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FIFTH THIRD BANCORP DEP SHS REPR 1/1000TH OWNERSHIP INT PFD (FITBI)

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  • 25.330
  • +0.010+0.04%
Close Apr 17 16:00 ET
  • 25.330
  • 0.0000.00%
Post 16:10 ET
455.94MMarket Cap0.00P/E (TTM)

FIFTH THIRD BANCORP DEP SHS REPR 1/1000TH OWNERSHIP INT PFD (FITBI) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2026
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
Assets
Cash cash equivalents and federal funds sold
16.29%4.08B
13.94%4.01B
13.94%4.01B
-8.34%3.41B
4.22%3.48B
6.59%3.51B
-3.41%3.52B
-3.41%3.52B
11.52%3.72B
7.99%3.34B
-Cash and cash equivalents
35.73%4.08B
16.09%3.5B
16.09%3.5B
-9.77%2.9B
4.76%2.97B
7.62%3.01B
-4.07%3.01B
-4.07%3.01B
13.32%3.22B
9.37%2.84B
-Restricted cash and investments
----
1.00%507M
1.00%507M
0.80%506M
1.20%507M
0.80%503M
0.80%502M
0.80%502M
1.21%502M
0.80%501M
Receivables
13.21%3.52B
1.98%6.65B
1.98%6.65B
11.93%3.2B
17.33%3.16B
21.71%3.11B
16.65%6.52B
16.65%6.52B
9.62%2.86B
1.62%2.69B
-Accounts receivable
----
1.92%3.24B
1.92%3.24B
----
----
----
13.30%3.18B
13.30%3.18B
----
----
-Other receivables
13.21%3.52B
2.03%3.41B
2.03%3.41B
11.93%3.2B
17.33%3.16B
21.71%3.11B
21.54%3.35B
21.54%3.35B
9.62%2.86B
1.62%2.69B
Prepaid assets
----
16.90%166M
16.90%166M
----
----
----
-0.70%142M
-0.70%142M
----
----
Net loan
46.09%171.17B
2.59%117.88B
2.59%117.88B
5.46%118.24B
4.76%117.47B
4.66%117.17B
1.94%114.91B
1.94%114.91B
-3.14%112.12B
-4.71%112.13B
-Gross loan
45.64%174.09B
2.45%120.12B
2.45%120.12B
5.32%120.49B
4.77%119.87B
4.62%119.54B
1.92%117.24B
1.92%117.24B
-3.11%114.41B
-4.64%114.41B
-Allowance for loans and lease losses
23.40%2.92B
-4.32%2.24B
-4.32%2.24B
-1.92%2.25B
5.36%2.4B
2.82%2.37B
1.17%2.34B
1.17%2.34B
-1.42%2.29B
-1.47%2.27B
Securities and investments
23.22%82.22B
-1.73%69.98B
-1.73%69.98B
-11.37%65.86B
-11.70%63.86B
-9.69%66.73B
-5.83%71.21B
-5.83%71.21B
10.07%74.31B
18.75%72.33B
-Trading securities
44.00%1.67B
-10.80%1.06B
-10.80%1.06B
7.65%1.27B
16.96%1.32B
0.70%1.16B
31.81%1.19B
31.81%1.19B
-3.76%1.18B
-0.61%1.13B
-Available for sale securities
10.12%544M
11.71%3.2B
11.71%3.2B
-32.94%287M
-15.13%404M
30.00%494M
-2.65%2.86B
-2.65%2.86B
71.20%428M
43.81%476M
-Held to maturity securities
50.95%16.39B
-4.54%10.77B
-4.54%10.77B
-3.77%10.89B
-3.55%11B
-5.44%10.86B
563,800.00%11.28B
563,800.00%11.28B
565,900.00%11.32B
570,150.00%11.41B
-Short term investments
17.34%63.62B
-1.66%54.96B
-1.66%54.96B
-12.99%53.41B
-13.79%51.14B
-10.93%54.22B
-22.14%55.89B
-22.14%55.89B
-7.05%61.39B
-0.20%59.32B
