CA Stock MarketDetailed Quotes

Goldman Sachs CDR (CAD Hedged) (GS)

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  • 43.560
  • +0.140+0.32%
15min DelayMarket Closed Apr 10 16:00 ET
352.64BMarket Cap16.97P/E (TTM)

Goldman Sachs CDR (CAD Hedged) (GS) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q1)Mar 31, 2024
Assets
Cash, cash equivalents and federal funds sold
-19.85%290.27B
-19.85%290.27B
-18.40%299.36B
-24.23%306.82B
-19.83%353.77B
-22.18%362.15B
-22.18%362.15B
-14.80%366.85B
-13.99%404.95B
2.28%441.3B
-Cash and cash equivalents
-9.79%164.26B
-9.79%164.26B
9.62%169.58B
-25.86%152.97B
-20.05%167.41B
-24.62%182.09B
-24.62%182.09B
-35.51%154.69B
-23.85%206.33B
-8.70%209.39B
-Money market investments
-30.02%126.01B
-30.02%126.01B
-38.83%129.79B
-22.54%153.85B
-19.64%186.37B
-19.55%180.06B
-19.55%180.06B
11.25%212.16B
-0.62%198.63B
14.73%231.92B
Securities and investments
14.39%638.58B
14.39%638.58B
9.30%803.13B
21.28%773.22B
20.32%741.42B
-2.48%558.25B
-2.48%558.25B
35.11%734.76B
30.62%637.57B
26.19%616.21B
-Trading securities
18.78%445.2B
18.78%445.2B
8.77%600.32B
19.77%571.86B
18.33%546.81B
-12.10%374.8B
-12.10%374.8B
38.33%551.94B
36.43%477.46B
29.34%462.1B
-Available for sale securities
43.86%120.45B
43.86%120.45B
26.55%118.93B
67.44%125.67B
53.33%106.41B
49.34%83.73B
49.34%83.73B
81.05%93.98B
23.91%75.06B
10.21%69.4B
-Held to maturity securities
-8.55%57.86B
-8.55%57.86B
-2.94%62.97B
1.20%61.93B
3.74%63.9B
11.31%63.26B
11.31%63.26B
23.60%64.88B
28.85%61.2B
30.71%61.6B
-Short term investments
-58.68%15.07B
-58.68%15.07B
-12.76%20.91B
-42.35%13.75B
5.13%24.3B
9.91%36.46B
9.91%36.46B
-40.71%23.96B
-20.71%23.86B
10.33%23.12B
Long term equity investment
-16.24%887M
-16.24%887M
12.71%949M
33.33%1.09B
41.91%1.11B
38.98%1.06B
38.98%1.06B
18.09%842M
10.72%816M
6.08%785M
Security borrowed
6.97%208.21B
6.97%208.21B
6.31%217.71B
4.23%213.28B
-1.41%211.89B
-2.39%194.65B
-2.39%194.65B
3.99%204.78B
8.59%204.62B
5.78%214.91B
Derivative assets
11.86%52.95B
11.86%52.95B
5.96%52.27B
26.30%56.23B
7.07%48.85B
-7.40%47.34B
-7.40%47.34B
0.53%49.32B
-11.61%44.52B
-8.98%45.62B
Net loan
21.17%237.73B
21.17%237.73B
15.97%222.38B
17.96%217.19B
14.25%210.14B
7.00%196.2B
7.00%196.2B
7.57%191.75B
3.36%184.13B
3.29%183.93B
-Gross loan
19.42%239.88B
19.42%239.88B
15.46%226.89B
17.36%221.73B
13.67%214.65B
6.61%200.87B
6.61%200.87B
7.29%196.5B
3.04%188.94B
3.13%188.84B
-Allowance for loans and lease losses
-53.96%2.15B
-53.96%2.15B
-5.13%4.51B
-5.64%4.54B
-8.04%4.51B
-7.60%4.67B
-7.60%4.67B
-2.92%4.75B
-8.10%4.81B
-2.58%4.9B
Receivables
36.06%205.74B
36.06%205.74B
20.45%195.58B
26.87%200.53B
