FITB Cash Flow Statement


* In Millions (except for per share items) of USD
Period Ending: LTM
(Last Twelve Months)
2023
12-31
2022
12-31
2021
12-31
2020
12-31
2019
12-31
2018
12-31
2017
12-31
2016
12-31
2015
12-31
2014
12-31
2013
12-31
2012
12-31
2011
12-31
2010
12-31
2009
12-31
2008
12-31
2007
12-31
2006
12-31
2005
12-31
2004
12-31
2003
12-31
2002
12-31
2001
12-31
2000
12-31
1999
12-31
1998
12-31
1997
12-31
1996
12-31
1995
12-31
1994
12-31
1993
12-31
1992
12-31
1991
12-31
1990
12-31
1989
12-31
Report Filing: 2024-02-27 2023-02-24 2022-02-25 2021-02-26 2020-03-02 2019-03-01 2018-02-28 2017-02-24 2016-02-25 2015-02-25 2014-02-24 2013-02-22 2012-02-29 2011-02-28 2010-02-26 2009-03-02 2008-02-22 2007-02-20 2006-02-16 2005-03-01 2004-02-26 2003-03-27 2002-03-12 2001-03-28 2000-03-30 1999-02-16 1998-03-12 1997-03-04 1996-02-28 1995-03-03 1994-02-17 1992-12-31 1991-12-31 1990-12-31 1989-12-31
Net Income/Starting Line 2349000000 2446000000 2770000000 1427000000 2512000000 2193000000 2194000000 1560000000 1706000000 1483000000 1826000000 1574000000 1298000000 753000000 737000000 -2113000000 1076000000 1188000000 1549000000 1525000000 1755000000 1635000000 1094000000 863000000 668000000 476100000 401200000 335100000 287700000 244500000 196400000 164100000 138200000 120400000 108300000
Cash From Operating Activities 4010000000 6428000000 2704000000 371000000 1824000000 2856000000 1494000000 2114000000 2418000000 2076000000 4595000000 2557000000 2366000000 3305000000 3794000000 3104000000 -686000000 3493000000 4186000000 3505000000 8114000000 2227000000 956000000 791000000 1038000000 404900000 702000000 247100000 460300000 441700000 176300000 237500000 187700000 156100000 161200000
Depreciation and Amortization 481000000 436000000 349000000 492000000 472000000 360000000 341000000 453000000 441000000 414000000 507000000 531000000 455000000 457000000 341000000 8000000 367000000 399000000 405000000 459000000 550000000 338000000 236000000 112000000 104000000 80500000 54200000 49700000 27600000 30000000 30400000 33100000 15100000 9900000 11100000
Deferred Income Tax -106000000 -60000000 -14000000 -162000000 -246000000 30000000 -251000000 -148000000 -71000000 79000000 253000000 271000000 437000000 176000000 184000000 -1140000000 -178000000 -21000000 -16000000 -13000000 44000000 279000000 254000000 320000000 255000000 83900000 77700000 74900000 65200000 44700000 24100000 4800000 -3300000 -2000000 -10700000
Stock Based Compensation 169000000 165000000 120000000 123000000 132000000 0 118000000 111000000 100000000 83000000 78000000 69000000 59000000 64000000 45000000 57000000 61000000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Non-Cash Items 629000000 3231000000 -282000000 -1015000000 -897000000 -451000000 -327000000 -57000000 46000000 808000000 2157000000 373000000 -176000000 1760000000 1485000000 5332000000 -1589000000 416000000 2968000000 1991000000 6209000000 326000000 -283000000 -167000000 426000000 3287800000 32300000 15900000 108900000 138300000 -55200000 40400000 55700000 39700000 36400000
Changes in Working Capital 488000000 210000000 -239000000 -494000000 -149000000 597000000 -581000000 195000000 196000000 -791000000 -226000000 -261000000 293000000 95000000 1002000000 960000000 -423000000 1281000000 -519000000 -691000000 57000000 109000000 -174000000 -334000000 -414000000 -3513600000 142900000 -223900000 -24300000 -15400000 -12800000 -3400000 -13800000 -12000000 16900000
