CITIGROUP INCC

時価総額
$1817億
PER
証券開示・オープンデータ提供の金融規制分野の最大手。EDGARと開発者向けAPI、メール更新サービスを展開。自動化ツール規制や10リクエスト/秒制限を運用、1986年と1996年関連法を根拠とする対応。米国中心の運用。
2010年
12月31日
2011年
12月31日
2012年
12月31日
2013年
12月31日
2014年
12月31日
2015年
12月31日
2016年
12月31日
2017年
12月31日
2018年
12月31日
2019年
12月31日
2020年
12月31日
2021年
12月31日
2022年
12月31日
2023年
12月31日
2024年
12月31日
Net income before attribution of noncontrolling interests10,88311,2157,76013,9007,49817,33214,975-6,73818,08019,46711,08722,02514,9349,38112,833
Net income attributable to noncontrolling interests2811482192271859063603566407389153151
Net income10,88311,2157,76013,9007,49817,33214,975-6,73818,08019,46711,08722,02514,9349,38112,833
Income (loss) from discontinued operations, net of taxes215-17-148-90-2-54-58-111-8-4-207-231-1-2
Income from continuing operations—excluding noncontrolling interests10,67010,9557,69013,4037,31517,29614,970-6,68718,05319,40511,06721,94515,0769,22912,684
Net loss (gain) on sale of significant disposals-----3,210404602247---7007621,462-
Depreciation and amortization2,6642,8722,5073,3033,5893,5063,7203,6593,7543,9053,9373,9644,2624,5604,311
Deferred income taxes-964-74-4,0912,3803,0142,7941,45924,877-51-610-2,3331,413-1,141-2,416-1,896
Provisions for credit losses and for benefits and claims------------3,7785,2399,18610,109
Realized gains from sales of investments--------4211,4741,75666567188328
Other Asset Impairment Charges------------499323431
Goodwill impairment------------535--
Change in trading account assets-15,601-25,53829,195-35,00110,858-46,8302,7107,7263,46920,12498,997-43,0592,27377,83831,174
Change in trading account liabilities-8,458-2,972-10,533-6,78730,274-21,52421,533-14,99819,135-24,41148,133-6,4989,118-15,302-21,499
Change in brokerage receivables net of brokerage payables6,676-8,383-9456,4904,272-2,278-2,2265,307-6,16320,3773,066-1,412-7,9365,402-6,136
Change in loans held-for-sale (HFS)-2,483-1,0211,106-4,3211,1447,207-6,603-247-770909-1,2023,809-4,421-1,929776
Change in other assets--524-13,332-709326,8592,4895,791-4,7241,0122,1394,9926,3614,026
Change in other liabilities---1,457-7,8804,544-1,135-28-3,421-8711,8295586,8395,3433,587-7,692
Other, net--9,312-9,794-2,666-5,4336,732-7,0082,9567,559-16,955-4,1131,28717,922-6,739-14,051
Total adjustments----------32,242-31,68839,3049,993-82,645-32,353
Net cash provided by (used in) operating activities of continuing operations-----------20,62161,24925,069-73,416-19,669
Change in securities borrowed and purchased under agreements to resell--14,5384,27414,46722,895-17,1384,335-38,20619,362-43,390-32,576-38,11319,70171,638
Change in loans---------22,466-14,2491,17316,59144,52520,455
Purchase of portfolio of consumer loans--------------700
Proceeds from sales and securitizations of loans9,91810,0227,2879,1234,7529,61018,1408,3654,5492,8781,4952,9184,7094,8015,316
Net payment due to transfer of net liabilities associated with divestitures-------------1,393-
Purchases of investments------------218,747235,139250,932
Proceeds from sales of investments------------79,68741,88657,526
Proceeds from maturities of investments------------140,934200,437216,386
Purchases of investments------------42,9031,37316,492
Proceeds from maturities of investments------------12,18812,83827,729
Capital expenditures on premises and equipment and capitalized software2,3633,4483,6043,4903,3863,1982,7563,3613,7745,3363,4464,1195,6326,5836,500
Proceeds from Sale of Productive Assets2,6191,3231,089716623577667377212259501906356222
Other, net---------181-196-116-185791-835-2,512
Net cash provided by (used in) investing activities of continuing operations-----------95,312-124,905-79,455-8,45986,250
Dividends paid91071433146331,2532,2873,7975,0205,4475,3525,1985,0035,2125,199
Issuance of preferred stock--2,2504,2703,6996,2272,498--7931,4962,9953,300-2,7395,282
Redemption of preferred stock---94-----1,9801,5003,785-4,1455,050
Treasury stock acquired6158371,2325,4529,29014,54114,43317,5712,9257,6013,2501,9772,474
Stock tendered for payment of withholding taxes-230194452508428316405482364411337344329454
Change in securities loaned and sold under agreements to repurchase35,2778,81512,863-7,724-30,074-26,942-4,67514,45621,491-11,42933,186-8,24011,15975,663-23,352
Issuance of long-term debt33,67730,24227,84354,40566,83644,61963,80667,96060,65559,13476,45870,658104,74865,81999,075
Payments and redemptions of long-term debt75,91089,091117,57563,99458,92352,84355,46040,98658,13251,02963,40274,95057,08564,95992,957
Change in deposits9,06523,85864,62437,713-48,3368,55524,39430,41653,34857,420210,08144,96668,415-57,273-24,223
Change in short-term borrowings------------19,123-9,63911,048
Net cash provided by (used in) financing activities of continuing operations----------233,59517,272137,763687-38,304
Effect of exchange rate changes on cash, due from banks and deposits with banks----------908-1,966-1,198-3,38595-12,677
Change in cash, due from banks and deposits with banks---------5,814115,696-47,58279,992-81,09315,600
Income Taxes Paid, Net4,3072,7053,9004,4954,6324,9784,3592,0834,3134,8884,7974,0283,7335,7275,798
Cash paid during the year for interest23,20921,23019,73914,38312,86812,03112,06715,67522,96328,68213,2987,14322,61572,98988,027
Transfer of investment securities from HTM to AFS-------------3,324-
Transfer of investment securities from AFS to HTM------------21,688--
Decrease in net loans associated with divestitures reclassified to HFS-----------9,945---
Decrease in goodwill associated with divestitures reclassified to HFS------------876--
Transfers to loans HFS (Other assets) from loans HFI----------2,6147,4145,5827,8665,535
Transfers from loans HFS (Other assets) to loans HFI-------------322-
Increase (Decrease) in Deposits, Reclassifications to Held-For-Sale-----------8,40719,691--