JPMORGAN CHASE & CO financials

JPM CIK 0000019617

Source: EDGAR filings · raw companyfacts JSON · Built 2026-04-25T10:08:02Z

Custom taxonomy namespace: ffd

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
Net Margin 31.27% 32.93% 31.34% 29.28% 39.73% 24.29%
Return on Equity (ROE) 15.74% 16.96% 15.11% 12.89% 16.43% 10.43%
Return on Assets (ROA) 1.29% 1.46% 1.28% 1.03% 1.29% 0.86%
Debt-to-Equity 1.4053 1.3436 1.3583 1.1907 1.2339 1.2006
Effective Tax Rate 21.42% 22.12% 19.57% 18.39% 18.85% 18.66%
Cash Conversion Ratio -2.5905 -0.7185 0.2618 2.8432 1.6155 -2.7431
Accruals Ratio 0.0463 0.0251 0.0094 -0.0189 -0.0079 0.0322
SBC % of Revenue 1.98% 1.97% 1.97% 2.17% 2.41% 2.04%

Valuation Metrics

Concept FY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
P/E Trailing (Diluted) 16.0949 12.1372 10.4806 11.0918 10.3092 14.3097
P/S 4.7618 3.7769 3.0949 3.0574 3.8323 3.2304
P/B 2.397 1.9452 1.4924 1.346 1.585 1.3871

Income Statement

Concept FY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Revenues 182.45B 177.56B 158.10B 128.69B 121.65B 119.95B
Income Tax Expense (Benefit) 15.55B 16.61B 12.06B 8.49B 11.23B 6.68B
Net Income (Loss) Attributable to Parent 57.05B 58.47B 49.55B 37.68B 48.33B 29.13B
Earnings Per Share, Basic $20.05 $19.79 $16.25 $12.10 $15.39 $8.89
Weighted Average Number of Shares Outstanding, Basic 2.78B 2.87B 2.94B 2.97B 3.02B 3.08B
Earnings Per Share, Diluted $20.02 $19.75 $16.23 $12.09 $15.36 $8.88
Weighted Average Number of Shares Outstanding, Diluted 2.78B 2.88B 2.94B 2.97B 3.03B 3.09B

Balance Sheet

Concept FY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Assets 4.42T 4.00T 3.88T 3.67T 3.74T 3.38T
Liabilities 4.06T 3.66T 3.55T 3.37T 3.45T 3.11T
Stockholders' Equity Attributable to Parent 362.44B 344.76B 327.88B 292.33B 294.13B 279.35B
Common Stock, Shares, Outstanding 2.70B 2.80B 2.88B 2.93B 2.94B 3.05B

Cash Flow Statement

Concept FY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Net Cash Provided by (Used in) Operating Activities -147.78B -42.01B 12.97B 107.12B 78.08B -79.91B
Net Cash Provided by (Used in) Investing Activities -265.56B -163.40B 67.64B -137.82B -129.34B -261.91B
Payments for Repurchase of Common Stock 31.59B 18.83B 9.82B 3.16B 18.41B 6.52B
Payments of Dividends 16.63B 14.78B 13.46B 13.56B 12.86B 12.69B
Net Cash Provided by (Used in) Financing Activities 269.53B 63.45B -25.57B -126.26B 275.99B 596.64B

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

49 concepts 3 units
Unit US$ · 43 concepts
Label Value Period
Interest Income, Other 7.74B 2025-01-01 → 2025-12-31
Principal Transactions Revenue, Net 27.21B 2025-01-01 → 2025-12-31
Interest and Fee Income, Loans and Leases 93.84B 2025-01-01 → 2025-12-31
Interest Income, Securities, Operating, Taxable 26.90B 2025-01-01 → 2025-12-31
Interest Income, Securities, Operating, Tax Exempt 1.13B 2025-01-01 → 2025-12-31
Interest Income, Operating 193.34B 2025-01-01 → 2025-12-31
Interest Income, Federal Funds Sold and Securities Purchased under Agreements to Resell 16.71B 2025-01-01 → 2025-12-31
Interest Income, Deposits with Financial Institutions 13.10B 2025-01-01 → 2025-12-31
Interest Expense, Deposits 45.11B 2025-01-01 → 2025-12-31
Interest Expense, Federal Funds Purchased and Securities Sold under Agreements to Repurchase 22.41B 2025-01-01 → 2025-12-31
Interest Expense, Short-term Borrowings 2.30B 2025-01-01 → 2025-12-31
Sublease Income 28.00M 2025-01-01 → 2025-12-31
Operating Lease, Lease Income 3.80B 2025-01-01 → 2025-12-31
Interest Expense, Long-term Debt 17.89B 2025-01-01 → 2025-12-31
Interest Expense, Trading Liabilities 8.96B 2025-01-01 → 2025-12-31
Interest Expense, Beneficial Interests Issued by Consolidated Variable Interest Entities 1.22B 2025-01-01 → 2025-12-31
InterestExpenseOperating 97.90B 2025-01-01 → 2025-12-31
Interest Income (Expense), Net 95.44B 2025-01-01 → 2025-12-31
Revenues 182.45B 2025-01-01 → 2025-12-31
Provision for Loan, Lease, and Other Losses 14.21B 2025-01-01 → 2025-12-31
Interest Income (Expense), after Provision for Loan Loss 81.23B 2025-01-01 → 2025-12-31
Investment Banking Revenue 9.62B 2025-01-01 → 2025-12-31
Brokerage Commissions Revenue 3.73B 2025-01-01 → 2025-12-31
Underwriting Income (Loss) 6.11B 2025-01-01 → 2025-12-31
Trading Gain (Loss) 27.27B 2025-01-01 → 2025-12-31
Principal Investment Gain (Loss) -63.00M 2025-01-01 → 2025-12-31
Gain (Loss) on Sales of Loans, Net 148.00M 2025-01-01 → 2025-12-31
Noninterest Income, Other 6.17B 2025-01-01 → 2025-12-31
Amortization of Intangible Assets 292.00M 2025-01-01 → 2025-12-31
Noninterest Income 87.00B 2025-01-01 → 2025-12-31
Revenues, Net of Interest Expense 182.45B 2025-01-01 → 2025-12-31
Occupancy, Net 5.46B 2025-01-01 → 2025-12-31
Federal Deposit Insurance Corporation Premium Expense 531.00M 2025-01-01 → 2025-12-31
Marketing and Advertising Expense 5.53B 2025-01-01 → 2025-12-31
Labor and Related Expense 54.49B 2025-01-01 → 2025-12-31
Communications and Information Technology 11.03B 2025-01-01 → 2025-12-31
Other Noninterest Expense 6.78B 2025-01-01 → 2025-12-31
Noninterest Expense 95.64B 2025-01-01 → 2025-12-31
Investment Income, Interest 28.03B 2025-01-01 → 2025-12-31
Income (Loss) from Continuing Operations before Income Taxes, Noncontrolling Interest 72.59B 2025-01-01 → 2025-12-31
Income Tax Expense (Benefit) 15.55B 2025-01-01 → 2025-12-31
Net Income (Loss) Attributable to Parent 57.05B 2025-01-01 → 2025-12-31
Net Income (Loss) Available to Common Stockholders, Basic 55.68B 2025-01-01 → 2025-12-31
Unit shares · 3 concepts
Label Value Period
Weighted Average Number of Shares Outstanding, Basic 2.78B 2025-01-01 → 2025-12-31
Weighted Average Number of Shares Outstanding, Diluted 2.78B 2025-01-01 → 2025-12-31
Weighted Average Number Diluted Shares Outstanding Adjustment 5.00M 2025-01-01 → 2025-12-31
Unit US$ / share · 3 concepts
Label Value Period
Earnings Per Share, Basic $20.05 2025-01-01 → 2025-12-31
Earnings Per Share, Diluted $20.02 2025-01-01 → 2025-12-31
Common Stock, Dividends, Per Share, Declared $5.80 2025-01-01 → 2025-12-31