3.52%182.37B
1.77%151.21B
1.77%151.21B
4.58%162.37B
-6.38%158.06B
10.50%176.16B
-Accounts receivable
38.98%185.84B
38.98%185.84B
21.86%176.6B
27.79%181.46B
2.91%165.09B
0.92%133.72B
0.92%133.72B
2.88%144.92B
-9.71%142B
10.91%160.42B
-Other receivables
13.72%19.9B
13.72%19.9B
8.79%18.98B
18.71%19.07B
9.78%17.28B
8.79%17.5B
8.79%17.5B
21.29%17.45B
38.89%16.06B
6.43%15.74B
Net PPE
-4.67%9.52B
-4.67%9.52B
-7.36%9.8B
-16.40%9.83B
-21.47%9.89B
-25.52%9.99B
-25.52%9.99B
-30.89%10.58B
-33.25%11.76B
-32.32%12.6B
-Gross PPE
4.50%24.69B
4.50%24.69B
-0.39%24.81B
-5.27%24.42B
-7.15%24.59B
-12.66%23.63B
-12.66%23.63B
-14.48%24.91B
-17.55%25.78B
-15.89%26.49B
-Accumulated depreciation
-11.22%-15.17B
-11.22%-15.17B
-4.75%-15.01B
-4.07%-14.59B
-5.83%-14.7B
0.00%-13.64B
0.00%-13.64B
-3.69%-14.33B
-2.71%-14.02B
-7.84%-13.89B
Goodwill and other intangible assets
1.36%6.79B
1.36%6.79B
-0.29%6.81B
-0.65%6.84B
-2.57%6.74B
-5.54%6.7B
-5.54%6.7B
-5.79%6.83B
-12.44%6.89B
-17.68%6.92B
-Goodwill
1.64%5.95B
1.64%5.95B
0.69%5.95B
1.00%5.95B
-0.19%5.89B
-1.06%5.85B
-1.06%5.85B
-0.07%5.91B
-0.82%5.89B
-8.42%5.9B
-Other intangible assets
-0.59%842M
-0.59%842M
-6.59%864M
-10.48%888M
-16.36%854M
-28.04%847M
-28.04%847M
-31.02%925M
-48.36%992M
-48.04%1.02B
Other assets
6.89%158.64B
6.89%158.64B
----
----
----
--148.42B
--148.42B
----
----
----
Total assets
7.96%1.81T
7.96%1.81T
4.62%1.81T
7.97%1.79T
3.99%1.77T
2.09%1.68T
2.09%1.68T
9.57%1.73T
5.21%1.65T
10.41%1.7T
Liabilities
Total deposits
15.80%501.42B
15.80%501.42B
10.09%490.25B
7.63%466.14B
6.92%471.13B
1.07%433.01B
1.07%433.01B
10.51%445.31B
8.59%433.11B
17.34%440.66B
Federal funds purchased and securities sold under agreement to repurchase
-18.59%223.38B
-18.59%223.38B
-16.75%217.8B
-3.33%230.22B
-6.91%249B
9.80%274.38B
9.80%274.38B
15.92%261.62B
6.80%238.14B
35.51%267.48B
Current debt and capital lease obligation
-3.15%87.77B
-3.15%87.77B
-2.59%88.45B
-7.66%84.28B
2.75%89.01B
8.99%90.62B
8.99%90.62B
15.39%90.81B
17.92%91.27B
13.86%86.63B
-Current debt
-3.15%87.77B
-3.15%87.77B
-2.59%88.45B
-7.66%84.28B
2.75%89.01B
8.99%90.62B
8.99%90.62B
15.39%90.81B
17.92%91.27B
13.86%86.63B
Trading liabilities
39.64%178.15B
39.64%178.15B
22.75%182.29B
33.76%182.77B
12.37%159.59B
-11.16%127.58B
-11.16%127.58B
5.84%148.5B
-4.71%136.64B
-0.05%142.02B
Current accrued expenses
----
----
5.02%9.9B
-1.54%10.07B
-4.86%9.56B
-9.69%9.43B
-9.69%9.43B
19.97%9.42B
28.31%10.23B
23.64%10.04B
Securities loaned
-4.31%53.64B
-4.31%53.64B
-7.26%57.61B
-8.40%58.57B
-15.03%56.3B
-7.31%56.06B
-7.31%56.06B
13.09%62.12B
33.19%63.94B
43.05%66.26B
Derivative product liabilities
12.57%84.41B
