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BANK OF AMERICA CORP /DE/

CIK: 70858 SIC: 6021
$60.10B
Net Interest Income
$30.51B
Net Income
61.7%
Efficiency Ratio
1.76%
Net Int. Margin
10.1%
ROE
Financial Statements Annual (10-K)
Showing 5 of 17 annual reports available (2009 - 2025)
Breakdown TTM
(Dec 31, 2025)
FY 2025
(Dec 31, 2025)
FY 2024
(Dec 31, 2024)
FY 2023
(Dec 31, 2023)
FY 2022
(Dec 31, 2022)
FY 2021
(Dec 31, 2021)
Interest Income $138.57B $138.57B $146.61B $130.26B $72.56B $47.67B
Interest Expense $78.47B $78.47B $90.55B $73.33B $20.10B $4.74B
Net Interest Income $60.10B $60.10B $56.06B $56.93B $52.46B $42.93B
Non-Interest Income $53.00B $53.00B $45.83B $41.65B $42.49B $46.18B
+ Total Revenue $113.10B $113.10B $101.89B $98.58B $94.95B $89.11B
Revenue Growth % 0.0% 11.0% 3.4% 3.8% 6.6% nan%
Non-Interest Expense $69.73B $69.73B $66.81B $65.84B $61.44B $59.73B
Compensation & Benefits $42.35B $42.35B $40.18B $38.33B $36.45B $36.14B
Occupancy Expense $7.45B $7.45B $7.29B $7.16B $7.07B $7.14B
Marketing Expense $2.20B $2.20B $1.96B $1.93B $1.82B $1.94B
Professional Fees $2.58B $2.58B $2.67B $2.16B $2.14B $1.77B
Other Non-Interest Expense - $27.38B $26.63B $5.95B $4.02B $3.09B
Income Before Tax $37.70B $37.70B $29.25B $28.34B $30.97B $33.98B
Income Tax Expense $7.19B $7.19B $2.12B $1.83B $3.44B $2.00B
+ Net Income $30.51B $30.51B $27.13B $26.52B $27.53B $31.98B
Net Margin % 27.0% 27.0% 26.6% 26.9% 29.0% 35.9%
Basic EPS 3.86 3.86 3.25 3.10 3.21 3.60
Diluted EPS 3.81 3.81 3.21 3.08 3.19 3.57
Breakdown FY 2025
(Dec 31, 2025)
FY 2024
(Dec 31, 2024)
FY 2023
(Dec 31, 2023)
FY 2022
(Dec 31, 2022)
FY 2021
(Dec 31, 2021)
Cash & Due from Banks $28.59B $26.00B $27.89B $30.33B $29.22B
Interest-Bearing Deposits $203.25B $264.11B $305.18B $199.87B $319.00B
Fed Funds Sold & Repos $316.58B $274.71B $280.62B $267.57B $250.72B
Trading Assets $366.95B $314.46B $277.35B $296.11B $247.08B
Investment Securities - AFS $386.80B $346.43B - - -
Investment Securities - HTM $522.66B $558.68B $594.55B $632.83B $674.55B
Total Investment Securities $925.63B $917.28B $871.41B $862.82B $982.63B
Loans & Leases (Gross) $1,185.70B $1,095.84B $1,053.73B $1,045.75B $979.12B
Allowance for Loan Losses - - - - $12.39B
Loans & Leases (Net) $1,172.50B $1,082.60B $1,040.39B $1,033.07B $966.74B
Goodwill & Intangibles $69.02B $69.02B $69.02B $69.02B $69.02B
Premises & Equipment $12.52B $12.17B $11.86B $11.51B $10.83B
Other Assets $164.99B $162.06B $160.88B $150.76B $163.87B
Total Assets $3,411.74B $3,261.52B $3,180.15B $3,051.38B $3,169.49B
Total Deposits $2,018.73B $1,965.47B $1,923.83B $1,930.34B $2,064.45B
Fed Funds Purchased & Repos $344.72B $331.76B $283.89B $195.63B $192.33B
Trading Liabilities $106.00B $92.54B $95.53B $80.40B $100.69B
Long-term Debt $317.82B $283.28B $302.20B $275.98B $280.12B
Total Liabilities $3,108.49B $2,965.96B $2,888.51B $2,778.18B $2,899.43B
Common Stock $26.08B $45.34B $56.37B $58.95B $62.40B
Retained Earnings $261.69B $242.35B $224.67B $207.00B $188.06B
AOCI $-10.53B $-15.29B $-17.79B $-21.16B $-5.10B
Total Stockholders Equity $303.24B $295.56B $291.65B $273.20B $270.07B
