COMERICA INCCMA

時価総額
$113.2億
PER
商業銀行、リテール銀行、ウェルスマネジメントを手掛ける大手。預金・商業ローン・住宅ローン・クレジットカード・信託・投資運用を展開。総資産793億ドル(2024年12月31日)、2025年1月に5,000万ドルの自社株買いを発表、同年2月にASRで一部取得。米国中心に展開。
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 income2773935215415935214777431,2351,1984741,1681,151881698
Provision for credit losses--79462714724874-174537-384608949
Benefit for deferred income taxes-20279158-20130-71-51792412-8979-27-92-1
Depreciation and amortization12412213312212311812112112011410899928796
Net periodic defined benefit credit--818840486-18-18-29-25-81-91-27-47
Share-based compensation expense323737353838343948392441605254
Net amortization of securities-26-39-48-23-13-13-8-6-3-2-15-36-30-19-7
Net securities losses---------19-7-----19
Net gains (losses) on sales of foreclosed and other bank property----------1-23617
Net change in accrued income receivable-----------25-1315265-83
Net change in accrued expenses payable57593538-14-35374149-27-29132131348-157
Other, net-486-1132603243-105355-57-1843181114696145183
Net cash provided by operating activities1,2869027548366398624931,1031,6161,0909286346381,251601
Maturities and redemptions of investment securities available-for-sale2,1522,7793,8392,8491,7811,7031,6991,6151,7812,2623,3505,5362,5112,4852,213
Sales of investment securities available-for-sale--------------816
Purchases of investment securities available-for-sale-----------7,9367,470-1,332
Net change in loans-1,2596953,498-5493,1446441361751,0453242,136-4,0674,824-1,265-1,514
Proceeds from Sale of Foreclosed Assets---5520122022815834422
Net increase in premises and equipment92121-1027011995699086797082153153
Purchases of Federal Home Loan Bank stock-------424120151-131504613
Redemptions of Federal Home Loan Bank Stock--------------759
Proceeds from Life Insurance Policy--------9102016393035
Other, net-----------113-2-2-
Net cash provided by (used in) investing activities1,206-955-3,7381,174-3,743-3,255-270-138-1,156-4944,6021,723-9,9523,4943,261
Net change in deposits7713,2964,5201,2294,0132,529-998-1,180-2,0821,71115,5548,438-10,401-4,634-3,003
Net change in short-term borrowings-332-8240143-137-932-153427-71-3,211354-3,565
Maturities and redemptions of medium- and long-term debt----------1,6752,800-850500
Proceeds from Issuance of Long-Term Debt298---5961,0162,800-1,8501,050--5004,0001,000
Cash dividends paid on preferred stock38---------823232323
Repurchases of common stock41163082912602403105521,3381,3941997294317100
Stock tendered for payment of withholding taxes on common stock--------------14
Cash dividends paid on common stock347397123137147152180263402375369353371377
Proceeds from Issuance of Common Stock849---------434281822
Other, net----------1-422-
Net cash used in financing activities-6,0261,5263,962-932,7242,469848-2,338-1,74466113,6234,555-7,083-1,525-6,560
Net (decrease) increase in cash and cash equivalents---------------2,698
Interest paid22715113511410194111122261462203571301,4491,892
Income taxes paid108734611521888106336200266141157277317101