12.57%84.41B
19.27%79.55B
11.75%70.43B
24.49%73.6B
32.11%74.98B
32.11%74.98B
21.67%66.7B
23.73%63.02B
13.60%59.12B
Payables
4.10%236.09B
4.10%236.09B
2.93%261.11B
7.02%263.18B
-1.07%257.17B
-2.94%226.8B
-2.94%226.8B
-0.65%253.67B
-5.60%245.92B
-3.36%259.95B
-Accounts payable
3.86%231.87B
3.86%231.87B
2.59%256.84B
6.69%259.25B
-1.12%253.8B
-3.24%223.26B
-3.24%223.26B
-0.79%250.36B
-5.76%242.99B
-3.62%256.66B
-Total tax payable
19.16%4.22B
19.16%4.22B
28.96%4.27B
33.88%3.92B
2.43%3.37B
20.26%3.54B
20.26%3.54B
11.07%3.31B
9.61%2.93B
22.72%3.29B
Long term debt and capital lease obligation
18.44%298.38B
18.44%298.38B
10.49%287.82B
17.65%288.7B
11.77%271.73B
0.73%251.93B
0.73%251.93B
12.14%260.5B
2.66%245.38B
-2.74%243.11B
-Long term debt
18.55%296.21B
18.55%296.21B
10.57%285.63B
17.79%286.54B
11.91%269.65B
0.81%249.87B
0.81%249.87B
12.28%258.32B
2.68%243.26B
-2.78%240.95B
-Long term capital lease obligation
5.24%2.17B
5.24%2.17B
0.41%2.18B
1.51%2.15B
-3.94%2.08B
-7.62%2.06B
-7.62%2.06B
-2.12%2.18B
0.43%2.12B
1.46%2.16B
Employee benefits
16.66%10.23B
16.66%10.23B
8.50%8.48B
7.23%6.23B
3.43%4.44B
12.11%8.77B
12.11%8.77B
19.21%7.81B
22.09%5.81B
15.72%4.29B
Preferred securities outside stock equity
6.95%446M
6.95%446M
-20.14%349M
-17.35%343M
7.88%356M
14.88%417M
14.88%417M
-7.22%437M
-21.85%415M
-46.86%330M
Other liabilities
10.65%10.43B
10.65%10.43B
5.02%9.9B
-1.54%10.07B
-4.86%9.56B
-9.69%9.43B
-9.69%9.43B
19.97%9.42B
28.31%10.23B
23.64%10.04B
Total liabilities
8.39%1.68T
8.39%1.68T
4.77%1.68T
8.28%1.66T
3.92%1.64T
1.92%1.55T
1.92%1.55T
10.07%1.61T
5.43%1.53T
11.19%1.58T
Shareholders'equity
Share capital
14.33%15.16B
14.33%15.16B
14.33%15.16B
18.81%15.16B
35.23%15.16B
18.28%13.26B
18.28%13.26B
18.28%13.26B
19.14%12.76B
4.67%11.21B
-common stock
0.00%9M
0.00%9M
0.00%9M
0.00%9M
0.00%9M
0.00%9M
0.00%9M
0.00%9M
0.00%9M
0.00%9M
-Preferred stock
14.34%15.15B
14.34%15.15B
14.34%15.15B
18.82%15.15B
35.26%15.15B
18.30%13.25B
18.30%13.25B
18.30%13.25B
19.15%12.75B
4.67%11.2B
Additional paid-in capital
0.86%61.91B
0.86%61.91B
0.87%61.91B
0.88%61.89B
0.84%61.83B
1.87%61.38B
1.87%61.38B
1.89%61.37B
1.90%61.35B
1.95%61.31B
Retained earnings
7.74%165.29B
7.74%165.29B
7.77%162.14B
7.32%159.54B
7.04%157.02B
6.77%153.41B
6.77%153.41B
5.40%150.45B
4.83%148.65B
3.60%146.69B
Less: treasury stock
11.45%120.92B
11.45%120.92B
10.72%117.89B
9.87%115.87B
10.72%112.84B
8.02%108.5B
8.02%108.5B
7.09%106.48B
7.70%105.46B
4.90%101.92B
Gains losses not affecting retained earnings
16.36%-2.26B
16.36%-2.26B
1.08%-2.48B
31.55%-1.99B
37.62%-2.07B
7.40%-2.7B
7.40%-2.7B
3.69%-2.5B
10.41%-2.9B
-27.53%-3.32B
Other equity interest