Total Liabilities & Equity $3,411.74B $3,261.52B $3,180.15B $3,051.38B $3,169.49B
Breakdown TTM
(Dec 31, 2025)
FY 2025
(Dec 31, 2025)
FY 2024
(Dec 31, 2024)
FY 2023
(Dec 31, 2023)
FY 2022
(Dec 31, 2022)
FY 2021
(Dec 31, 2021)
Net Income $37.91B $30.51B $27.13B $26.52B $27.53B $31.98B
Depreciation & Amortization $4.01B $2.31B $2.19B $2.06B $1.98B $1.90B
Deferred Taxes $-137.00M $295.00M $-1.73B $-2.01B $739.00M $-838.00M
Stock-based Compensation $7.01B $4.00B $3.43B $2.94B $2.86B $2.77B
Net Change in Loans HFS $-10.89B $-4.21B $4.32B $-641.00M - -
Operating Cash Flow $-887.00M $12.61B $-8.80B $44.98B $-6.33B $-7.19B
Purchases of Securities - - - $98.00M $24.10B $362.74B
Maturities of Securities $59.24B $34.79B $34.59B $36.95B $63.85B $124.88B
Investing Cash Flow $-380.10B $-145.16B $-90.69B $-35.39B $-2.53B $-313.29B
Net Change in Deposits $123.50B $53.26B $41.64B $-6.51B $-134.19B $268.97B
Long-term Debt Issued $190.43B $99.87B $56.68B $65.40B $65.91B $76.67B
Long-term Debt Repaid $128.33B $76.03B $70.41B $44.57B $34.05B $46.83B
Preferred Stock Issued - $5.49B - - $4.43B $2.17B
Common Stock Repurchased $35.78B $21.43B $13.10B $4.58B $5.07B $25.13B
Financing Cash Flow $270.67B $69.95B $60.37B $93.34B $-106.04B $291.65B
Net Change in Cash $-98.91B $-58.27B $-42.96B $102.87B $-118.02B $-32.24B
SEC Filing Format - Data shown as it appears in the Q3 2025 (10-Q) filing Period ended: Sep 30, 2025
Condensed Consolidated Statements of Operations
Description Sep 30, 2025 Sep 30, 2025
Current Prior Year Current YTD Prior Year YTD
Total Revenue $28.09B $25.34B $81.92B $76.54B
Interest Expense $20.13B $23.52B $59.96B $68.93B
Income Before Tax $9.46B $7.32B $25.26B $22.15B
Income Tax Expense $987.00M $428.00M $2.28B $1.68B
Net Income $8.47B $6.90B $22.98B $20.47B
Basic EPS 1.08 0.82 2.89 2.42
Diluted EPS 1.06 0.81 2.85 2.40
Basic Shares Outstanding $7.47B $7.82B $7.57B $7.89B
Diluted Shares Outstanding $7.63B $7.90B $7.72B $7.96B
Condensed Consolidated Balance Sheets
Description Sep 30, 2025 Dec 31, 2024
Property Plant & Equipment $12.35B $12.17B
Goodwill $69.02B $69.02B
Total Assets $3,403.72B $3,261.52B
Long-term Debt $311.48B $283.28B
Total Liabilities $3,099.56B $2,965.96B
Common Stock $31.76B $45.34B
Retained Earnings $258.14B $242.35B
Total Stockholders Equity $304.15B $295.56B
Total Liabilities & Equity $3,403.72B $3,261.52B
Condensed Consolidated Statements of Cash Flows
Description Sep 30, 2025 Sep 30, 2025
Current Prior Year Current YTD Prior Year YTD
Net Income $8.47B $6.90B $22.98B $20.47B
Depreciation & Amortization - - $1.72B $1.63B
Stock-based Compensation - - $3.03B $2.54B
Deferred Income Tax - - $-255.00M $-1.23B
Operating Cash Flow - - $35.56B $-34.72B
Investing Cash Flow - - $-143.99B $-100.10B
Debt Repayment - - $57.89B $52.71B
Stock Repurchased - - $15.12B $9.57B
Financing Cash Flow - - $59.90B $97.14B
Net Change in Cash - - $-43.61B $-37.48B

All values are in USD (United States Dollars). Data is sourced from SEC EDGAR 10-K filings.

Annual data represents full fiscal year results. FY = Fiscal Year ending.

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