CITIZENS FINANCIAL GROUP INCCFG

時価総額
$261.1億
PER
個人と中堅企業向けのリテール・コマーシャルバンキングの大手。預金、住宅ローン、商業ローン、資本市場・トレジャリーソリューションを展開。2022年2月の大手銀行東海岸支店買収、同年4月の地域銀行買収で支店網拡大。14州とワシントンD.C.に約1,000店で展開。
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
Cash and due from banks1,1711,0999559871,0811,1751,0371,1551,4891,7941,409
Interest-bearing cash and due from banks----------9,192
Interest-bearing deposits in banks370356439192148297306316303405635
Debt Securities, Available-for-Sale, Excluding Accrued Interest--------24,00729,77732,765
Debt securities held to maturity (fair value of $7,540 and $8,350, respectively, and including $83 and $204 pledged to creditors, respectively)--------9,8349,1848,599
Financing Receivable, Held-for-Sale2563255834971,2191,9463,5642,733774676858
Loans and leases--------156,662145,959139,203
Less: Allowance for loan and lease losses--------1,9832,0982,061
Net loans and leases--------154,679143,861137,142
Derivative Asset6296256276173178071,9151,216842440408
Premises and equipment, net595595601685791761759768844895875
Bank-owned life insurance1,5271,5641,6121,6561,6981,7251,7562,8433,2363,2913,364
Goodwill6,8766,8766,8766,8876,9237,0447,0507,1168,1738,1888,187
Other intangible assets--------197157146
Other assets2,4122,8412,9933,4294,7545,8788,0038,81013,08913,35913,941
TOTAL ASSETS132,857138,208149,520152,336160,518165,733183,349188,409226,733221,964217,521
Noninterest-bearing26,08627,64928,47229,27929,45829,23343,83149,44349,28337,10736,920
Interest-bearing69,62174,89081,33285,81090,11796,080103,333104,918131,441140,235137,856
Total deposits95,707102,539109,804115,089119,575125,313147,164154,361180,724177,342174,776
Short-Term Debt------243743505-
Derivative Liability6124856593102921201281971,9091,5621,220
Long-Term Debt4,6429,88612,79011,76514,43314,0478,3466,93215,88713,46712,401
Other liabilities1,6061,4901,4471,6602,0192,9124,1663,4254,5204,7464,870
TOTAL LIABILITIES113,589118,562129,773132,066139,701143,532160,676164,989203,043197,622193,267
Preferred Stock, Value, Issued-2472472478401,5701,9652,0142,0142,0142,113
Common Stock, Value, Issued66666666667
Additional paid-in capital18,67618,72518,72218,78118,81518,89118,94019,00522,14222,25022,364
Retained earnings1,2941,9132,7034,1645,3856,4986,4457,9789,1599,81610,412
Treasury stock, at cost, 209,524,943 and 181,411,665 shares at December 31, 2024 and 2023, respectively--------5,0715,9867,047
Accumulated other comprehensive income (loss)-372-387-668-820-1,096-411-60-665-4,560-3,758-3,595
TOTAL STOCKHOLDERS’ EQUITY19,26819,64619,74720,27020,81722,20122,67323,42023,69024,34224,254
TOTAL LIABILITIES AND STOCKHOLDERS’ EQUITY132,857138,208149,520152,336160,518165,733183,349188,409226,733221,964217,521