Comprehensive Income

12 concepts 1 unit
Unit US$ · 12 concepts
Label Value Period
Other Comprehensive (Income) Loss, Defined Benefit Plan, after Reclassification Adjustment, before Tax -691.00M 2025-01-01 → 2025-12-31
Other Comprehensive Income (Loss), Derivative, Excluded Component, Increase (Decrease), before Adjustments and Tax 84.00M 2025-01-01 → 2025-12-31
Other Comprehensive Income (Loss), before Tax, Portion Attributable to Parent 9.00B 2025-01-01 → 2025-12-31
Other Comprehensive Income (Loss), Tax, Portion Attributable to Parent 831.00M 2025-01-01 → 2025-12-31
Other Comprehensive Income (Loss), Foreign Currency Transaction and Translation Adjustment, Net of Tax, Portion Attributable to Parent 1.34B 2025-01-01 → 2025-12-31
Other Comprehensive (Income) Loss, Defined Benefit Plan, after Tax and Reclassification Adjustment, Attributable to Parent -579.00M 2025-01-01 → 2025-12-31
Other Comprehensive Income (Loss), Available-for-sale Securities Adjustment, Net of Tax, Portion Attributable to Parent 3.57B 2025-01-01 → 2025-12-31
Other Comprehensive Income (Loss), Cash Flow Hedge, Gain (Loss), after Reclassification and Tax, Parent 3.39B 2025-01-01 → 2025-12-31
Other Comprehensive Income (Loss), Financial Liability, Fair Value Option, after Tax and Reclassification Adjustment, Attributable to Parent -773.00M 2025-01-01 → 2025-12-31
Other Comprehensive Income (Loss), Derivative, Excluded Component, Increase (Decrease), after Adjustments and Tax, Parent 64.00M 2025-01-01 → 2025-12-31
Other Comprehensive Income (Loss), Net of Tax, Portion Attributable to Parent 8.17B 2025-01-01 → 2025-12-31
Comprehensive Income (Loss), Net of Tax, Attributable to Parent 65.21B 2025-01-01 → 2025-12-31

Balance Sheet

63 concepts 3 units
Unit US$ · 55 concepts
Label Value Period
Cash and Due from Banks 21.74B as of 2025-12-31
Interest-bearing Deposits in Banks and Other Financial Institutions 321.60B as of 2025-12-31
Securities Purchased under Agreements to Resell 336.43B as of 2025-12-31
Federal Funds Sold and Securities Purchased under Agreements to Resell 336.43B as of 2025-12-31
Restricted Cash and Cash Equivalents 29.00B as of 2025-12-31
Debt Securities, Held-to-maturity, Fair Value 253.34B as of 2025-12-31
Securities Borrowed 286.19B as of 2025-12-31
Derivative Asset 57.78B as of 2025-12-31
FinancingReceivableExcludingAccruedInterestBeforeAllowanceForCreditLoss 1.41T as of 2025-12-31
FinancingReceivableAllowanceForCreditLossExcludingAccruedInterest 25.77B as of 2025-12-31
FinancingReceivableExcludingAccruedInterestAfterAllowanceForCreditLoss 1.47T as of 2025-12-31
DebtSecuritiesHeldToMaturityExcludingAccruedInterestBeforeAllowanceForCreditLoss 270.20B as of 2025-12-31
DebtSecuritiesHeldToMaturityAllowanceForCreditLossExcludingAccruedInterest 65.00M as of 2025-12-31
DebtSecuritiesHeldToMaturityExcludingAccruedInterestAfterAllowanceForCreditLoss 270.13B as of 2025-12-31
Operating Lease, Right-of-Use Asset 8.90B as of 2025-12-31
DebtSecuritiesAvailableForSaleAmortizedCostAllowanceForCreditLossExcludingAccruedInterest 41.00M as of 2025-12-31
DebtSecuritiesAvailableForSaleAmortizedCostExcludingAccruedInterestAfterAllowanceForCreditLoss 507.23B as of 2025-12-31
DebtSecuritiesAvailableForSaleExcludingAccruedInterest 507.20B as of 2025-12-31
Other Assets 198.78B as of 2025-12-31
Servicing Asset at Fair Value, Amount 9.17B as of 2025-12-31
Time Deposits 311.40B as of 2025-12-31
Deposits 2.56T as of 2025-12-31
Noninterest-bearing Deposit Liabilities, Domestic 583.34B as of 2025-12-31
Securities Sold under Agreements to Repurchase 433.16B as of 2025-12-31
Noninterest-bearing Deposit Liabilities, Foreign 37.06B as of 2025-12-31
Interest-bearing Deposit Liabilities, Domestic 1.45T as of 2025-12-31
Interest-bearing Deposit Liabilities, Foreign 486.19B as of 2025-12-31
Long-term Debt and Lease Obligation, Including Current Maturities 435.21B as of 2025-12-31
Deposits, Foreign 523.25B as of 2025-12-31
Goodwill 52.73B as of 2025-12-31
Deposits, Domestic 2.04T as of 2025-12-31
Indefinite-lived Intangible Assets (Excluding Goodwill) 1.30B as of 2025-12-31
Finite-Lived Intangible Assets, Accumulated Amortization 962.00M as of 2025-12-31
Federal Funds Purchased and Securities Sold under Agreements to Repurchase 442.40B as of 2025-12-31
Finite-Lived Intangible Assets, Net 1.30B as of 2025-12-31
Trading Liabilities 216.02B as of 2025-12-31
Derivative Liability 46.33B as of 2025-12-31
Beneficial Interest Liability 27.95B as of 2025-12-31
Broker-Dealer, Payable to Other Broker-Dealer and Clearing Organization 186.66B as of 2025-12-31
Accounts Payable and Other Accrued Liabilities 130.14B as of 2025-12-31
Accounts Payable and Accrued Liabilities 316.79B as of 2025-12-31
Operating Lease, Liability 9.34B as of 2025-12-31
Amortization Method Qualified Affordable Housing Project Investments 33.86B as of 2025-12-31
Assets 4.42T as of 2025-12-31
Short-term Debt 64.78B as of 2025-12-31
Securities Loaned 15.66B as of 2025-12-31
Liabilities 4.06T as of 2025-12-31
Common Stock, Value, Issued 4.11B as of 2025-12-31
Additional Paid in Capital, Common Stock 91.11B as of 2025-12-31
Treasury Stock, Common, Value 164.59B as of 2025-12-31
Accumulated Other Comprehensive Income (Loss), Net of Tax -4.29B as of 2025-12-31
Retained Earnings (Accumulated Deficit) 416.06B as of 2025-12-31
Stockholders' Equity Attributable to Parent 362.44B as of 2025-12-31
Preferred Stock, Liquidation Preference, Value 20.10B as of 2025-12-31
Liabilities and Equity 4.42T as of 2025-12-31
Unit shares · 6 concepts
Label Value Period
Preferred Stock, Shares Authorized 200.00M as of 2025-12-31
Preferred Stock, Shares Issued 2.01M as of 2025-12-31
Common Stock, Shares Authorized 9.00B as of 2025-12-31
Common Stock, Shares, Issued 4.10B as of 2025-12-31
Common Stock, Shares, Outstanding 2.70B as of 2025-12-31
Treasury Stock, Common, Shares 1.41B as of 2025-12-31
Unit US$ / share · 2 concepts
Label Value Period
Preferred Stock, Par or Stated Value Per Share $1.00 as of 2025-12-31
Common Stock, Par or Stated Value Per Share $1.00 as of 2025-12-31