Federal home loan bank stock
----
-39.49%167M
-39.49%167M
31.64%362M
2.39%300M
6.64%321M
23.21%276M
23.21%276M
-2.14%275M
-13.57%293M
Derivative assets
----
-24.43%1.87B
-24.43%1.87B
----
----
----
-7.66%2.47B
-7.66%2.47B
----
----
Bank owned life insurance
----
1.69%2.17B
1.69%2.17B
----
----
----
1.52%2.14B
1.52%2.14B
----
----
Net PPE
16.42%3.28B
12.56%3.74B
12.56%3.74B
9.06%3.03B
4.42%2.9B
0.61%2.82B
0.03%3.32B
0.03%3.32B
-0.04%2.78B
-1.10%2.78B
-Gross PPE
16.42%3.28B
8.12%7.92B
8.12%7.92B
-54.99%3.03B
-56.55%2.9B
-57.59%2.82B
2.52%7.33B
2.52%7.33B
2.95%6.74B
2.31%6.68B
-Accumulated depreciation
----
-4.44%-4.19B
-4.44%-4.19B
----
----
----
-4.68%-4.01B
-4.68%-4.01B
-5.15%-3.96B
-4.89%-3.9B
Foreclosed assets
----
-3.13%31M
-3.13%31M
----
----
----
-17.95%32M
-17.95%32M
----
----
Goodwill and other intangible assets
91.84%12.78B
-1.46%6.61B
-1.46%6.61B
-0.72%6.62B
-1.98%6.62B
-1.86%6.66B
-1.02%6.71B
-1.02%6.71B
-2.98%6.67B
-1.07%6.76B
-Goodwill
102.64%9.97B
0.59%4.95B
0.59%4.95B
0.59%4.95B
0.00%4.92B
0.00%4.92B
-0.02%4.92B
-0.02%4.92B
-0.02%4.92B
-0.02%4.92B
-Other intangible assets
61.38%2.82B
-7.08%1.67B
-7.08%1.67B
-4.39%1.68B
-7.29%1.7B
-6.73%1.75B
-3.65%1.79B
-3.65%1.79B
-10.42%1.75B
-3.77%1.84B
Other assets
61.80%19.98B
-5.20%237M
-5.20%237M
5.08%12.18B
-5.77%12.19B
-4.51%12.35B
-9.09%250M
-9.09%250M
-16.15%11.59B
-0.27%12.94B
Total assets
39.67%297.04B
0.68%214.38B
0.68%214.38B
-0.66%212.9B
-1.53%209.99B
-0.86%212.67B
-0.77%212.93B
-0.77%212.93B
0.63%214.32B
2.89%213.26B
Liabilities
Total deposits
41.16%233.62B
2.73%171.82B
2.73%171.82B
-1.05%166.57B
-1.54%164.21B
-2.41%165.51B
-0.98%167.25B
-0.98%167.25B
0.40%168.34B
1.61%166.77B
Federal funds purchased and securities sold under agreement to repurchase
----
12.58%537M
12.58%537M
0.41%492M
1.82%503M
-10.81%520M
-8.80%477M
-8.80%477M
-6.67%490M
-6.08%494M
Current debt and capital lease obligation
-75.04%1.29B
-91.10%370M
-91.10%370M
355.83%4.77B
1.09%3.07B
104.11%5.16B
64.48%4.16B
64.48%4.16B
-75.53%1.05B
-43.16%3.04B
-Current debt
-75.04%1.29B
-91.10%370M
-91.10%370M
355.83%4.77B
1.09%3.07B
104.11%5.16B
64.48%4.16B
64.48%4.16B
-75.53%1.05B
-43.16%3.04B
Long term debt and capital lease obligation
28.98%18.75B
-5.22%13.59B
-5.22%13.59B
-20.00%13.68B
-11.05%14.49B
-5.86%14.54B
-12.47%14.34B
-12.47%14.34B
4.82%17.1B
32.70%16.29B
-Long term debt
28.98%18.75B
-5.22%13.59B
-5.22%13.59B
-20.00%13.68B
-11.05%14.49B
-5.86%14.54B
-12.47%14.34B
-12.47%14.34B
4.82%17.1B
32.70%16.29B
Derivative product liabilities
----
0.00%19M
0.00%19M
--0
--0
--0
533.33%19M
533.33%19M
--57M
-69.30%35M
