CITIZENS FINANCIAL GROUP INCCFG

Market cap
$18.7B
P/E ratio
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
Cash and due from banks1,1711,0999559871,0811,1751,0371,1551,4891,794
Interest-bearing cash and due from banks2,1051,9862,7492,0003,0002,21111,6968,0039,0589,834
Interest-bearing deposits in banks370356439192148297306316303405
Debt Securities, Available-for-Sale, Excluding Accrued Interest--------24,00729,777
Debt Securities, Held-to-Maturity, Excluding Accrued Interest, after Allowance for Credit Loss--------9,8349,184
Loans held for sale, at fair value2563255834971,2191,9463,5642,733774676
Other loans held for sale2540422211011,384439735208103
Loans and leases--------156,662145,959
Less: Allowance for loan and lease losses--------1,9832,098
Net loans and leases--------154,679143,861
Derivative Asset6296256276173178071,9151,216842440
Premises and equipment, net595595601685791761759768844895
Bank-owned life insurance1,5271,5641,6121,6561,6981,7251,7562,8433,2363,291
Goodwill6,8766,8766,8766,8876,9237,0447,0507,1168,1738,188
Other intangible assets--------197157
Other assets2,4122,8412,9933,4294,7545,8788,0038,81013,08913,359
TOTAL ASSETS132,857138,208149,520152,336160,518165,733183,349188,409226,733221,964
Noninterest-bearing26,08627,64928,47229,27929,45829,23343,83149,44349,28337,107
Interest-bearing69,62174,89081,33285,81090,11796,080103,333104,918131,441140,235
Total deposits95,707102,539109,804115,089119,575125,313147,164154,361180,724177,342
Short-Term Debt------243743505
Derivative Liability6124856593102921201281971,9091,562
Long-Term Debt4,6429,88612,79011,76514,43314,0478,3466,93215,88713,467
Other liabilities1,6061,4901,4471,6602,0192,9124,1663,4254,5204,746
TOTAL LIABILITIES113,589118,562129,773132,066139,701143,532160,676164,989203,043197,622
Preferred Stock, Value, Issued-2472472478401,5701,9652,0142,0142,014
Common Stock, Value, Issued6666666666
Additional paid-in capital18,67618,72518,72218,78118,81518,89118,94019,00522,14222,250
Retained earnings1,2941,9132,7034,1645,3856,4986,4457,9789,1599,816
Treasury stock, at cost, 181,411,665 and 152,937,860 shares at December 31, 2023 and 2022, respectively--------5,0715,986
Accumulated other comprehensive income (loss)-372-387-668-820-1,096-411-60-665-4,560-3,758
TOTAL STOCKHOLDERS’ EQUITY19,26819,64619,74720,27020,81722,20122,67323,42023,69024,342
TOTAL LIABILITIES AND STOCKHOLDERS’ EQUITY132,857138,208149,520152,336160,518165,733183,349188,409226,733221,964