Cash Flow Statement

42 concepts 1 unit
Unit US$ · 42 concepts
Label Value Period
Depreciation, Amortization and Accretion, Net 8.82B 2025-01-01 → 2025-12-31
Share-based Payment Arrangement, Noncash Expense 3.61B 2025-01-01 → 2025-12-31
Operating Lease, Payments 1.76B 2025-01-01 → 2025-12-31
Increase (Decrease) in Cash Collateral for Borrowed Securities 66.65B 2025-01-01 → 2025-12-31
Interest Paid, Excluding Capitalized Interest, Operating Activities 96.44B 2025-01-01 → 2025-12-31
Deferred Income Tax Expense (Benefit) 5.61B 2025-01-01 → 2025-12-31
IncomeTaxPaidFederalAfterRefundReceived -1.10B 2025-01-01 → 2025-12-31
IncomeTaxPaidStateAndLocalAfterRefundReceived 1.73B 2025-01-01 → 2025-12-31
Noncash Contribution Expense 0 2025-01-01 → 2025-12-31
IncomeTaxPaidForeignAfterRefundReceived 4.68B 2025-01-01 → 2025-12-31
Income Taxes Paid, Net 5.31B 2025-01-01 → 2025-12-31
Other Noncash Income (Expense) -1.31B 2025-01-01 → 2025-12-31
Payments for Origination and Purchases of Loans Held-for-sale 260.77B 2025-01-01 → 2025-12-31
Increase (Decrease) in Trading Liabilities 23.13B 2025-01-01 → 2025-12-31
Increase (Decrease) in Financial Instruments Used in Operating Activities 156.46B 2025-01-01 → 2025-12-31
Increase (Decrease) in Prepaid Expense and Other Assets 12.58B 2025-01-01 → 2025-12-31
Proceeds from (Payments for) Federal Funds Sold and Securities Purchased under Agreements to Resell, Net -41.26B 2025-01-01 → 2025-12-31
Other Operating Activities, Cash Flow Statement 9.56B 2025-01-01 → 2025-12-31
Net Cash Provided by (Used in) Operating Activities -147.78B 2025-01-01 → 2025-12-31
Payments to Acquire Debt Securities, Available-for-sale 308.77B 2025-01-01 → 2025-12-31
Payments to Acquire Held-to-maturity Securities 5.43B 2025-01-01 → 2025-12-31
Proceeds from Sale of Debt Securities, Available-for-sale 141.29B 2025-01-01 → 2025-12-31
Proceeds from Maturities, Prepayments and Calls of Debt Securities, Available-for-sale 37.41B 2025-01-01 → 2025-12-31
Proceeds from Maturities, Prepayments and Calls of Held-to-maturity Securities 54.79B 2025-01-01 → 2025-12-31
Proceeds from Sale of Finance Receivables 57.56B 2025-01-01 → 2025-12-31
Increase (Decrease) in Deposits 153.17B 2025-01-01 → 2025-12-31
Payments to Acquire Businesses, Net of Cash Acquired 0 2025-01-01 → 2025-12-31
Increase (Decrease) in Federal Funds Purchased and Securities Sold under Agreements to Repurchase, Net 145.53B 2025-01-01 → 2025-12-31
Payments for (Proceeds from) Other Investing Activities 12.66B 2025-01-01 → 2025-12-31
Net Cash Provided by (Used in) Investing Activities -265.56B 2025-01-01 → 2025-12-31
Proceeds from Short-term Debt 9.42B 2025-01-01 → 2025-12-31
Proceeds from Issuance of Long-term Debt and Capital Securities, Net 120.76B 2025-01-01 → 2025-12-31
Repayment of Long-term Debt, Long-term Lease Obligation, and Capital Security 108.10B 2025-01-01 → 2025-12-31
Payments for Repurchase of Redeemable Preferred Stock 3.00B 2025-01-01 → 2025-12-31
Proceeds from Issuance of Preferred Stock and Preference Stock 3.00B 2025-01-01 → 2025-12-31
Payments for Repurchase of Common Stock 31.59B 2025-01-01 → 2025-12-31
Payments of Dividends 16.63B 2025-01-01 → 2025-12-31
Proceeds from (Payments for) Other Financing Activities -2.42B 2025-01-01 → 2025-12-31
Net Cash Provided by (Used in) Financing Activities 269.53B 2025-01-01 → 2025-12-31
Effect of Exchange Rate on Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents 17.84B 2025-01-01 → 2025-12-31
Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents, Period Increase (Decrease), Including Exchange Rate Effect -125.98B 2025-01-01 → 2025-12-31
Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents 343.34B as of 2025-12-31

