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BOFA Bank of America Corp

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  • 24.460
  • 0.0000.00%
15min DelayTrading Jan 28 09:31 ET
489.00BMarket Cap13.91P/E (TTM)

Bank of America Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
Assets
Cash, cash equivalents and federal funds sold
-8.17%571.2B
-8.17%571.2B
-4.11%641.45B
1.36%666.75B
-7.08%637.36B
23.17%622.04B
23.17%622.04B
37.18%668.97B
37.82%657.78B
17.92%685.93B
-Cash and cash equivalents
-13.16%296.49B
-13.16%296.49B
-15.56%303.74B
-13.76%329B
-17.17%321.26B
43.78%341.42B
43.78%341.42B
69.34%359.72B
86.24%381.49B
38.73%387.86B
-Money market investments
-2.11%274.71B
-2.11%274.71B
9.20%337.71B
22.25%337.75B
6.04%316.09B
4.88%280.62B
4.88%280.62B
12.35%309.25B
1.41%276.28B
-1.33%298.08B
Securities and investments
21.00%1.23T
21.00%1.23T
13.17%1.05T
12.95%1.03T
10.64%1.07T
-2.44%1.02T
-2.44%1.02T
-12.29%930.6B
-17.96%914.71B
-16.69%970.67B
-Trading securities
114.59%314.46B
114.59%314.46B
5.55%160.14B
-2.41%154.73B
-5.60%163.94B
-18.86%146.54B
-18.86%146.54B
-16.21%151.73B
-12.90%158.55B
-11.04%173.66B
-Available for sale securities
19.33%12.18B
19.33%12.18B
-2.15%9.72B
-2.78%9.76B
-93.81%10.05B
10.83%10.2B
10.83%10.2B
0.24%9.93B
19.31%10.04B
1,830.46%162.41B
-Held to maturity securities
-6.03%558.68B
-6.03%558.68B
-5.93%567.55B
-5.98%577.37B
-6.03%586.86B
-6.05%594.56B
-6.05%594.56B
-6.27%603.33B
-6.70%614.12B
-7.09%624.5B
-Short term investments
29.92%346.43B
29.92%346.43B
90.64%315.72B
120.67%291.3B
2,999.73%313.07B
20.77%266.65B
20.77%266.65B
-26.83%165.61B
-50.42%132.01B
-96.51%10.1B
Derivative assets
4.13%40.95B
4.13%40.95B
-27.98%34.18B
-22.63%35.96B
-11.51%36.24B
-19.16%39.32B
-19.16%39.32B
-34.04%47.46B
-25.10%46.48B
-15.10%40.95B
Net loan
4.35%1.08T
4.35%1.08T
2.75%1.06T
0.40%1.04T
0.24%1.03T
0.51%1.03T
0.51%1.03T
1.45%1.03T
1.95%1.03T
5.11%1.03T
-Gross loan
4.29%1.09T
4.29%1.09T
2.72%1.07T
0.42%1.05T
0.31%1.04T
0.57%1.04T
0.57%1.04T
1.53%1.04T
2.02%1.04T
5.09%1.04T
-Allowance for loans and lease losses
-0.75%13.2B
-0.75%13.2B
-0.22%13.21B
2.32%13.2B
5.68%13.18B
5.34%13.3B
5.34%13.3B
8.10%13.24B
8.24%12.9B
3.43%12.47B
Receivables
1.54%98.19B
1.54%98.19B
20.42%106.22B
9.57%95.82B
8.09%100.85B
19.18%96.7B
19.18%96.7B
-1.02%88.21B
-6.43%87.45B
-4.38%93.3B
-Accounts receivable
0.78%82.52B
0.78%82.52B
22.76%91.27B
9.43%80.98B
7.76%86.11B
21.23%81.88B
21.23%81.88B
-2.45%74.35B
-7.38%74B
-4.45%79.9B