Other liabilities
37.92%6.64B
-13.61%4.24B
-13.61%4.24B
-2.77%4.35B
-13.85%4.63B
-10.47%4.82B
0.84%4.9B
0.84%4.9B
-23.02%4.47B
1.03%5.37B
Total liabilities
36.75%262.93B
-0.33%192.65B
-0.33%192.65B
-0.90%191.8B
-2.66%188.87B
-1.65%192.27B
-1.08%193.28B
-1.08%193.28B
-1.47%193.53B
2.41%194.04B
Shareholders'equity
Share capital
14.40%4.77B
-8.30%3.82B
-8.30%3.82B
-8.30%3.82B
0.00%4.17B
0.00%4.17B
0.00%4.17B
0.00%4.17B
0.00%4.17B
0.00%4.17B
-common stock
26.04%2.59B
0.00%2.05B
0.00%2.05B
0.00%2.05B
0.00%2.05B
0.00%2.05B
0.00%2.05B
0.00%2.05B
0.00%2.05B
0.00%2.05B
-Preferred stock
3.12%2.18B
-16.35%1.77B
-16.35%1.77B
-16.35%1.77B
0.00%2.12B
0.00%2.12B
0.00%2.12B
0.00%2.12B
0.00%2.12B
0.00%2.12B
Paid-in capital
313.09%15.59B
0.71%3.83B
0.71%3.83B
0.77%3.81B
0.80%3.79B
0.83%3.77B
1.25%3.8B
1.25%3.8B
1.37%3.78B
1.51%3.76B
Retained earnings
3.57%25.25B
5.54%25.49B
5.54%25.49B
5.19%25.06B
5.00%24.72B
4.96%24.38B
5.01%24.15B
5.01%24.15B
4.72%23.82B
5.26%23.54B
Less: Treasury stock
3.02%8.26B
5.94%8.31B
5.94%8.31B
10.17%8.31B
9.03%8.01B
10.96%8.02B
7.96%7.84B
7.96%7.84B
3.81%7.54B
1.10%7.35B
Gains losses not affecting retained earnings
16.97%-3.23B
32.92%-3.11B
32.92%-3.11B
4.93%-3.28B
27.65%-3.55B
20.32%-3.9B
-3.32%-4.64B
-3.32%-4.64B
49.61%-3.45B
5.13%-4.9B
Total stockholders'equity
67.16%34.11B
10.58%21.72B
10.58%21.72B
1.55%21.11B
9.87%21.12B
7.28%20.4B
2.47%19.65B
2.47%19.65B
25.63%20.78B
7.96%19.23B
Total equity
67.16%34.11B
10.58%21.72B
10.58%21.72B
1.55%21.11B
9.87%21.12B
7.28%20.4B
2.47%19.65B
2.47%19.65B
25.63%20.78B
7.96%19.23B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
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
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Mar 31, 2026(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024
Assets
Cash cash equivalents and federal funds sold 16.29%4.08B13.94%4.01B13.94%4.01B-8.34%3.41B4.22%3.48B6.59%3.51B-3.41%3.52B-3.41%3.52B11.52%3.72B7.99%3.34B
-Cash and cash equivalents 35.73%4.08B16.09%3.5B16.09%3.5B-9.77%2.9B4.76%2.97B7.62%3.01B-4.07%3.01B-4.07%3.01B13.32%3.22B9.37%2.84B
-Restricted cash and investments ----1.00%507M1.00%507M0.80%506M1.20%507M0.80%503M0.80%502M0.80%502M1.21%502M0.80%501M
Receivables 13.21%3.52B1.98%6.65B1.98%6.65B11.93%3.2B17.33%3.16B21.71%3.11B16.65%6.52B16.65%6.52B9.62%2.86B1.62%2.69B
-Accounts receivable ----1.92%3.24B1.92%3.24B------------13.30%3.18B13.30%3.18B--------
-Other receivables 13.21%3.52B2.03%3.41B2.03%3.41B11.93%3.2B17.33%3.16B21.71%3.11B21.54%3.35B21.54%3.35B9.62%2.86B1.62%2.69B
Prepaid assets ----16.90%166M16.90%166M-------------0.70%142M-0.70%142M--------
