AMERICAN EXPRESS COAXP

Market cap
$247.2B
P/E ratio
Dec 31,
2010
Dec 31,
2011
Dec 31,
2012
Dec 31,
2013
Dec 31,
2014
Dec 31,
2015
Dec 31,
2016
Dec 31,
2017
Dec 31,
2018
Dec 31,
2019
Dec 31,
2020
Dec 31,
2021
Dec 31,
2022
Dec 31,
2023
Dec 31,
2024
Net income4,0574,9354,4825,3595,8855,1635,4082,7366,9216,7593,1358,0607,5148,37410,129
Provisions for credit losses----------4,730-1,4192,1824,9235,185
Depreciation and amortization9179189911,0201,0121,0431,0951,3211,2931,1881,5431,6951,6261,6511,676
Stock-based compensation287301297350290234254282283283249330375450504
Deferred taxes------------2941,1891,329990
Other items-------783-455-426256772-365-664564
Originations of loans held-for-sale------------27754-
Proceeds from sales of loans held-for-sale------------27759-
Other assets590635-390-335-650-2,058-19262-7433681,785-1,068-1,3911,244-1,007
Accounts payable & other liabilities-2,893-358882,5941,0201,0725,505-4,1211,771-2,0255,3898,8155,065-2,897
Net cash provided by operating activities9,28810,475-------13,6325,59114,64521,07918,55914,050
Sale of investments---------22696226242
Maturities and redemptions of investments12,0666,0741,5621,2921,1162,0912,4292,4943,4997,3297,15920,0321,8923,8882,179
Purchase of investments7,8041,1584731,3488861,7132,1622,6125,43411,16620,5621,5174,1751,5721,593
Net increase in loans and Card Member receivables, including Card Member loans held for sale-------------25,12423,259
Purchase of premises and equipment, net of sales: 2024, $6; 2023, $2; 2022, $18871,1891,0531,0061,1951,3411,3751,0621,3101,6451,4781,5501,8551,5631,911
Acquisitions, net of cash acquired--------------454
Dispositions, net of cash disposed--------------594
Net cash used in investing activities-1,229-491--------16,70711,632-10,529-33,689-24,433-24,402
Increase (Decrease) in Deposits3,4068,2322,3001,1952,45910,878-1,93511,3855,5423,33013,542-2,46825,90218,91510,305
Proceeds from (Repayments of) Short-Term Debt1,056-2-1,0151,843-1,3741,395888-2,300-1483,316-4,627461-706-105207
Proceeds from long-term debt5,91813,98213,93411,99516,0209,9268,82432,76421,52412,706697,78823,23015,67412,602
Payments of long-term debt17,67021,02914,07614,76312,76819,6109,84824,08218,89513,85015,59311,66218,90610,70310,759
Proceeds from Issuance of Common Stock663594443721362193177129878644645628100
Repurchase of American Express common shares and other5902,3003,9523,9434,3894,4804,4314,300----3,5023,6506,020
Dividends paid8678619029391,0411,1721,2071,2511,3241,4221,4741,4481,5651,7801,999
Net cash provided by financing activities-8,084-1,384--------519-9,068-14,93324,50918,3794,436
Effect of foreign currency exchange rates on cash and cash equivalents---------232364-120-13177-40
Net (decrease) increase in cash and cash equivalents----------3,3628,519-10,93711,88612,682-5,956