Notes

265 concepts 4 units
Unit US$ · 235 concepts
Label Value Period
Securities Reserve Deposit Required and Made 40.80B as of 2025-12-31
Current Federal Tax Expense (Benefit) 3.11B 2025-01-01 → 2025-12-31
Current State and Local Tax Expense (Benefit) 2.56B 2025-01-01 → 2025-12-31
Current Foreign Tax Expense (Benefit) 4.27B 2025-01-01 → 2025-12-31
Current Income Tax Expense (Benefit) 9.94B 2025-01-01 → 2025-12-31
Deferred Federal Income Tax Expense (Benefit) 4.45B 2025-01-01 → 2025-12-31
Deferred State and Local Income Tax Expense (Benefit) 906.00M 2025-01-01 → 2025-12-31
Deferred Foreign Income Tax Expense (Benefit) 258.00M 2025-01-01 → 2025-12-31
Loans Receivable, Fair Value Disclosure 70.68B as of 2025-12-31
Tax Adjustments, Settlements, and Unusual Provisions -629.00M 2025-01-01 → 2025-12-31
Financing Receivable, Accrued Interest, Writeoff 109.00M 2025-01-01 → 2025-12-31
Debt Securities, Held-to-Maturity, Accrued Interest, Writeoff 0 2025-01-01 → 2025-12-31
Professional and Contract Services Expense 12.36B 2025-01-01 → 2025-12-31
Debt Securities, Available-for-Sale, Accrued Interest Writeoff 0 2025-01-01 → 2025-12-31
DerivativeAssetAfterOffsetSubjectToMasterNettingArrangement 50.70B as of 2025-12-31
Derivative Asset, Not Subject to Master Netting Arrangement 7.07B as of 2025-12-31
Dividends, Preferred Stock 1.10B 2025-01-01 → 2025-12-31
Derivative Asset, Fair Value, Gross Asset Including Not Subject to Master Netting Arrangement 606.38B as of 2025-12-31
Participating Securities, Distributed and Undistributed Earnings (Loss), Basic 268.00M 2025-01-01 → 2025-12-31
Derivative Asset, Fair Value, Gross Liability and Obligation to Return Cash, Offset 548.61B as of 2025-12-31
Effective Income Tax Rate Reconciliation at Federal Statutory Income Tax Rate, Amount 15.24B 2025-01-01 → 2025-12-31
Effective Income Tax Rate Reconciliation, State and Local Income Taxes, Amount 2.69B 2025-01-01 → 2025-12-31
Share-based Payment Arrangement, Expense, Tax Benefit 1.40B 2025-01-01 → 2025-12-31
Effective Income Tax Rate Reconciliation, Foreign Income Tax Rate Differential, Amount 1.39B 2025-01-01 → 2025-12-31
EffectiveIncomeTaxRateReconciliationCrossBorderTaxEffectAmount -342.00M 2025-01-01 → 2025-12-31
Securities Purchased under Agreements to Resell, Liability 282.09B as of 2025-12-31
EffectiveIncomeTaxRateReconciliationTaxCreditEnergyRelatedAmount 1.14B 2025-01-01 → 2025-12-31
Preferred Stock, Including Additional Paid in Capital, Net of Discount 20.05B as of 2025-12-31
Share-based Payment Arrangement, Nonvested Award, Cost Not yet Recognized, Amount 1.00B as of 2025-12-31
Effective Income Tax Rate Reconciliation, Tax Credit, Other, Amount 1.01B 2025-01-01 → 2025-12-31
Effective Income Tax Rate Reconciliation, Tax Credit, Amount 2.14B 2025-01-01 → 2025-12-31
Fair Value of Securities Received as Collateral that Can be Resold or Repledged 1.77T as of 2025-12-31
Fair Value of Securities Received as Collateral that Have Been Resold or Repledged 1.43T as of 2025-12-31
Securities Purchased under Agreements to Resell, Not Subject to Master Netting Arrangement 9.40B as of 2025-12-31
Securities Purchased under Agreements to Resell, Gross Including Not Subject to Master Netting Arrangement 618.52B as of 2025-12-31
Securities Purchased under Agreements to Resell, Amount Offset Against Collateral 12.21B as of 2025-12-31
Securities Purchased under Agreements to Resell, Fair Value of Collateral 324.22B as of 2025-12-31
Affordable Housing Tax Credits and Other Tax Benefits, Amount 6.10B 2025-01-01 → 2025-12-31
Amortization Method Qualified Affordable Housing Project Investments, Amortization 4.55B 2025-01-01 → 2025-12-31
Equity Securities without Readily Determinable Fair Value, Amount 4.87B as of 2025-12-31
Securities Borrowed, Liability 71.17B as of 2025-12-31
Securities Borrowed, Not Subject to Master Netting Arrangement 44.00B as of 2025-12-31
Effective Income Tax Rate Reconciliation, Tax Contingency, Amount -387.00M 2025-01-01 → 2025-12-31
InvestmentProgramProportionalAmortizationMethodAppliedNonIncomeTaxRelatedActivityAndOtherReturn 169.00M 2025-01-01 → 2025-12-31
Time Deposits, at or Above FDIC Insurance Limit 244.20B as of 2025-12-31
Contractually Specified Servicing Fees, Amount 1.64B 2025-01-01 → 2025-12-31
Securities Borrowed, Gross Including Not Subject to Master Netting Arrangement 357.36B as of 2025-12-31
Securities Borrowed, Amount Offset Against Collateral 51.73B as of 2025-12-31
Effective Income Tax Rate Reconciliation, Tax Exempt Income, Amount 246.00M 2025-01-01 → 2025-12-31
Securities Borrowed, Fair Value of Collateral 234.47B as of 2025-12-31
Financing Receivable, Accrued Interest, before Allowance for Credit Loss 7.00B as of 2025-12-31
Debt Securities, Available-for-sale, Realized Gain 674.00M 2025-01-01 → 2025-12-31
Debt Securities, Available-for-sale, Realized Loss 731.00M 2025-01-01 → 2025-12-31
Debt Securities, Available-for-sale, Realized Gain (Loss) -57.00M 2025-01-01 → 2025-12-31
Effective Income Tax Rate Reconciliation, Change in Enacted Tax Rate, Amount -134.00M 2025-01-01 → 2025-12-31
Effective Income Tax Rate Reconciliation, Change in Deferred Tax Assets Valuation Allowance, Amount 248.00M 2025-01-01 → 2025-12-31
