1 as of 2025-12-31
Banking Regulation, Total Risk-Based Capital Ratio, Capital Adequacy, Minimum 0.08 as of 2025-12-31
Banking Regulation, Common Equity Tier One Risk-Based Capital Ratio, Actual 0.104 as of 2025-12-31
Banking Regulation, Tier One Leverage Capital Ratio, Actual 0.093 as of 2025-12-31
Banking Regulation, Tier One Leverage Capital Ratio, Capital Adequacy, Minimum 0.04 as of 2025-12-31
Banking Regulation, Capital Conservation Buffer, Total Risk-Based Capital, Actual 0.025 as of 2025-12-31
Unit business_unit · 1 concept
Label Value Period
Number of Reportable Segments 2 2025-01-01 → 2025-12-31
Unit Rate · 1 concept
Label Value Period
Operating Lease, Weighted Average Discount Rate, Percent 0.0555 as of 2025-12-31
Unit reporting_segment · 1 concept
Label Value Period
Number of Reportable Segments 2 2025-01-01 → 2025-12-31
Unit security · 1 concept

Other

3 concepts 1 unit
Unit US$ · 3 concepts
Label Value Period
Stock Issued During Period, Value, Acquisitions 1.66B 2025-01-01 → 2025-12-31
Stock Issued During Period, Value, Conversion of Convertible Securities 16.00M 2025-01-01 → 2025-12-31
Stockholders' Equity, Other 26.00M 2025-01-01 → 2025-12-31

Methodology

All facts on this page come straight from SEC EDGAR XBRL company-facts filings (HBAN CIK 0000049196), grouped by financial statement using FASB's base us-gaap presentation taxonomy. Filers may re-parent concepts onto different statements in their own extension taxonomy, so a handful of rows can show up under a different statement than on the actual 10-K / 10-Q; custom concepts and any we couldn't map fall into Other. Hover a cell to see the fully-qualified concept name and the filer's description.

For the full methodology — statement grouping, the Other bucket, derived metrics, and fact tooltips — see the methodology reference for the statement grouping, the "Other" bucket, derived metrics, and fact tooltips.