JPMORGAN CHASE & COJPM

時価総額
$8194.8億
PER
金融情報提供サービスの有力企業。開示書類のAPI配信とダウンロード支援を展開。アクセス監視で10件/秒のレート制限を実施。1986年のComputer Fraud and Abuse Actに言及した米国中心に展開。
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 income17,37018,97621,28417,92321,76224,44224,73324,44132,47436,43129,13148,33437,67649,55258,471
Provision for credit losses16,639-3,3852253,1393,8275,3615,2904,8715,58517,480-9,2566,3899,32010,678
Depreciation and amortization4,0294,2574,1904,6694,7594,9405,4786,1797,7918,3688,6147,9327,0517,5127,938
Deferred tax (benefit)/expense-9681,6931,1308,0034,2101,3334,6512,3121,721949-3,9813,748-2,738-4,5342,004
Estimated bargain purchase gain associated with the First Republic acquisition-------------2,775103
Initial gain on the Visa share exchange--------------7,990
Other------1,785-1,799-2,136-2,717-1,996-1,649-3,274-5,174-4,301-1,985
Originations and purchases of loans held-for-sale37,08552,56134,02675,92867,52548,10961,10794,628102,14170,980166,504347,864149,167115,245212,238
Proceeds From Sales Securitizations And Paydowns Of Loans Held For Sale40,15554,09233,20273,56671,40749,36360,19693,27093,45379,182175,490336,413167,709116,430205,303
Trading assets72,082-36,4435,379-89,11024,814-62,21220,007-5,67338,371652148,749-85,71031,44974,09195,729
Securities borrowed3,92618,936-23,455-7,562-1,020-12,165-2,3138,6536,86127,63120,73445,635-20,20314,90218,762
Accrued interest and accounts receivable-443-8,655-1,7322,3403,637-22,6645,81515,8685,8497818,01212,40122,970-19,928-5,735
Other assets12,45215,4564,683-5269,1663,7014,517-4,3188,83317,94942,43411,7452,882-32,9707,650
Trading liabilities19,3447,905-3,921-9,77226,818-28,9725,198-26,25618,290-14,51677,198-23,19011,1705,3152,276
Accounts payable and other liabilities17,32535,203-13,069-5,7436,065-23,3613,740-8,51814,630-3527,82743,16258,614-25,388-90
Other operating adjustments-6,157-3,613-2,037442-5,122-1,8277,8032955,6933,115-3982,3394,5816,160
Net cash (used in)/provided by operating activities-3,75295,93225,079107,95336,59373,46620,196-2,50114,1876,046-79,91078,084107,11912,974-42,012
Federal funds sold and securities purchased under resale agreements-26,957-12,490-60,82147,72630,8483,190-17,46831,448-123,20172,396-47,11534,473-54,27839,740-18,706
Proceeds from paydowns and maturities7641894,1696,0996,2184,5632,9453,42321,36050,89748,62653,05699,363
Purchases---24,21410,3456,2041432,3499,36813,42712,400111,75633,6764,1414,709
Proceeds from paydowns and maturities92,74086,850112,63389,63190,66476,44865,95056,11737,40152,20057,67550,07539,15953,74438,499
Proceeds from sales--------46,06770,181149,758162,74884,616108,434104,625
Purchases--------95,091242,149397,145248,785126,258115,499352,712
Proceeds from Sale of Finance Receivables----------23,55935,84544,89247,31257,921
Other changes in loans, net------------91,797-128,968-88,343-83,176
Net cash used in First Republic Acquisition-------------9,9202,362
All other investing activities, net114633,400679-1,338-3,7032,8255634,9865,0357,34111,04411,93216,7402,146
Net cash (used in)/provided by investing activities54,002-170,752-119,825-150,501-165,636106,980-114,949-10,283-197,993-54,013-261,912-129,344-137,81967,643-163,403
Deposits-9,637203,42067,25081,47689,346-88,67897,33657,02226,728101,002602,765293,764-136,895-32,1963,299
Federal funds purchased and securities loaned or sold under repurchase agreements15,202-63,11626,546-58,86710,905-39,41513,007-6,73923,4151,34731,528-20,7998,45513,80180,288
Short-term borrowings--------18,476-4,4387,773--7,439
Short-term borrowings---------28,561--8,9841,934-
Beneficial interests issued by consolidated VIEs2,4261,165345-10,433-834-5,632-5,707-1,3771,7124,2891,347-4,2542,2059,0291,543
Proceeds from long-term borrowings55,18154,84486,27183,54678,51579,61183,07056,27171,66261,08578,68682,40978,44275,417109,915
Payments of long-term borrowings99,04382,07896,47360,49765,27567,24768,94983,07976,31369,610105,05554,93245,55664,88096,605
Proceeds from issuance of preferred stock--1,2343,8738,8475,893-1,2581,6965,0004,5007,350--2,500
Redemption of preferred stock352--1,800---1,2581,6964,0751,4302,5757,434-9,850
Treasury stock repurchased2,999------15,41019,98324,0016,51718,4083,1629,82418,830
Dividends paid1,4863,8955,1946,0566,9907,8738,4768,99310,10912,34312,69012,85813,56213,46314,783
All other financing activities, net-1,666-1,868-189-1,050-1,175-726-467407-1,430-1,146-927-1,477234-1,521-1,469
Net cash provided by/(used in) financing activities-49,217107,70687,70728,324118,228-187,51198,27114,64234,15832,987596,645275,993-126,257-25,57163,447
Effect of exchange rate changes on cash and due from banks and deposits with banks----------1829,155-11,508-16,6431,871-12,866
Net increase/(decrease) in cash and due from banks and deposits with banks----------15,162263,978213,225-173,60056,917-154,834
Cash interest paid--------21,15229,91813,0775,14223,14377,11499,642
Income Taxes Paid, Net----1,3929,4232,4054,3253,5425,6247,66118,7374,3559,90811,715