12.57%5.8B
12.57%5.8B
9.14%5.56B
6.07%5.37B
13.91%5.2B
0.53%5.15B
0.53%5.15B
-0.53%5.09B
2.58%5.06B
-5.37%4.56B
Total stockholders'equity
2.44%124.97B
2.44%124.97B
2.64%124.4B
3.88%124.1B
4.85%124.3B
4.35%122B
4.35%122B
3.35%121.2B
2.55%119.46B
0.88%118.55B
Total equity
2.44%124.97B
2.44%124.97B
2.64%124.4B
3.88%124.1B
4.85%124.3B
4.35%122B
4.35%122B
3.35%121.2B
2.55%119.46B
0.88%118.55B
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 with Explanatory Notes
--
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--
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(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(Q1)Mar 31, 2024
Assets
Cash, cash equivalents and federal funds sold -19.85%290.27B-19.85%290.27B-18.40%299.36B-24.23%306.82B-19.83%353.77B-22.18%362.15B-22.18%362.15B-14.80%366.85B-13.99%404.95B2.28%441.3B
-Cash and cash equivalents -9.79%164.26B-9.79%164.26B9.62%169.58B-25.86%152.97B-20.05%167.41B-24.62%182.09B-24.62%182.09B-35.51%154.69B-23.85%206.33B-8.70%209.39B
-Money market investments -30.02%126.01B-30.02%126.01B-38.83%129.79B-22.54%153.85B-19.64%186.37B-19.55%180.06B-19.55%180.06B11.25%212.16B-0.62%198.63B14.73%231.92B
Securities and investments 14.39%638.58B14.39%638.58B9.30%803.13B21.28%773.22B20.32%741.42B-2.48%558.25B-2.48%558.25B35.11%734.76B30.62%637.57B26.19%616.21B
-Trading securities 18.78%445.2B18.78%445.2B8.77%600.32B19.77%571.86B18.33%546.81B-12.10%374.8B-12.10%374.8B38.33%551.94B36.43%477.46B29.34%462.1B
-Available for sale securities 43.86%120.45B43.86%120.45B26.55%118.93B67.44%125.67B53.33%106.41B49.34%83.73B49.34%83.73B81.05%93.98B23.91%75.06B10.21%69.4B
-Held to maturity securities -8.55%57.86B-8.55%57.86B-2.94%62.97B1.20%61.93B3.74%63.9B11.31%63.26B11.31%63.26B23.60%64.88B28.85%61.2B30.71%61.6B
-Short term investments -58.68%15.07B-58.68%15.07B-12.76%20.91B-42.35%13.75B5.13%24.3B9.91%36.46B9.91%36.46B-40.71%23.96B-20.71%23.86B10.33%23.12B
Long term equity investment -16.24%887M-16.24%887M12.71%949M33.33%1.09B41.91%1.11B38.98%1.06B38.98%1.06B18.09%842M10.72%816M6.08%785M
Security borrowed 6.97%208.21B6.97%208.21B6.31%217.71B4.23%213.28B-1.41%211.89B-2.39%194.65B-2.39%194.65B3.99%204.78B8.59%204.62B5.78%214.91B
Derivative assets 11.86%52.95B11.86%52.95B5.96%52.27B26.30%56.23B7.07%48.85B-7.40%47.34B-7.40%47.34B0.53%49.32B-11.61%44.52B-8.98%45.62B
Net loan 21.17%237.73B21.17%237.73B15.97%222.38B17.96%217.19B14.25%210.14B7.00%196.2B7.00%196.2B7.57%191.75B3.36%184.13B3.29%183.93B
-Gross loan 19.42%239.88B19.42%239.88B15.46%226.89B17.36%221.73B13.67%214.65B6.61%200.87B6.61%200.87B7.29%196.5B3.04%188.94B3.13%188.84B
