NORTHERN TRUST CORPNTRS

時価総額
$189.7億
PER
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
Cash and Due from Banks4,3153,7533,1623,0516,4455,3324,5184,5824,4594,3903,0574,6544,792
Federal Reserve and Other Central Bank Deposits-----26,67440,47930,08033,88655,50464,58240,03034,326
Interest-Bearing Deposits with Banks16,69618,80419,39714,92814,1434,8015,6124,2644,8774,3731,9491,9411,939
Federal Funds Sold-----------32-
Securities Purchased under Agreements to Resell---------1,5976861,070785
Available for Sale (Amortized cost of $23,659.0 and $27,760.0)----------38,01126,70023,090
Held to Maturity (Fair value of $24,473.0 and $22,879.3)----------23,56525,03626,222
Trading Account8825101001095-
Total Debt Securities31,00031,03430,72033,73437,56744,50146,79251,24351,16159,81461,57551,83149,312
Total loans and leases----------40,48142,89347,617
Allowance for Credit Losses---------199151161192
Buildings and Equipment495470459444447467465428483515489501502
Client Security Settlement Receivables7782,0491,3551,5692,1571,0441,6471,6468461,1601,9411,698213
Goodwill532538541533526519606669697707706691702
Other Assets4,0693,9304,7645,8654,4644,9544,6875,7578,4018,3858,5749,85510,788
Total Assets100,22497,464102,947109,947116,750123,927138,591132,213136,828170,004183,890155,037150,783
Demand and Other Noninterest-Bearing22,79220,51916,88922,81523,43622,19018,71214,50814,11517,72922,02816,58314,246
Deposits, Savings Deposits17,47115,19014,99215,91615,03616,50916,97514,61221,44228,63235,00331,12925,252
Time Deposits3,0582,4661,8741,7571,4561,3321,1526899879378431,9814,110
Non U.S. Offices — Noninterest-Bearing3,4883,5131,8822,7236,7207,9739,8798,22012,17725,38226,2878,7588,585
— Interest-Bearing35,86839,72048,46247,54550,22253,64865,67266,46860,40071,19875,76765,48263,971
Total Deposits82,67881,40884,09890,75796,869101,652112,391104,497109,121143,878159,928123,932116,164
Federal Funds Purchased8157809659333522052,2862,59455326001,8973,045
Securities Sold Under Agreements to Repurchase1,19970091788554747483416849040532567785
Other Borrowings9323671,5591,6854,0555,1106,0517,9026,7454,0123,5847,5926,568
Senior Notes2,1272,4061,9971,4971,4971,4971,4972,0112,5733,1222,5062,7242,773
Long-Term Debt--------1,1481,1891,1462,066-
Long-Term Debt------------4,065
Other Liabilities2,9462,5773,5133,8483,0763,6123,5883,1424,8315,5374,1784,9985,485
Total Liabilities93,10689,93795,035101,498108,044114,157128,374121,704125,737158,316171,873143,777138,885
Series D Preferred Stock-----494494494494494494494494
Series E Preferred Stock--------391391391391391
Preferred Stock---389389--------
Common Stock409409409409409409409409409409409409409
Additional Paid-In Capital---1,0511,0721,0361,0471,0691,0139649399841,010
Retained Earnings6,3026,7037,1357,6258,2438,9089,68510,77711,65712,20813,11713,79914,234
Accumulated Other Comprehensive Loss-346-283-244-320-373-370-414-454-195428-36-1,569-1,138
Treasury Stock2263144237051,0341,0941,3922,1743,0663,2053,2983,2473,501
Total Stockholders’ Equity7,1177,5277,9128,4498,7069,77010,21610,50811,09111,68812,01711,26011,898
Total Liabilities and Stockholders’ Equity100,22497,464102,947109,947116,750123,927138,591132,213136,828170,004183,890155,037150,783