-Other receivables
5.78%15.67B
5.78%15.67B
7.90%14.95B
10.35%14.84B
10.01%14.74B
9.01%14.82B
9.01%14.82B
7.40%13.86B
-0.84%13.45B
-3.98%13.4B
Net PPE
2.64%12.17B
2.64%12.17B
1.79%12.03B
1.96%11.92B
1.65%11.9B
3.00%11.86B
3.00%11.86B
6.33%11.82B
6.10%11.69B
8.21%11.71B
Goodwill and other intangible assets
0.00%69.02B
0.00%69.02B
0.00%69.02B
0.00%69.02B
-0.00%69.02B
-0.00%69.02B
-0.00%69.02B
-0.00%69.02B
-0.00%69.02B
0.00%69.02B
-Goodwill
0.00%69.02B
0.00%69.02B
0.00%69.02B
0.00%69.02B
-0.00%69.02B
-0.00%69.02B
-0.00%69.02B
-0.00%69.02B
-0.00%69.02B
0.00%69.02B
Other assets
-44.44%162.06B
-44.44%162.06B
13.96%350.32B
1.70%309.64B
6.41%314.75B
9.55%291.69B
9.55%291.69B
14.65%307.42B
11.95%304.47B
2.54%295.78B
Total assets
2.57%3.26T
2.57%3.26T
5.43%3.32T
4.32%3.26T
2.48%3.27T
4.22%3.18T
4.22%3.18T
2.61%3.15T
0.37%3.12T
-1.35%3.19T
Liabilities
Total deposits
2.16%1.97T
2.16%1.97T
2.43%1.93T
1.77%1.91T
1.89%1.95T
-0.34%1.92T
-0.34%1.92T
-2.76%1.88T
-5.40%1.88T
-7.82%1.91T
Federal funds purchased and securities sold under agreement to repurchase
16.86%331.76B
16.86%331.76B
32.34%397.96B
27.54%368.11B
4.86%329.66B
45.11%283.89B
45.11%283.89B
39.46%300.7B
41.27%288.63B
46.44%314.38B
Current debt and capital lease obligation
35.18%43.39B
35.18%43.39B
-4.37%38.44B
-1.43%40.43B
-31.24%38.9B
19.18%32.1B
19.18%32.1B
91.01%40.2B
47.09%41.02B
128.18%56.56B
-Current debt
35.18%43.39B
35.18%43.39B
-4.37%38.44B
-1.43%40.43B
-31.24%38.9B
19.18%32.1B
19.18%32.1B
91.01%40.2B
47.09%41.02B
128.18%56.56B
Trading liabilities
-3.13%92.54B
-3.13%92.54B
-4.38%98.32B
2.58%100.35B
23.66%114.33B
18.82%95.53B
18.82%95.53B
21.30%102.82B
0.53%97.82B
-21.06%92.45B
Derivative product liabilities
-9.39%39.35B
-9.39%39.35B
5.57%43.13B
-6.66%40.51B
0.58%40.4B
-3.09%43.43B
-3.09%43.43B
-18.54%40.86B
12.94%43.4B
-9.26%40.17B
Long term debt and capital lease obligation
-6.26%283.28B
-6.26%283.28B
2.26%296.93B
1.54%290.47B
4.39%296.35B
9.50%302.2B
9.50%302.2B
7.89%290.36B
3.76%286.07B
1.85%283.87B
-Long term debt
-6.26%283.28B
-6.26%283.28B
2.26%296.93B
1.54%290.47B
4.39%296.35B
9.50%302.2B
9.50%302.2B
7.89%290.36B
3.76%286.07B
1.85%283.87B
Long term provisions
----
----
-18.70%1.1B
-20.46%1.1B
-19.42%1.16B
-21.49%1.21B
-21.49%1.21B
-10.69%1.35B
-5.00%1.39B
4.21%1.44B
Other liabilities
2.00%210.44B
2.00%210.44B
8.00%221.56B
4.06%212.65B
-1.03%212.97B
-7.29%206.32B
-7.29%206.32B
-8.05%205.14B
-4.09%204.35B
-1.40%215.18B
Total liabilities
2.69%2.97T
2.69%2.97T
5.64%3.03T