Effective Income Tax Rate Reconciliation, Other Adjustments, Amount -767.00M 2025-01-01 → 2025-12-31
Litigation Settlement, Expense 361.00M 2025-01-01 → 2025-12-31
Servicing Asset at Fair Value, Changes in Fair Value Resulting from Changes in Valuation Inputs or Changes in Assumptions 48.00M 2025-01-01 → 2025-12-31
Finite-Lived Intangible Asset, Expected Amortization, Year One 266.00M as of 2025-12-31
Finite-Lived Intangible Asset, Expected Amortization, Year Two 264.00M as of 2025-12-31
Finite-Lived Intangible Asset, Expected Amortization, Year Three 264.00M as of 2025-12-31
Finite-Lived Intangible Asset, Expected Amortization, Year Four 252.00M as of 2025-12-31
Finite-Lived Intangible Asset, Expected Amortization, Year Five 100.00M as of 2025-12-31
Debt Securities, Available-for-sale, Maturity, Allocated and Single Maturity Date, Amortized Cost 506.63B as of 2025-12-31
DerivativeLiabilityAfterOffsetSubjectToMasterNettingArrangement 38.61B as of 2025-12-31
Intangible Assets, Gross (Excluding Goodwill) 3.50B as of 2025-12-31
Net Income (Loss) Available to Common Stockholders, Diluted 55.68B 2025-01-01 → 2025-12-31
Debt Securities, Available-for-sale, Maturity, Allocated and Single Maturity Date, Rolling within One Year, Amortized Cost 49.60B as of 2025-12-31
Debt Securities, Available-for-sale, Maturity, Allocated and Single Maturity Date, Rolling after One Through Five Years, Amortized Cost 258.02B as of 2025-12-31
Debt Securities, Available-for-sale, Maturity, Allocated and Single Maturity Date, Rolling after Five Through Ten Years, Amortized Cost 63.51B as of 2025-12-31
Debt Securities, Available-for-sale, Maturity, Allocated and Single Maturity Date, Rolling after 10 Years, Amortized Cost 135.49B as of 2025-12-31
Derivative Liability, Not Subject to Master Netting Arrangement 7.72B as of 2025-12-31
Derivative, Notional Amount 50.64T as of 2025-12-31
Derivative Liability, Fair Value, Gross Liability Including Not Subject to Master Netting Arrangement 596.74B as of 2025-12-31
Derivative Liability, Fair Value, Gross Asset and Right to Reclaim Cash, Offset 550.41B as of 2025-12-31
Defined Benefit Plan, Net Periodic Benefit Cost (Credit) -184.00M 2025-01-01 → 2025-12-31
Business Combination, Bargain Purchase, Gain Recognized, Amount 0 2025-01-01 → 2025-12-31
Debt Securities, Available-for-sale, Maturity, Allocated and Single Maturity Date, Rolling within One Year, Fair Value 49.71B as of 2025-12-31
Debt Securities, Available-for-sale, Maturity, Allocated and Single Maturity Date, Rolling after One Through Five Years, Fair Value 259.95B as of 2025-12-31
Debt Securities, Available-for-sale, Maturity, Allocated and Single Maturity Date, Rolling after Five Through Ten Years, Fair Value 63.94B as of 2025-12-31
Debt Securities, Available-for-sale, Maturity, Allocated and Single Maturity Date, Rolling after 10 Years, Fair Value 133.60B as of 2025-12-31
Securities Sold under Agreements to Repurchase, Asset 282.09B as of 2025-12-31
Contract with Customer, Refund Liability, Current 16.00B as of 2025-12-31
Defined Benefit Plan, Plan Assets, Amount 23.60B as of 2025-12-31
Business Combination, Step Acquisition, Equity Interest in Acquiree, Remeasurement Gain (Loss), Net 0 2025-01-01 → 2025-12-31
Debt Securities, Available-for-sale, Continuous Unrealized Loss Position, Less than 12 Months, Accumulated Loss 219.00M as of 2025-12-31
Defined Benefit Plan, Benefit Obligation 14.72B as of 2025-12-31
Securities Sold under Agreements to Repurchase, Not Subject to Master Netting Arrangement 34.90B as of 2025-12-31
Debt Securities, Available-for-sale, Continuous Unrealized Loss Position, 12 Months or Longer, Accumulated Loss 876.00M as of 2025-12-31
Defined Benefit Plan, Funded (Unfunded) Status of Plan 8.88B as of 2025-12-31
Debt Securities, Available-for-sale, Unrealized Loss Position, Accumulated Loss 1.09B as of 2025-12-31
Securities Sold under Agreements to Repurchase, Amount Offset Against Collateral 35.61B as of 2025-12-31
Debt Securities, Available-for-sale, Accumulated Gross Unrealized Gain, before Tax 3.31B as of 2025-12-31
Debt Securities, Available-for-sale, Accumulated Gross Unrealized Loss, before Tax 3.34B as of 2025-12-31
Securities Sold under Agreements to Repurchase, Fair Value of Collateral 397.55B as of 2025-12-31
Securities Loaned, Asset 71.17B as of 2025-12-31
Debt Securities, Available-for-sale, Continuous Unrealized Loss Position, Less than 12 Months 16.02B as of 2025-12-31
Debt Securities, Available-for-sale, Continuous Unrealized Loss Position, 12 Months or Longer 16.03B as of 2025-12-31
Debt Securities, Available-for-sale, Unrealized Loss Position 32.05B as of 2025-12-31
Time Deposit Maturities, Next Rolling Twelve Months 309.44B as of 2025-12-31
Time Deposit Maturities, Rolling Year Two 746.00M as of 2025-12-31
Time Deposit Maturities, Rolling Year Three 195.00M as of 2025-12-31
Time Deposit Maturities, Rolling Year Four 612.00M as of 2025-12-31
Time Deposit Maturities, Rolling Year Five 156.00M as of 2025-12-31
Goodwill, Acquired During Period 0 2025-01-01 → 2025-12-31
Time Deposit Maturities, after Rolling Year Five 248.00M as of 2025-12-31
Securities Loaned, Amount Offset Against Collateral 125.00M as of 2025-12-31