-Allowance for loans and lease losses -53.96%2.15B-53.96%2.15B-5.13%4.51B-5.64%4.54B-8.04%4.51B-7.60%4.67B-7.60%4.67B-2.92%4.75B-8.10%4.81B-2.58%4.9B
Receivables 36.06%205.74B36.06%205.74B20.45%195.58B26.87%200.53B3.52%182.37B1.77%151.21B1.77%151.21B4.58%162.37B-6.38%158.06B10.50%176.16B
-Accounts receivable 38.98%185.84B38.98%185.84B21.86%176.6B27.79%181.46B2.91%165.09B0.92%133.72B0.92%133.72B2.88%144.92B-9.71%142B10.91%160.42B
-Other receivables 13.72%19.9B13.72%19.9B8.79%18.98B18.71%19.07B9.78%17.28B8.79%17.5B8.79%17.5B21.29%17.45B38.89%16.06B6.43%15.74B
Net PPE -4.67%9.52B-4.67%9.52B-7.36%9.8B-16.40%9.83B-21.47%9.89B-25.52%9.99B-25.52%9.99B-30.89%10.58B-33.25%11.76B-32.32%12.6B
-Gross PPE 4.50%24.69B4.50%24.69B-0.39%24.81B-5.27%24.42B-7.15%24.59B-12.66%23.63B-12.66%23.63B-14.48%24.91B-17.55%25.78B-15.89%26.49B
-Accumulated depreciation -11.22%-15.17B-11.22%-15.17B-4.75%-15.01B-4.07%-14.59B-5.83%-14.7B0.00%-13.64B0.00%-13.64B-3.69%-14.33B-2.71%-14.02B-7.84%-13.89B
Goodwill and other intangible assets 1.36%6.79B1.36%6.79B-0.29%6.81B-0.65%6.84B-2.57%6.74B-5.54%6.7B-5.54%6.7B-5.79%6.83B-12.44%6.89B-17.68%6.92B
-Goodwill 1.64%5.95B1.64%5.95B0.69%5.95B1.00%5.95B-0.19%5.89B-1.06%5.85B-1.06%5.85B-0.07%5.91B-0.82%5.89B-8.42%5.9B
-Other intangible assets -0.59%842M-0.59%842M-6.59%864M-10.48%888M-16.36%854M-28.04%847M-28.04%847M-31.02%925M-48.36%992M-48.04%1.02B
Other assets 6.89%158.64B6.89%158.64B--------------148.42B--148.42B------------
Total assets 7.96%1.81T7.96%1.81T4.62%1.81T7.97%1.79T3.99%1.77T2.09%1.68T2.09%1.68T9.57%1.73T5.21%1.65T10.41%1.7T
Liabilities
Total deposits 15.80%501.42B15.80%501.42B10.09%490.25B7.63%466.14B6.92%471.13B1.07%433.01B1.07%433.01B10.51%445.31B8.59%433.11B17.34%440.66B
Federal funds purchased and securities sold under agreement to repurchase -18.59%223.38B-18.59%223.38B-16.75%217.8B-3.33%230.22B-6.91%249B9.80%274.38B9.80%274.38B15.92%261.62B6.80%238.14B35.51%267.48B
Current debt and capital lease obligation -3.15%87.77B-3.15%87.77B-2.59%88.45B-7.66%84.28B2.75%89.01B8.99%90.62B8.99%90.62B15.39%90.81B17.92%91.27B13.86%86.63B
-Current debt -3.15%87.77B-3.15%87.77B-2.59%88.45B-7.66%84.28B2.75%89.01B8.99%90.62B8.99%90.62B15.39%90.81B17.92%91.27B13.86%86.63B
Trading liabilities 39.64%178.15B39.64%178.15B22.75%182.29B33.76%182.77B12.37%159.59B-11.16%127.58B-11.16%127.58B5.84%148.5B-4.71%136.64B-0.05%142.02B
Current accrued expenses --------5.02%9.9B-1.54%10.07B-4.86%9.56B-9.69%9.43B-9.69%9.43B19.97%9.42B28.31%10.23B23.64%10.04B
Securities loaned -4.31%53.64B-4.31%53.64B-7.26%57.61B-8.40%58.57B-15.03%56.3B-7.31%56.06B-7.31%56.06B13.09%62.12B33.19%63.94B43.05%66.26B