4.37%2.96T
2.26%2.98T
3.97%2.89T
3.97%2.89T
2.23%2.87T
-0.09%2.84T
-1.92%2.91T
Shareholders'equity
Share capital
-19.19%68.5B
-19.19%68.5B
-14.35%72.89B
-9.04%77.92B
-3.45%82.71B
-2.96%84.76B
-2.96%84.76B
-3.94%85.11B
-3.35%85.66B
-1.66%85.66B
-common stock
-19.57%45.34B
-19.57%45.34B
-14.76%48.34B
-10.29%51.38B
-5.16%54.31B
-4.39%56.37B
-4.39%56.37B
-4.62%56.71B
-3.75%57.27B
-4.51%57.26B
-Preferred stock
-18.45%23.16B
-18.45%23.16B
-13.53%24.55B
-6.51%26.55B
0.00%28.4B
0.00%28.4B
0.00%28.4B
-2.53%28.4B
-2.53%28.4B
4.64%28.4B
Retained earnings
7.87%242.35B
7.87%242.35B
6.35%237.95B
6.96%233.6B
7.43%228.9B
8.54%224.67B
8.54%224.67B
10.79%223.75B
10.77%218.4B
10.44%213.06B
Gains losses not affecting retained earnings
14.07%-15.29B
14.07%-15.29B
34.22%-14.33B
15.01%-17.63B
2.54%-18.06B
15.92%-17.79B
15.92%-17.79B
-3.64%-21.79B
-24.40%-20.74B
-38.09%-18.53B
Total stockholders'equity
1.34%295.56B
1.34%295.56B
3.29%296.51B
3.73%293.89B
4.77%293.55B
6.75%291.65B
6.75%291.65B
6.51%287.06B
5.28%283.32B
5.09%280.2B
Total equity
1.34%295.56B
1.34%295.56B
3.29%296.51B
3.73%293.89B
4.77%293.55B
6.75%291.65B
6.75%291.65B
6.51%287.06B
5.28%283.32B
5.09%280.2B
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023
Assets
Cash, cash equivalents and federal funds sold -8.17%571.2B-8.17%571.2B-4.11%641.45B1.36%666.75B-7.08%637.36B23.17%622.04B23.17%622.04B37.18%668.97B37.82%657.78B17.92%685.93B
-Cash and cash equivalents -13.16%296.49B-13.16%296.49B-15.56%303.74B-13.76%329B-17.17%321.26B43.78%341.42B43.78%341.42B69.34%359.72B86.24%381.49B38.73%387.86B
-Money market investments -2.11%274.71B-2.11%274.71B9.20%337.71B22.25%337.75B6.04%316.09B4.88%280.62B4.88%280.62B12.35%309.25B1.41%276.28B-1.33%298.08B
Securities and investments 21.00%1.23T21.00%1.23T13.17%1.05T12.95%1.03T10.64%1.07T-2.44%1.02T-2.44%1.02T-12.29%930.6B-17.96%914.71B-16.69%970.67B
-Trading securities 114.59%314.46B114.59%314.46B5.55%160.14B-2.41%154.73B-5.60%163.94B-18.86%146.54B-18.86%146.54B-16.21%151.73B-12.90%158.55B-11.04%173.66B
-Available for sale securities 19.33%12.18B19.33%12.18B-2.15%9.72B-2.78%9.76B-93.81%10.05B10.83%10.2B10.83%10.2B0.24%9.93B19.31%10.04B1,830.46%162.41B
-Held to maturity securities -6.03%558.68B-6.03%558.68B-5.93%567.55B-5.98%577.37B-6.03%586.86B-6.05%594.56B-6.05%594.56B-6.27%603.33B-6.70%614.12B-7.09%624.5B
-Short term investments 29.92%346.43B29.92%346.43B90.64%315.72B120.67%291.3B2,999.73%313.07B20.77%266.65B20.77%266.65B-26.83%165.61B-50.42%132.01B-96.51%10.1B