Net loan 46.09%171.17B2.59%117.88B2.59%117.88B5.46%118.24B4.76%117.47B4.66%117.17B1.94%114.91B1.94%114.91B-3.14%112.12B-4.71%112.13B
-Gross loan 45.64%174.09B2.45%120.12B2.45%120.12B5.32%120.49B4.77%119.87B4.62%119.54B1.92%117.24B1.92%117.24B-3.11%114.41B-4.64%114.41B
-Allowance for loans and lease losses 23.40%2.92B-4.32%2.24B-4.32%2.24B-1.92%2.25B5.36%2.4B2.82%2.37B1.17%2.34B1.17%2.34B-1.42%2.29B-1.47%2.27B
Securities and investments 23.22%82.22B-1.73%69.98B-1.73%69.98B-11.37%65.86B-11.70%63.86B-9.69%66.73B-5.83%71.21B-5.83%71.21B10.07%74.31B18.75%72.33B
-Trading securities 44.00%1.67B-10.80%1.06B-10.80%1.06B7.65%1.27B16.96%1.32B0.70%1.16B31.81%1.19B31.81%1.19B-3.76%1.18B-0.61%1.13B
-Available for sale securities 10.12%544M11.71%3.2B11.71%3.2B-32.94%287M-15.13%404M30.00%494M-2.65%2.86B-2.65%2.86B71.20%428M43.81%476M
-Held to maturity securities 50.95%16.39B-4.54%10.77B-4.54%10.77B-3.77%10.89B-3.55%11B-5.44%10.86B563,800.00%11.28B563,800.00%11.28B565,900.00%11.32B570,150.00%11.41B
-Short term investments 17.34%63.62B-1.66%54.96B-1.66%54.96B-12.99%53.41B-13.79%51.14B-10.93%54.22B-22.14%55.89B-22.14%55.89B-7.05%61.39B-0.20%59.32B
Federal home loan bank stock -----39.49%167M-39.49%167M31.64%362M2.39%300M6.64%321M23.21%276M23.21%276M-2.14%275M-13.57%293M
Derivative assets -----24.43%1.87B-24.43%1.87B-------------7.66%2.47B-7.66%2.47B--------
Bank owned life insurance ----1.69%2.17B1.69%2.17B------------1.52%2.14B1.52%2.14B--------
Net PPE 16.42%3.28B12.56%3.74B12.56%3.74B9.06%3.03B4.42%2.9B0.61%2.82B0.03%3.32B0.03%3.32B-0.04%2.78B-1.10%2.78B
-Gross PPE 16.42%3.28B8.12%7.92B8.12%7.92B-54.99%3.03B-56.55%2.9B-57.59%2.82B2.52%7.33B2.52%7.33B2.95%6.74B2.31%6.68B
-Accumulated depreciation -----4.44%-4.19B-4.44%-4.19B-------------4.68%-4.01B-4.68%-4.01B-5.15%-3.96B-4.89%-3.9B
Foreclosed assets -----3.13%31M-3.13%31M-------------17.95%32M-17.95%32M--------
Goodwill and other intangible assets 91.84%12.78B-1.46%6.61B-1.46%6.61B-0.72%6.62B-1.98%6.62B-1.86%6.66B-1.02%6.71B-1.02%6.71B-2.98%6.67B-1.07%6.76B
-Goodwill 102.64%9.97B0.59%4.95B0.59%4.95B0.59%4.95B0.00%4.92B0.00%4.92B-0.02%4.92B-0.02%4.92B-0.02%4.92B-0.02%4.92B
-Other intangible assets 61.38%2.82B-7.08%1.67B-7.08%1.67B-4.39%1.68B-7.29%1.7B-6.73%1.75B-3.65%1.79B-3.65%1.79B-10.42%1.75B-3.77%1.84B
Other assets 61.80%19.98B-5.20%237M-5.20%237M5.08%12.18B-5.77%12.19B-4.51%12.35B-9.09%250M-9.09%250M-16.15%11.59B-0.27%12.94B
Total assets 39.67%297.04B0.68%214.38B0.68%214.38B-0.66%212.9B-1.53%209.99B-0.86%212.67B-0.77%212.93B-0.77%212.93B0.63%214.32B2.89%213.26B