Goodwill, Other Increase (Decrease) 166.00M 2025-01-01 → 2025-12-31
Deferred Tax Assets, Tax Credit Carryforwards, Other 2.25B as of 2025-12-31
Defined Benefit Plan, Plan Assets Level 3 Reconciliation, Increase (Decrease) for Actual Return (Loss) on Plan Assets Still Held 361.00M 2025-01-01 → 2025-12-31
Securities Loaned, Fair Value of Collateral 15.53B as of 2025-12-31
Debt Securities, Held-to-maturity, Accumulated Unrecognized Loss 17.05B as of 2025-12-31
Debt Securities, Held-to-maturity, Accumulated Unrecognized Gain 263.00M as of 2025-12-31
Defined Benefit Plan, Plan Assets Level 3 Reconciliation, Decrease for Sale 58.00M 2025-01-01 → 2025-12-31
Defined Benefit Plan, Plan Assets Level 3 Reconciliation, Decrease for Settlement 46.00M 2025-01-01 → 2025-12-31
Defined Benefit Plan, Plan Assets Level 3 Reconciliation, Increase (Decrease) for Assets Transferred into (out of) Level 3 -52.00M 2025-01-01 → 2025-12-31
FinancingReceivableExcludingAccruedInterestCreditLossExpenseReversal 11.26B 2025-01-01 → 2025-12-31
Unrecorded Unconditional Purchase Obligation 1.90B as of 2025-12-31
FinancingReceivableExcludingAccruedInterestAllowanceForCreditLossWriteoff 12.04B 2025-01-01 → 2025-12-31
FinancingReceivableExcludingAccruedInterestAllowanceForCreditLossRecovery 2.19B 2025-01-01 → 2025-12-31
Operating Lease, Cost 2.39B 2025-01-01 → 2025-12-31
FinancingReceivableExcludingAccruedInterestAllowanceForCreditLossWriteoffAfterRecovery 9.85B 2025-01-01 → 2025-12-31
Deferred Tax Assets, Tax Deferred Expense, Compensation and Benefits 1.08B as of 2025-12-31
Lease, Cost 2.36B 2025-01-01 → 2025-12-31
Deferred Tax Assets, Tax Deferred Expense, Reserves and Accruals, Provision for Loan Losses 7.40B as of 2025-12-31
Fair Value, Option, Loans Held as Assets, Aggregate Difference 0 as of 2025-12-31
Right-of-Use Asset Obtained in Exchange for Operating Lease Liability 1.83B 2025-01-01 → 2025-12-31
Deferred Tax Assets, Tax Deferred Expense, Reserves and Accruals, Loss Reserves 5.91B as of 2025-12-31
FinancingReceivableExcludingAccruedInterestPurchase 2.45B 2025-01-01 → 2025-12-31
FinancingReceivableExcludingAccruedInterestSale 55.58B 2025-01-01 → 2025-12-31
FinancingReceivableExcludingAccruedInterestReclassificationToHeldForSale 1.55B 2025-01-01 → 2025-12-31
Financing Receivable, Allowance for Credit Losses, Individually Evaluated for Impairment 60.00M as of 2025-12-31
Financing Receivable, Allowance for Credit Losses, Collectively Evaluated for Impairment 25.70B as of 2025-12-31
Financing Receivable, Collectively Evaluated for Impairment 1.40T as of 2025-12-31
Financing Receivable, Individually Evaluated for Impairment 7.85B as of 2025-12-31
Sensitivity Analysis of Fair Value, Transferor's Interests in Transferred Financial Assets, Impact of 10 Percent Adverse Change in Prepayment Speed 181.00M as of 2025-12-31
Sensitivity Analysis of Fair Value, Transferor's Interests in Transferred Financial Assets, Impact of 20 Percent Adverse Change in Prepayment Speed 353.00M as of 2025-12-31
Deferred Tax Assets, Property, Plant and Equipment 0 as of 2025-12-31
Lessee, Operating Lease, Liability, to be Paid, Year One 1.77B as of 2025-12-31
Lessee, Operating Lease, Liability, to be Paid, Year Two 1.70B as of 2025-12-31
Defined Benefit Plan, Accumulated Other Comprehensive (Income) Loss, before Tax 965.00M as of 2025-12-31
Lessee, Operating Lease, Liability, to be Paid, Year Three 1.54B as of 2025-12-31
Lessee, Operating Lease, Liability, to be Paid, Year Four 1.32B as of 2025-12-31
Lessee, Operating Lease, Liability, to be Paid, Year Five 1.09B as of 2025-12-31
Lessee, Operating Lease, Liability, to be Paid, after Year Five 3.83B as of 2025-12-31
Lessee, Operating Lease, Liability, to be Paid 11.26B as of 2025-12-31
Debt Securities, Held-to-maturity, Maturity, Allocated and Single Maturity Date, Rolling within One Year, Fair Value 18.30B as of 2025-12-31
Debt Securities, Held-to-maturity, Maturity, Allocated and Single Maturity Date, Rolling after One Through Five Years, Fair Value 96.32B as of 2025-12-31
Debt Securities, Held-to-maturity, Maturity, Allocated and Single Maturity Date, Rolling after Five Through Ten Years, Fair Value 39.73B as of 2025-12-31
Debt Securities, Held-to-maturity, Maturity, Allocated and Single Maturity Date, Rolling after 10 Years, Fair Value 99.00B as of 2025-12-31
Derivative Liability, Collateral, Right to Reclaim Cash, Offset 56.50B as of 2025-12-31
Deferred Tax Assets, Gross 17.67B as of 2025-12-31
Deferred Tax Assets, Valuation Allowance 476.00M as of 2025-12-31
Derivative Asset, Collateral, Obligation to Return Cash, Offset 54.70B as of 2025-12-31
Deferred Tax Assets, Net of Valuation Allowance 17.19B as of 2025-12-31
Lessee, Operating Lease, Liability, Undiscounted Excess Amount 1.92B as of 2025-12-31
Deferred Tax Liabilities, Gross 10.24B as of 2025-12-31
Deferred Tax Assets, Net 6.95B as of 2025-12-31
Continuing Involvement with Transferred Financial Assets, Principal Amount Outstanding 306.69B as of 2025-12-31
DebtSecuritiesAvailableForSaleAndHeldToMaturityFairValue 760.54B as of 2025-12-31
Property Subject to or Available for Operating Lease, Accumulated Depreciation 3.18B as of 2025-12-31