Derivative assets 4.13%40.95B4.13%40.95B-27.98%34.18B-22.63%35.96B-11.51%36.24B-19.16%39.32B-19.16%39.32B-34.04%47.46B-25.10%46.48B-15.10%40.95B
Net loan 4.35%1.08T4.35%1.08T2.75%1.06T0.40%1.04T0.24%1.03T0.51%1.03T0.51%1.03T1.45%1.03T1.95%1.03T5.11%1.03T
-Gross loan 4.29%1.09T4.29%1.09T2.72%1.07T0.42%1.05T0.31%1.04T0.57%1.04T0.57%1.04T1.53%1.04T2.02%1.04T5.09%1.04T
-Allowance for loans and lease losses -0.75%13.2B-0.75%13.2B-0.22%13.21B2.32%13.2B5.68%13.18B5.34%13.3B5.34%13.3B8.10%13.24B8.24%12.9B3.43%12.47B
Receivables 1.54%98.19B1.54%98.19B20.42%106.22B9.57%95.82B8.09%100.85B19.18%96.7B19.18%96.7B-1.02%88.21B-6.43%87.45B-4.38%93.3B
-Accounts receivable 0.78%82.52B0.78%82.52B22.76%91.27B9.43%80.98B7.76%86.11B21.23%81.88B21.23%81.88B-2.45%74.35B-7.38%74B-4.45%79.9B
-Other receivables 5.78%15.67B5.78%15.67B7.90%14.95B10.35%14.84B10.01%14.74B9.01%14.82B9.01%14.82B7.40%13.86B-0.84%13.45B-3.98%13.4B
Net PPE 2.64%12.17B2.64%12.17B1.79%12.03B1.96%11.92B1.65%11.9B3.00%11.86B3.00%11.86B6.33%11.82B6.10%11.69B8.21%11.71B
Goodwill and other intangible assets 0.00%69.02B0.00%69.02B0.00%69.02B0.00%69.02B-0.00%69.02B-0.00%69.02B-0.00%69.02B-0.00%69.02B-0.00%69.02B0.00%69.02B
-Goodwill 0.00%69.02B0.00%69.02B0.00%69.02B0.00%69.02B-0.00%69.02B-0.00%69.02B-0.00%69.02B-0.00%69.02B-0.00%69.02B0.00%69.02B
Other assets -44.44%162.06B-44.44%162.06B13.96%350.32B1.70%309.64B6.41%314.75B9.55%291.69B9.55%291.69B14.65%307.42B11.95%304.47B2.54%295.78B
Total assets 2.57%3.26T2.57%3.26T5.43%3.32T4.32%3.26T2.48%3.27T4.22%3.18T4.22%3.18T2.61%3.15T0.37%3.12T-1.35%3.19T
Liabilities
Total deposits 2.16%1.97T2.16%1.97T2.43%1.93T1.77%1.91T1.89%1.95T-0.34%1.92T-0.34%1.92T-2.76%1.88T-5.40%1.88T-7.82%1.91T
Federal funds purchased and securities sold under agreement to repurchase 16.86%331.76B16.86%331.76B32.34%397.96B27.54%368.11B4.86%329.66B45.11%283.89B45.11%283.89B39.46%300.7B41.27%288.63B46.44%314.38B
Current debt and capital lease obligation 35.18%43.39B35.18%43.39B-4.37%38.44B-1.43%40.43B-31.24%38.9B19.18%32.1B19.18%32.1B91.01%40.2B47.09%41.02B128.18%56.56B
-Current debt 35.18%43.39B35.18%43.39B-4.37%38.44B-1.43%40.43B-31.24%38.9B19.18%32.1B19.18%32.1B91.01%40.2B47.09%41.02B128.18%56.56B
Trading liabilities -3.13%92.54B-3.13%92.54B-4.38%98.32B2.58%100.35B23.66%114.33B18.82%95.53B18.82%95.53B21.30%102.82B0.53%97.82B-21.06%92.45B
Derivative product liabilities -9.39%39.35B-9.39%39.35B5.57%43.13B-6.66%40.51B0.58%40.4B-3.09%43.43B-3.09%43.43B-18.54%40.86B12.94%43.4B-9.26%40.17B