Liabilities
Total deposits 41.16%233.62B2.73%171.82B2.73%171.82B-1.05%166.57B-1.54%164.21B-2.41%165.51B-0.98%167.25B-0.98%167.25B0.40%168.34B1.61%166.77B
Federal funds purchased and securities sold under agreement to repurchase ----12.58%537M12.58%537M0.41%492M1.82%503M-10.81%520M-8.80%477M-8.80%477M-6.67%490M-6.08%494M
Current debt and capital lease obligation -75.04%1.29B-91.10%370M-91.10%370M355.83%4.77B1.09%3.07B104.11%5.16B64.48%4.16B64.48%4.16B-75.53%1.05B-43.16%3.04B
-Current debt -75.04%1.29B-91.10%370M-91.10%370M355.83%4.77B1.09%3.07B104.11%5.16B64.48%4.16B64.48%4.16B-75.53%1.05B-43.16%3.04B
Long term debt and capital lease obligation 28.98%18.75B-5.22%13.59B-5.22%13.59B-20.00%13.68B-11.05%14.49B-5.86%14.54B-12.47%14.34B-12.47%14.34B4.82%17.1B32.70%16.29B
-Long term debt 28.98%18.75B-5.22%13.59B-5.22%13.59B-20.00%13.68B-11.05%14.49B-5.86%14.54B-12.47%14.34B-12.47%14.34B4.82%17.1B32.70%16.29B
Derivative product liabilities ----0.00%19M0.00%19M--0--0--0533.33%19M533.33%19M--57M-69.30%35M
Other liabilities 37.92%6.64B-13.61%4.24B-13.61%4.24B-2.77%4.35B-13.85%4.63B-10.47%4.82B0.84%4.9B0.84%4.9B-23.02%4.47B1.03%5.37B
Total liabilities 36.75%262.93B-0.33%192.65B-0.33%192.65B-0.90%191.8B-2.66%188.87B-1.65%192.27B-1.08%193.28B-1.08%193.28B-1.47%193.53B2.41%194.04B
Shareholders'equity
Share capital 14.40%4.77B-8.30%3.82B-8.30%3.82B-8.30%3.82B0.00%4.17B0.00%4.17B0.00%4.17B0.00%4.17B0.00%4.17B0.00%4.17B
-common stock 26.04%2.59B0.00%2.05B0.00%2.05B0.00%2.05B0.00%2.05B0.00%2.05B0.00%2.05B0.00%2.05B0.00%2.05B0.00%2.05B
-Preferred stock 3.12%2.18B-16.35%1.77B-16.35%1.77B-16.35%1.77B0.00%2.12B0.00%2.12B0.00%2.12B0.00%2.12B0.00%2.12B0.00%2.12B
Paid-in capital 313.09%15.59B0.71%3.83B0.71%3.83B0.77%3.81B0.80%3.79B0.83%3.77B1.25%3.8B1.25%3.8B1.37%3.78B1.51%3.76B
Retained earnings 3.57%25.25B5.54%25.49B5.54%25.49B5.19%25.06B5.00%24.72B4.96%24.38B5.01%24.15B5.01%24.15B4.72%23.82B5.26%23.54B
Less: Treasury stock 3.02%8.26B5.94%8.31B5.94%8.31B10.17%8.31B9.03%8.01B10.96%8.02B7.96%7.84B7.96%7.84B3.81%7.54B1.10%7.35B
Gains losses not affecting retained earnings 16.97%-3.23B32.92%-3.11B32.92%-3.11B4.93%-3.28B27.65%-3.55B20.32%-3.9B-3.32%-4.64B-3.32%-4.64B49.61%-3.45B5.13%-4.9B
Total stockholders'equity 67.16%34.11B10.58%21.72B10.58%21.72B1.55%21.11B9.87%21.12B7.28%20.4B2.47%19.65B2.47%19.65B25.63%20.78B7.96%19.23B
Total equity 67.16%34.11B10.58%21.72B10.58%21.72B1.55%21.11B9.87%21.12B7.28%20.4B2.47%19.65B2.47%19.65B25.63%20.78B7.96%19.23B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------
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