DebtSecuritiesAvailableForSaleAndHeldToMaturityCumulativeUnrecognizedGain 3.58B as of 2025-12-31
Property Subject to or Available for Operating Lease, Net 20.13B as of 2025-12-31
DebtSecuritiesAvailableForSaleAndHeldToMaturityCumulativeUnrecognizedLoss 20.39B as of 2025-12-31
Deferred Tax Liabilities, Property, Plant and Equipment 2.34B as of 2025-12-31
DebtSecuritiesAvailableForSaleAndHeldToMaturityAllowanceForCreditLoss 106.00M as of 2025-12-31
DebtSecuritiesAvailableForSaleAndHeldToMaturityAmortizedCostAfterAllowanceForCreditLoss 777.36B as of 2025-12-31
Debt Securities, Held-to-maturity, Credit Loss Expense (Reversal) -28.00M 2025-01-01 → 2025-12-31
Deferred Tax Liabilities, Mortgage Servicing Rights 1.95B as of 2025-12-31
Defined Benefit Plan, Expected Future Benefit Payment, Year One 2.25B as of 2025-12-31
Defined Benefit Plan, Expected Future Benefit Payment, Year Two 1.07B as of 2025-12-31
Defined Benefit Plan, Expected Future Benefit Payment, Year Three 1.06B as of 2025-12-31
Defined Benefit Plan, Expected Future Benefit Payment, Year Four 1.03B as of 2025-12-31
Defined Benefit Plan, Expected Future Benefit Payment, Year Five 1.02B as of 2025-12-31
Defined Benefit Plan, Expected Future Benefit Payment, after Year Five for Next Five Years 4.83B as of 2025-12-31
Deferred Tax Liabilities, Leasing Arrangements 4.29B as of 2025-12-31
Debt Securities, Held-to-maturity, Purchase 5.40B 2025-01-01 → 2025-12-31
Gain (Loss) on Fair Value Hedges Recognized in Earnings 1.88B 2025-01-01 → 2025-12-31
Operating Leases, Income Statement, Depreciation Expense on Property Subject to or Held-for-lease 2.42B 2025-01-01 → 2025-12-31
Change in Unrealized Gain (Loss) on Fair Value Hedging Instruments -2.86B 2025-01-01 → 2025-12-31
Deferred Tax Liabilities, Other 1.66B as of 2025-12-31
Change in Unrealized Gain (Loss) on Hedged Item in Fair Value Hedge 4.74B 2025-01-01 → 2025-12-31
Equity Securities without Readily Determinable Fair Value, Downward Price Adjustment, Cumulative Amount 1.50B as of 2025-12-31
Equity Securities without Readily Determinable Fair Value, Upward Price Adjustment, Cumulative Amount 1.30B as of 2025-12-31
Hedged Asset, Fair Value Hedge, Last-of-Layer, Cumulative Increase (Decrease) 641.00M as of 2025-12-31
HedgedAssetFairValueHedgePortfolioLayerMethodCumulativeIncreaseDecreaseExcludedFromAmortizedCost 641.00M as of 2025-12-31
Equity Securities without Readily Determinable Fair Value, Downward Price Adjustment, Annual Amount 102.00M 2025-01-01 → 2025-12-31
Equity Securities without Readily Determinable Fair Value, Upward Price Adjustment, Annual Amount 224.00M 2025-01-01 → 2025-12-31
Transfers Accounted for as Secured Borrowings, Assets, Carrying Amount 787.00M as of 2025-12-31
Cash Flow Hedge Gain (Loss) to be Reclassified within Twelve Months -926.00M 2025-01-01 → 2025-12-31
Defined Contribution Plan, Cost 1.93B 2025-01-01 → 2025-12-31
Long-term Debt, Maturities, Repayments of Principal in Next Rolling Twelve Months 42.59B as of 2025-12-31
Long-term Debt, Maturities, Repayments of Principal in Rolling Year Two 55.80B as of 2025-12-31
Long-term Debt, Maturities, Repayments of Principal in Rolling Year Three 105.40B as of 2025-12-31
Off-Balance Sheet, Credit Loss, Liability 5.07B as of 2025-12-31
Off-Balance Sheet, Credit Loss, Liability, Credit Loss Expense (Reversal) 2.97B 2025-01-01 → 2025-12-31
Long-term Debt, Maturities, Repayments of Principal in Rolling Year Four 31.40B as of 2025-12-31
Off-Balance Sheet, Credit Loss, Liability, Change in Method, Credit Loss Expense (Reversal) 1.00M 2025-01-01 → 2025-12-31
Long-term Debt, Maturities, Repayments of Principal in Rolling Year Five 39.80B as of 2025-12-31
Long-term Debt, Maturities, Repayments of Principal in Rolling after Year Five 160.30B as of 2025-12-31
Unrecognized Tax Benefits 5.62B as of 2025-12-31
Unrecognized Tax Benefits, Increase Resulting from Prior Period Tax Positions 128.00M 2025-01-01 → 2025-12-31
Unrecognized Tax Benefits, Decrease Resulting from Prior Period Tax Positions 1.27B 2025-01-01 → 2025-12-31
Unrecognized Tax Benefits, Increase Resulting from Current Period Tax Positions 609.00M 2025-01-01 → 2025-12-31
Unrecognized Tax Benefits, Decrease Resulting from Settlements with Taxing Authorities 4.00M 2025-01-01 → 2025-12-31
Unrecognized Tax Benefits that Would Impact Effective Tax Rate 4.60B as of 2025-12-31
Financing Receivable, Held-for-Sale, Not Part of Disposal Group, after Valuation Allowance 13.84B as of 2025-12-31
Lessor, Operating Lease, Payment to be Received, Year One 3.64B as of 2025-12-31
Lessor, Operating Lease, Payment to be Received, Year Two 2.65B as of 2025-12-31
Lessor, Operating Lease, Payment to be Received, Year Three 1.02B as of 2025-12-31
Gain (Loss) on Sale of Financing Receivable 208.00M 2025-01-01 → 2025-12-31
Lessor, Operating Lease, Payment to be Received, Year Four 44.00M as of 2025-12-31
Lessor, Operating Lease, Payment to be Received, Year Five 4.00M as of 2025-12-31
Lessor, Operating Lease, Payment to be Received, after Year Five 0 as of 2025-12-31
Lessor, Operating Lease, Payments to be Received 7.35B as of 2025-12-31
Pension and Other Postretirement Benefits Cost (Reversal of Cost) 1.74B 2025-01-01 → 2025-12-31