Accounts Receivable 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Inventory 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Accounts Payable 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Deferred Revenue 488000000 210000000 -239000000 -494000000 -149000000 597000000 -581000000 195000000 196000000 -791000000 -226000000 -261000000 293000000 95000000 1002000000 960000000 -423000000 1281000000 -519000000 -691000000 57000000 109000000 -174000000 -334000000 -414000000 -3513600000 142900000 -223900000 -24300000 -15400000 -12800000 -3400000 0 -12000000 16900000
Other Working Capital 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 -13800000 0 0
Cash From Investing Activities -8989000000 -4871000000 -7968000000 -31902000000 -797000000 -4141000000 414000000 -2887000000 -3931000000 -8938000000 -10184000000 -6533000000 -5285000000 1708000000 1076000000 -5915000000 -6034000000 3198000000 -6244000000 -3738000000 -15016000000 -10022000000 773000000 -2518000000 -4532000000 -829100000 -742600000 -2893000000 -1509200000 -1878200000 -1306200000 -1065200000 -900800000 -739700000 -579000000
Investments in Property Plant and Equipment -516000000 -472000000 -309000000 -358000000 -304000000 -134000000 -231000000 -312000000 -249000000 -282000000 -480000000 -488000000 -378000000 -245000000 -248000000 -552000000 -631000000 -460000000 -437000000 -391000000 -284000000 -174000000 -128000000 -101000000 -116000000 -67800000 -42600000 -40300000 -33200000 -27600000 -43400000 -17400000 -11900000 -16100000 -15300000
Payments for Acquisitions 70000000 -851000000 -297000000 -4000000 1210000000 -43000000 -44000000 -219000000 458000000 279000000 674000000 393000000 0 -1951000000 546000000 66000000 -230000000 -5000000 0 0 67000000 55000000 -218000000 153000000 0 0 0 0 0 0 0 0 0 0 0
Purchases of Securities -20103000000 -29714000000 -12885000000 -36712000000 -14606000000 -15279000000 -15294000000 -24719000000 -21490000000 -13489000000 -18911000000 -7453000000 -5956000000 -5219000000 -126733000000 -79238000000 -15552000000 -5332000000 -7966000000 -13837000000 -36215000000 -32400000000 -23771000000 -9483000000 -7109000000 -3495800000 -2194300000 -2667200000 -983600000 -1794100000 -1121500000 -994900000 -1584500000 -893100000 -464400000
Proceeds from Sales and Maturities of Securities 7048000000 35165000000 9267000000 5458000000 13924000000 14885000000 16334000000 22164000000 20268000000 7798000000 13267000000 7050000000 6065000000 9060000000 121654000000 75112000000 15769000000 15639000000 11633000000 17565000000 31837000000 28091000000 24613000000 8269000000 7226000000 4342500000 2918600000 1497300000 1391400000 1109800000 1204200000 1558700000 934500000 585500000 432200000
Other Investing Activities 4512000000 -8999000000 -3744000000 -286000000 -1021000000 -3570000000 -351000000 199000000 -2918000000 -3244000000 -4734000000 -6035000000 -5016000000 63000000 5857000000 -1303000000 -5390000000 -6644000000 -9474000000 -7075000000 -10421000000 -5594000000 277000000 -1356000000 -4533000000 -1608000000 -1424300000 -1682800000 -1883800000 -1166300000 -1345500000 -1611600000 -238900000 -416000000 -531500000
Cash From Financing Activities 4655000000 -1085000000 5111000000 31400000000 -430000000 1452000000 -1786000000 625000000 962000000 6775000000 6326000000 3754000000 3423000000 -5172000000 -5291000000 2890000000 6670000000 -7032000000 2575000000 435000000 7370000000 7655000000 -1405000000 1499000000 3662000000 466700000 -48200000 2826300000 982400000 1536600000 1144900000 892400000 650000000 694500000 446700000
Debt Repayment -748000000 -1762000000 -3603000000 -2799000000 -4212000000 -2884000000 -1969000000 -5119000000 -2205000000 -1399000000 -2225000000 -3159000000 -1607000000 -2473000000 -11609000000 -2272000000 -5494000000 -6441000000 -3782000000 -6283000000 -2159000000 -635000000 -5555000000 -2014000000 -2830000000 -1473100000 -20100000 -15300000 -20100000 -232500000 -12100000 -200000 -700000 -700000 -500000
