BANK OF AMERICA CORPBAC

Market cap
$381.9B
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
Cash and due from banks----33,11831,26530,71929,48029,06330,15236,43029,22230,33427,89226,003
Interest-Bearing Deposits in Banks and Other Financial Institutions26,43326,00418,69411,540105,471128,088117,019127,954148,341131,408344,033318,999199,869305,181264,111
Cash and cash equivalents---------161,560380,463348,221230,203333,073290,114
Time Deposits And Other Short-Term Investments--------7,4947,1076,5467,1447,2598,3466,372
Federal Funds Sold and Securities Purchased under Agreements to Resell----191,823192,482198,224212,747261,131274,597304,058250,720267,574280,624274,709
Consolidated VIEs----------5,2255,0042,8166,0545,575
Debt Securities, Trading, and Equity Securities, FV-NI194,671169,319237,226200,993191,785176,527180,209209,358214,348229,826198,854247,080296,108277,354314,460
Derivative Asset73,00073,02353,49747,49552,68249,99042,50037,76243,70040,50047,20035,30048,60039,30040,900
Consolidated VIEs-------------5283
Carried at fair value------------229,994276,852358,607
Held-to-maturity, at cost (fair value $450,548 and $496,597)------------632,825594,555558,677
Total debt securities----380,461407,005430,731440,130441,753472,197684,850982,627862,819871,407917,284
Consolidated VIEs------------16,73818,27619,144
Loans and leases (includes $4,249 and $3,569 measured at fair value)------------1,045,7471,053,7321,095,835
Consolidated VIEs------------808832924
Allowance for loan and lease losses------------12,68213,34213,240
Loans and leases, net of allowance------------15,94117,45018,225
Premises and equipment, net14,30613,63711,85810,47510,0499,4859,1399,2479,90610,56111,00010,83311,51011,85512,168
Goodwill73,86169,96769,97669,84469,77769,76168,96968,95168,95168,95168,95169,02269,02269,02169,021
Loans held-for-sale (includes $2,214 and $2,059 measured at fair value)------------6,8716,0029,545
Other Receivables85,70466,99971,46759,44861,84558,31258,75961,62365,81455,93764,22172,26367,54381,88182,247
Consolidated VIEs----------1,387189116269319
Other Assets182,124145,686164,605124,090112,063108,582120,709132,741116,320129,690135,203163,869150,759160,875162,056
Consolidated VIEs----------28,55521,37018,87323,77324,119
Total assets2,264,9092,129,0462,209,9742,102,2732,104,5342,144,3162,187,7022,281,2342,354,5072,434,0792,819,6273,169,4953,051,3753,180,1513,261,519
Noninterest-bearing285,200332,228372,546373,092392,790422,237438,125430,650412,587403,305650,674784,189640,745530,619507,561
Interest-Bearing Deposit Liabilities, Domestic645,713624,814654,332667,714660,161703,761750,891796,576891,636940,7311,038,3411,165,9141,182,5901,273,9041,329,014
Noninterest-bearing6,1016,8397,5738,2337,5429,91612,03914,02414,06013,71917,69827,45720,48016,42716,297
Interest-bearing73,41669,16070,81070,23258,44361,34559,87968,29563,19377,04888,76786,88686,526102,877112,595
Total deposits1,010,4301,033,0411,105,2611,119,2711,118,9361,197,2591,260,9341,309,5451,381,4761,434,8031,795,4802,064,4461,930,3411,923,8271,965,467
Federal Funds Purchased and Securities Sold under Agreements to Repurchase----201,277174,291170,291176,865186,988165,109170,323192,329195,635283,887331,758
Trading Liabilities71,98560,50873,58783,46974,19266,96363,03181,18768,22083,27071,320100,69080,39995,53092,543
Derivative Liability55,91459,52046,01637,40746,90938,45039,50034,30037,90038,20045,50037,70044,80043,40039,353
Other Short-Term Borrowings----------454247422,9573,329
Accrued Liabilities and Other Liabilities----145,438146,286146,359152,123165,078182,798181,799200,419224,073207,527210,169
Consolidated VIEs----------7,0533,5874,5818,4568,457
Long-Term Debt448,431372,265275,585249,674243,139236,764216,823227,402229,340240,856262,934280,117275,982302,204283,279
Consolidated VIEs----------167131921
Consolidated VIEs----------7,5233,8414,63611,43211,807
Total liabilities2,036,6611,898,9451,973,0181,869,5881,861,0631,888,1111,920,8622,014,0882,089,1822,169,2692,546,7032,899,4292,778,1782,888,5052,965,960
Preferred Stock, Redeemable And NonRedeemable, Value--------------23,159
Common Stocks, Including Additional Paid in Capital----153,458151,042147,038138,089118,89691,72385,98262,39858,95356,36545,336
Retained earnings60,84960,52062,84372,49775,02488,564101,870113,816136,314156,319164,088188,064207,003224,672242,349
Accumulated other comprehensive income (loss)-66-5,437-2,797-8,457-4,320-5,674-7,288-7,082-12,211-6,633-1,656-5,104-21,156-17,788-15,285
Total shareholders’ equity228,248230,101236,956232,685243,471256,205266,840267,146265,325264,810272,924270,066273,197291,646295,559
Total liabilities and shareholders’ equity2,264,9092,129,0462,209,9742,102,2732,104,5342,144,3162,187,7022,281,2342,354,5072,434,0792,819,6273,169,4953,051,3753,180,1513,261,519