WELLS FARGO & COMPANYWFC

Market cap
$194.1B
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
Net income (loss) before noncontrolling interests12,66316,21119,36822,22423,60823,27622,04522,46022,87620,0413,58623,23812,88219,029
Provision for credit losses15,7537,8997,2172,3091,3952,4423,7702,5281,7442,68714,129-4,1551,5345,399
Changes in fair value of MSRs and LHFS carried at fair value1,0252952,3073,229-1,820-62-139-886-453-3,702-4,3211,1881,326-851
Depreciation, amortization and accretion1,9242,2082,8073,2932,5153,2884,9705,4065,5937,0758,7367,8906,8326,271
Deferred income tax expense (benefit)-4,287-3,5731,297-4,977-2,3542,265-1,793-666-1,9703,2463,3141,292-1,07550
Other, net--3,6619,3843,7606,4966,0869737,6305,500-5,25812,19414,524-7,149
Originations and purchases of loans held for sale-----------158,92374,91030,365
Proceeds from Sale and Collection, Loan, Held-for-Sale-----------101,29365,41826,793
Debt and equity securities, held for trading---------35,054-22,066-43,214-19,334-31,579-3,349
Derivative assets and liabilities-------2,0895,025-1,5132,6655,4922,472-7,856-4,155
Other assets19,63111,529-2,064-4,69310,6811,76414,2321,174-7,805-3,03412,304-15,4779,1376,838
Other accrued expenses and liabilities-1,7293,000-11,953-7,14515,548-6,964-7054,837-8652,4291,5201,467-2314,615
Net cash provided (used) by operating activities18,77213,66558,54057,641-----6,7302,051-11,52527,04840,358
Federal funds sold and securities purchased under resale agreements39,752-36,27092,94678,18441,77811,866-3,99113,4901,18421,933-36,46855170412,729
Proceeds from sales--------7,3209,38648,63817,95816,89514,651
Paydowns and maturities47,91952,61859,71250,73737,25733,91241,10545,71036,72546,54278,17475,70119,79114,872
Purchases--------60,06757,01591,545110,43140,10426,051
Paydowns and maturities---305,1685,2907,95710,67310,93413,68436,64179,51727,66618,372
Purchases---5,78247,01225,42423,593--8,64946,75571,2452,3604,225
Proceeds from sales and capital returns--------6,2426,14312,1874,9334,3262,244
Purchases--------6,4336,8658,6777,6806,9845,811
Loans originated by banking subsidiaries, net of principal collected-15,86935,68650,42043,74465,16257,01638,977-31718,61923,698-53,71828,80974,861-10,296
Proceeds from Sale, Loan and Lease, Held-for-Investment--6,8117,69421,56411,67210,06110,43916,29412,0389,35931,84712,4464,275
Purchases of loans--9,04011,5636,42413,7596,2213,7022,0882,0331,3133897411,637
Principal collected on nonbank entities’ loans15,5609,78225,08019,95513,58910,02311,6097,4486,7913,9127,9278,9855,1734,871
Loans originated by nonbank entities10,8367,52223,55517,31113,57012,44112,5336,8146,4825,27413,05211,2373,8243,476
Other, net-2,8001571,509-5817412,088508625769-1,465363-3,782-805-391
Net cash provided (used) by investing activities-3,675-35,044-139,890-153,492------29,631122,554-7,619-42,47616,043
Deposits23,92472,12882,76276,34289,13354,86782,76729,912-48,03436,13781,75578,582-98,494-25,812
Short-term borrowings11,308-6,2317,699-3,3908,03534,010-1,19814,0202,531-1,275-45,513-24,59016,56438,414
Proceeds from issuance3,48911,68727,69553,22742,15443,03090,11143,57547,59553,40038,1001,27553,73749,071
Repayment63,31750,55528,09325,42315,82927,33334,46280,80240,56560,99665,34747,13419,58722,886
Proceeds from issuance-2,5011,3773,1452,7752,9722,101677--3,1165,756-1,722
Redeemed--------2,1501,5503,6026,675-1,725
Cash dividends paid7378448921,0171,2351,4261,5661,6291,6221,3911,2901,2051,1151,141
Repurchased912,4163,9185,3569,4148,6978,1169,90820,63324,5333,41514,4646,03311,851
Cash dividends paid1,0452,5374,5655,9536,9087,4007,4727,4807,6928,1984,8522,4224,1784,789
Other, net---1365133-107-133-248-276-360-361-539-509
Net cash provided (used) by financing activities-26,13324,77583,77093,910------9,136-1,243-11,238-59,64520,494
Net change in cash, cash equivalents, and restricted cash---------42,660-32,037123,362-30,382-75,07376,895
Deposits23,92472,12882,76276,34289,13354,86782,76729,912-48,03436,13781,75578,582-98,494-25,812
Short-term borrowings11,308-6,2317,699-3,3908,03534,010-1,19814,0202,531-1,275-45,513-24,59016,56438,414
Proceeds from issuance3,48911,68727,69553,22742,15443,03090,11143,57547,59553,40038,1001,27553,73749,071
Repayment63,31750,55528,09325,42315,82927,33334,46280,80240,56560,99665,34747,13419,58722,886
Proceeds from issuance-2,5011,3773,1452,7752,9722,101677--3,1165,756-1,722
Redeemed--------2,1501,5503,6026,675-1,725
Cash dividends paid7378448921,0171,2351,4261,5661,6291,6221,3911,2901,2051,1151,141
Repurchased912,4163,9185,3569,4148,6978,1169,90820,63324,5333,41514,4646,03311,851
Cash dividends paid1,0452,5374,5655,9536,9087,4007,4727,4807,6928,1984,8522,4224,1784,789
Other, net---1365133-107-133-248-276-360-361-539-509
Net cash provided (used) by financing activities-26,13324,77583,77093,910------9,136-1,243-11,238-59,64520,494
Net change in cash, cash equivalents, and restricted cash---------42,660-32,037123,362-30,382-75,07376,895
Cash paid for interest8,3077,0115,2454,3213,9063,8165,5739,10314,36618,8348,4144,3848,28930,431
Income Taxes Paid, Net----------1,1753,1663,376-1,786
Cash paid for interest8,3077,0115,2454,3213,9063,8165,5739,10314,36618,8348,4144,3848,28930,431
Income Taxes Paid, Net----------1,1753,1663,376-1,786