Common Stock Issued 5222000000 0 11103000000 346000000 6356000000 6423000000 2350000000 6890000000 4542000000 9340000000 10318000000 7927000000 1648000000 0 986000000 5874000000 14133000000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Common Stock Repurchased -200000000 -100000000 -1393000000 -346000000 -1763000000 -1453000000 -1605000000 -661000000 -850000000 -654000000 -1320000000 -650000000 -3408000000 0 -271000000 -9000000 -1084000000 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Dividends Paid -1060000000 -927000000 -897000000 -858000000 -753000000 0 -505000000 -454000000 -497000000 -490000000 -430000000 -344000000 -242000000 -237000000 -247000000 -706000000 -898000000 -867000000 -794000000 -704000000 -631000000 -553000000 -461000000 -318000000 -269000000 -167900000 -128700000 -110900000 -89100000 -73400000 -59300000 -51300000 -45000000 -38900000 -33100000
Other Financing Activities 1441000000 1704000000 -99000000 35057000000 -58000000 -69000000 -57000000 -31000000 -28000000 -22000000 -17000000 -20000000 7032000000 -2462000000 5850000000 3000000 13000000 276000000 7151000000 7422000000 10160000000 8843000000 4611000000 3831000000 6761000000 2107700000 100600000 2952500000 1091600000 1842500000 1216300000 943900000 695700000 734100000 480300000
Effect of Forex Changes on Cash 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Net Change in Cash -324000000 472000000 -153000000 -131000000 597000000 167000000 122000000 -148000000 -551000000 -87000000 737000000 -222000000 504000000 -159000000 -421000000 79000000 -50000000 -341000000 517000000 202000000 468000000 -140000000 324000000 -228000000 168000000 42500000 -88800000 180400000 -66500000 100100000 15000000 64700000 -63100000 110900000 28900000
Cash at Beginning of Period 3466000000 2994000000 3147000000 3278000000 2681000000 2514000000 2392000000 2540000000 3091000000 3178000000 2441000000 2663000000 2159000000 2318000000 2739000000 2660000000 2737000000 3078000000 2561000000 2359000000 1891000000 2031000000 1707000000 1213000000 1045000000 777400000 808900000 628500000 695000000 594900000 565900000 501200000 564200000 453400000 424400000
Cash at End of Period 3142000000 3466000000 2994000000 3147000000 3278000000 2681000000 2514000000 2392000000 2540000000 3091000000 3178000000 2441000000 2663000000 2159000000 2318000000 2739000000 2687000000 2737000000 3078000000 2561000000 2359000000 1891000000 2031000000 985000000 1213000000 819900000 720100000 808900000 628500000 695000000 580900000 565900000 501100000 564300000 453300000
Free Cash Flow 3494000000 5956000000 2395000000 13000000 1520000000 2722000000 1263000000 1802000000 2169000000 1794000000 4115000000 2069000000 1988000000 3060000000 3546000000 2552000000 -1317000000 3033000000 3749000000 3114000000 7830000000 2053000000 828000000 690000000 922000000 337100000 659400000 206800000 427100000 414100000 132900000 220100000 175800000 140000000 145900000
Operating Cash Flow 4010000000 6428000000 2704000000 371000000 1824000000 2856000000 1494000000 2114000000 2418000000 2076000000 4595000000 2557000000 2366000000 3305000000 3794000000 3104000000 -686000000 3493000000 4186000000 3505000000 8114000000 2227000000 956000000 791000000 1038000000 404900000 702000000 247100000 460300000 441700000 176300000 237500000 187700000 156100000 161200000
Capital Expenditure -516000000 -472000000 -309000000 -358000000 -304000000 -134000000 -231000000 -312000000 -249000000 -282000000 -480000000 -488000000 -378000000 -245000000 -248000000 -552000000 -631000000 -460000000 -437000000 -391000000 -284000000 -174000000 -128000000 -101000000 -116000000 -67800000 -42600000 -40300000 -33200000 -27600000 -43400000 -17400000 -11900000 -16100000 -15300000

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