Long term debt and capital lease obligation -6.26%283.28B-6.26%283.28B2.26%296.93B1.54%290.47B4.39%296.35B9.50%302.2B9.50%302.2B7.89%290.36B3.76%286.07B1.85%283.87B
-Long term debt -6.26%283.28B-6.26%283.28B2.26%296.93B1.54%290.47B4.39%296.35B9.50%302.2B9.50%302.2B7.89%290.36B3.76%286.07B1.85%283.87B
Long term provisions ---------18.70%1.1B-20.46%1.1B-19.42%1.16B-21.49%1.21B-21.49%1.21B-10.69%1.35B-5.00%1.39B4.21%1.44B
Other liabilities 2.00%210.44B2.00%210.44B8.00%221.56B4.06%212.65B-1.03%212.97B-7.29%206.32B-7.29%206.32B-8.05%205.14B-4.09%204.35B-1.40%215.18B
Total liabilities 2.69%2.97T2.69%2.97T5.64%3.03T4.37%2.96T2.26%2.98T3.97%2.89T3.97%2.89T2.23%2.87T-0.09%2.84T-1.92%2.91T
Shareholders'equity
Share capital -19.19%68.5B-19.19%68.5B-14.35%72.89B-9.04%77.92B-3.45%82.71B-2.96%84.76B-2.96%84.76B-3.94%85.11B-3.35%85.66B-1.66%85.66B
-common stock -19.57%45.34B-19.57%45.34B-14.76%48.34B-10.29%51.38B-5.16%54.31B-4.39%56.37B-4.39%56.37B-4.62%56.71B-3.75%57.27B-4.51%57.26B
-Preferred stock -18.45%23.16B-18.45%23.16B-13.53%24.55B-6.51%26.55B0.00%28.4B0.00%28.4B0.00%28.4B-2.53%28.4B-2.53%28.4B4.64%28.4B
Retained earnings 7.87%242.35B7.87%242.35B6.35%237.95B6.96%233.6B7.43%228.9B8.54%224.67B8.54%224.67B10.79%223.75B10.77%218.4B10.44%213.06B
Gains losses not affecting retained earnings 14.07%-15.29B14.07%-15.29B34.22%-14.33B15.01%-17.63B2.54%-18.06B15.92%-17.79B15.92%-17.79B-3.64%-21.79B-24.40%-20.74B-38.09%-18.53B
Total stockholders'equity 1.34%295.56B1.34%295.56B3.29%296.51B3.73%293.89B4.77%293.55B6.75%291.65B6.75%291.65B6.51%287.06B5.28%283.32B5.09%280.2B
Total equity 1.34%295.56B1.34%295.56B3.29%296.51B3.73%293.89B4.77%293.55B6.75%291.65B6.75%291.65B6.51%287.06B5.28%283.32B5.09%280.2B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------Unqualified Opinion--------

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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Dividend Kings of Canada Dividend Kings of Canada

Dividend Kings In Canada are companies that have increased their Dividend per share for the most consecutive years, reflecting a strong business model and robust financials, and are likely to outperform the market with less volatility. Dividend Kings In Canada are companies that have increased their Dividend per share for the most consecutive years, reflecting a strong business model and robust financials, and are likely to outperform the market with less volatility.