Income Tax Examination, Penalties and Interest Expense 241.00M 2025-01-01 → 2025-12-31
Income Tax Examination, Penalties and Interest Accrued 1.90B as of 2025-12-31
Income (Loss) from Continuing Operations before Income Taxes, Domestic 56.18B 2025-01-01 → 2025-12-31
Income (Loss) from Continuing Operations before Income Taxes, Foreign 16.41B 2025-01-01 → 2025-12-31
Fair Value, Net Derivative Asset (Liability) Measured on Recurring Basis with Unobservable Inputs -3.08B as of 2025-12-31
Fair Value, Net Derivative Asset (Liability) Measured on Recurring Basis, Unobservable Inputs Reconciliation, Purchases 1.56B 2025-01-01 → 2025-12-31
Fair Value, Net Derivative Asset (Liability) Measured on Recurring Basis, Unobservable Inputs Reconciliation, Sales 3.67B 2025-01-01 → 2025-12-31
Fair Value, Net Derivative Asset (Liability) Measured on Recurring Basis, Unobservable Inputs Reconciliation, Settlements 2.44B 2025-01-01 → 2025-12-31
Fair Value, Net Derivative Asset (Liability) Measured on Recurring Basis, Unobservable Inputs Reconciliation, Transfers into Level 3 -70.00M 2025-01-01 → 2025-12-31
Fair Value, Net Derivative Asset (Liability) Measured on Recurring Basis, Unobservable Inputs Reconciliation, Transfers out of Level 3 -189.00M 2025-01-01 → 2025-12-31
Fair Value, Net Derivative Asset (Liability), Recurring Basis, Still Held, Unrealized Gain (Loss) 2.03B 2025-01-01 → 2025-12-31
Credit Derivative, Maximum Exposure, Undiscounted 628.13B as of 2025-12-31
Derivative, Net Liability Position, Aggregate Fair Value 19.99B as of 2025-12-31
Collateral Already Posted, Aggregate Fair Value 20.55B as of 2025-12-31
Derivative Liability, Fair Value, Gross Liability 589.02B as of 2025-12-31
Derivative Asset, Fair Value, Gross Asset 599.31B as of 2025-12-31
Securities Sold under Agreements to Repurchase, Gross Including Not Subject to Master Netting Arrangement 715.25B as of 2025-12-31
Securities Loaned, Gross Including Not Subject to Master Netting Arrangement 86.83B as of 2025-12-31
Unit US$ / share · 1 concept
Label Value Period
Preferred Stock, Redemption Price Per Share $10000.00 as of 2025-12-31
Unit pure · 28 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 0.037 2025-01-01 → 2025-12-31
Effective Income Tax Rate Reconciliation, Foreign Income Tax Rate Differential, Percent 0.019 2025-01-01 → 2025-12-31
EffectiveIncomeTaxRateReconciliationCrossBorderTaxEffectPercent -0.005 2025-01-01 → 2025-12-31
EffectiveIncomeTaxRateReconciliationTaxCreditEnergyRelatedPercent 0.016 2025-01-01 → 2025-12-31
Effective Income Tax Rate Reconciliation, Tax Credit, Other, Percent 0.014 2025-01-01 → 2025-12-31
Effective Income Tax Rate Reconciliation, Tax Credit, Percent 0.03 2025-01-01 → 2025-12-31
Effective Income Tax Rate Reconciliation, Tax Contingency, Percent -0.005 2025-01-01 → 2025-12-31
Effective Income Tax Rate Reconciliation, Tax Exempt Income, Percent 0.003 2025-01-01 → 2025-12-31
Effective Income Tax Rate Reconciliation, Change in Enacted Tax Rate, Percent -0.002 2025-01-01 → 2025-12-31
Effective Income Tax Rate Reconciliation, Change in Deferred Tax Assets Valuation Allowance, Percent 0.003 2025-01-01 → 2025-12-31
Effective Income Tax Rate Reconciliation, Other Adjustments, Percent -0.01 2025-01-01 → 2025-12-31
Effective Income Tax Rate Reconciliation, Percent 0.214 2025-01-01 → 2025-12-31
Operating Lease, Weighted Average Discount Rate, Percent 0.0443 as of 2025-12-31
Sensitivity Analysis of Fair Value, Transferor's Interests in Transferred Financial Assets, Impact of Other than 10 or 20 Percent Adverse Change in Prepayment Speed, Percent 0.0677 2025-01-01 → 2025-12-31
Defined Benefit Plan, Assumptions Used Calculating Benefit Obligation, Discount Rate 0.0539 as of 2025-12-31
Defined Benefit Plan, Assumptions Used Calculating Net Periodic Benefit Cost, Discount Rate 0.0549 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 0.0544 2025-01-01 → 2025-12-31
Debt Securities, Available-for-Sale, Weighted Average Yield, Maturity, Year One 0.0401 as of 2025-12-31
Debt Securities, Available-for-Sale, Weighted Average Yield, Maturity, after Year One Through Five 0.0407 as of 2025-12-31
Debt Securities, Available-for-Sale, Weighted Average Yield, Maturity, after Year 5 Through 10 0.0414 as of 2025-12-31
Debt Securities, Available-for-Sale, Weighted Average Yield, Maturity, after Year 10 0.0471 as of 2025-12-31
DebtSecuritiesAvailableForSaleWeightedAverageYield 0.0424 as of 2025-12-31
Debt Securities, Held-to-Maturity, Weighted Average Yield, Maturity, Year One 0.0127 as of 2025-12-31
Debt Securities, Held-to-Maturity, Weighted Average Yield, Maturity, after Year One Through Five 0.0267 as of 2025-12-31
Debt Securities, Held-to-Maturity, Weighted Average Yield, Maturity, after Year 5 Through 10 0.026 as of 2025-12-31
Debt Securities, Held-to-Maturity, Weighted Average Yield, Maturity, after Year 10 0.0317 as of 2025-12-31
DebtSecuritiesHeldToMaturityWeightedAverageYield 0.0277 as of 2025-12-31
Unit segment · 1 concept
Label Value Period
Number of Reportable Segments 3 2025-01-01 → 2025-12-31

Methodology

All facts on this page come straight from SEC EDGAR XBRL company-facts filings (JPM CIK 0000019617), 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.