COMERICA INCCMA

Market cap
$11.3B
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 banks6689821,3951,1401,0261,1571,2491,4381,3909731,0311,2361,7581,443850
Interest-bearing deposits with banks-2,5743,0395,3115,0454,9905,9694,4073,1714,84514,73621,4434,5248,0595,954
Other short-term investments141149125112991139296134155172197157399375
Fair Value-----------16,98619,01216,86915,045
Commercial loans22,14524,99629,51328,81531,52031,65930,99431,06031,97631,47332,75329,36630,90927,25126,492
Real estate construction loans2,2531,5331,2401,7621,9552,0012,8692,9613,0773,4554,0822,9483,1055,0833,680
Commercial mortgage loans9,76710,2649,4728,7878,6048,9778,9319,1599,1069,5599,91211,25513,30613,68614,493
Lease financing1,009905859845805724572468507588594640760807722
International loans1,1321,1701,2931,3271,4961,3681,2589831,0131,0099261,2081,1971,102952
Residential mortgage loans1,6191,5261,5271,6971,8311,8701,9421,9881,9701,8451,8301,7711,8141,8891,929
Consumer loans2,3112,2852,1532,2372,3822,4852,5222,5542,5142,4402,1942,0972,3112,2952,271
Total loans--------------50,539
Less allowance for loan losses--------------690
Net loans--------------49,849
Premises and equipment630675622594532550501466475457459454400445473
Other Assets3,9094,5714,3533,8914,4384,1174,4404,4954,1114,8425,3605,6036,7637,1946,751
Total assets53,66761,00865,35965,22769,19071,87772,97871,56770,81873,40288,12994,61685,40685,83479,297
Noninterest-bearing deposits15,53819,76423,27923,87527,22430,83931,54032,07128,69027,38239,42045,80039,94527,84924,425
Money market and interest-bearing checking deposits--21,28422,33223,95423,53222,55621,50022,56024,52728,54031,34926,29028,24632,714
Savings deposits1,3971,5241,6061,6731,7521,8982,0642,1522,1722,1842,7103,1673,2252,3812,138
Customer certificates of deposit5,4825,8085,5315,0634,4213,5522,8062,1652,1312,9782,1331,9731,7623,7233,450
Other time deposits---------133--1244,5501,052
Foreign office time deposits--5023491353219158916650511332
Total interest-bearing deposits24,93327,99128,92329,41730,26229,01427,44525,83226,87129,91333,44936,53931,45238,91339,386
Total deposits40,47147,75552,20253,29257,48659,85358,98557,90355,56157,29572,86982,33971,39766,76263,811
Short-Term Debt-701102531162325104471--3,2113,565-
Other Liabilities1,1261,3711,3859861,5071,3831,0121,0691,2431,4401,4821,5842,5932,8952,270
Long-Term Debt6,1384,9444,7203,5432,6793,0585,1604,6226,4637,2695,7282,7963,0246,2066,673
Total liabilities47,87454,14058,41758,07461,78864,31765,18263,60463,31166,07580,07986,71980,22579,42872,754
Preferred Stock, Value, Issued----------394-394394394
Common Stock, Value, Issued1,0191,1411,1411,1411,1411,1411,1411,1411,1411,1411,141-1,1411,1411,141
Capital surplus1,4812,1702,1622,1792,1882,1732,1352,1222,1482,1742,185-2,2202,2242,218
Accumulated other comprehensive loss-389-356-413-391-412-429-383-451-609-235168-212-3,742-3,048-3,161
Retained earnings5,2475,5465,9316,3216,7447,0847,3317,8878,7819,5389,623-11,25811,72712,017
Less cost of common stock in treasury - 96,755,368 shares at 12/31/24 and 96,266,568 shares at 12/31/231,5651,6331,8792,0972,2592,4092,4282,7363,9545,2915,461-6,0906,0326,066
Total shareholders' equity5,7936,8686,9427,1537,4027,5607,7967,9637,5077,3278,0507,8975,1816,4066,543
Total liabilities and shareholders' equity53,66761,00865,35965,22769,19071,87772,97871,56770,81873,40288,12994,61685,40685,83479,297