Derivative product liabilities 12.57%84.41B12.57%84.41B19.27%79.55B11.75%70.43B24.49%73.6B32.11%74.98B32.11%74.98B21.67%66.7B23.73%63.02B13.60%59.12B
Payables 4.10%236.09B4.10%236.09B2.93%261.11B7.02%263.18B-1.07%257.17B-2.94%226.8B-2.94%226.8B-0.65%253.67B-5.60%245.92B-3.36%259.95B
-Accounts payable 3.86%231.87B3.86%231.87B2.59%256.84B6.69%259.25B-1.12%253.8B-3.24%223.26B-3.24%223.26B-0.79%250.36B-5.76%242.99B-3.62%256.66B
-Total tax payable 19.16%4.22B19.16%4.22B28.96%4.27B33.88%3.92B2.43%3.37B20.26%3.54B20.26%3.54B11.07%3.31B9.61%2.93B22.72%3.29B
Long term debt and capital lease obligation 18.44%298.38B18.44%298.38B10.49%287.82B17.65%288.7B11.77%271.73B0.73%251.93B0.73%251.93B12.14%260.5B2.66%245.38B-2.74%243.11B
-Long term debt 18.55%296.21B18.55%296.21B10.57%285.63B17.79%286.54B11.91%269.65B0.81%249.87B0.81%249.87B12.28%258.32B2.68%243.26B-2.78%240.95B
-Long term capital lease obligation 5.24%2.17B5.24%2.17B0.41%2.18B1.51%2.15B-3.94%2.08B-7.62%2.06B-7.62%2.06B-2.12%2.18B0.43%2.12B1.46%2.16B
Employee benefits 16.66%10.23B16.66%10.23B8.50%8.48B7.23%6.23B3.43%4.44B12.11%8.77B12.11%8.77B19.21%7.81B22.09%5.81B15.72%4.29B
Preferred securities outside stock equity 6.95%446M6.95%446M-20.14%349M-17.35%343M7.88%356M14.88%417M14.88%417M-7.22%437M-21.85%415M-46.86%330M
Other liabilities 10.65%10.43B10.65%10.43B5.02%9.9B-1.54%10.07B-4.86%9.56B-9.69%9.43B-9.69%9.43B19.97%9.42B28.31%10.23B23.64%10.04B
Total liabilities 8.39%1.68T8.39%1.68T4.77%1.68T8.28%1.66T3.92%1.64T1.92%1.55T1.92%1.55T10.07%1.61T5.43%1.53T11.19%1.58T
Shareholders'equity
Share capital 14.33%15.16B14.33%15.16B14.33%15.16B18.81%15.16B35.23%15.16B18.28%13.26B18.28%13.26B18.28%13.26B19.14%12.76B4.67%11.21B
-common stock 0.00%9M0.00%9M0.00%9M0.00%9M0.00%9M0.00%9M0.00%9M0.00%9M0.00%9M0.00%9M
-Preferred stock 14.34%15.15B14.34%15.15B14.34%15.15B18.82%15.15B35.26%15.15B18.30%13.25B18.30%13.25B18.30%13.25B19.15%12.75B4.67%11.2B
Additional paid-in capital 0.86%61.91B0.86%61.91B0.87%61.91B0.88%61.89B0.84%61.83B1.87%61.38B1.87%61.38B1.89%61.37B1.90%61.35B1.95%61.31B
Retained earnings 7.74%165.29B7.74%165.29B7.77%162.14B7.32%159.54B7.04%157.02B6.77%153.41B6.77%153.41B5.40%150.45B4.83%148.65B3.60%146.69B
Less: treasury stock 11.45%120.92B11.45%120.92B10.72%117.89B9.87%115.87B10.72%112.84B8.02%108.5B8.02%108.5B7.09%106.48B7.70%105.46B4.90%101.92B
Gains losses not affecting retained earnings 16.36%-2.26B16.36%-2.26B1.08%-2.48B31.55%-1.99B37.62%-2.07B7.40%-2.7B7.40%-2.7B3.69%-2.5B10.41%-2.9B-27.53%-3.32B
Other equity interest 12.57%5.8B12.57%5.8B9.14%5.56B6.07%5.37B13.91%5.2B0.53%5.15B0.53%5.15B-0.53%5.09B2.58%5.06B-5.37%4.56B
Total stockholders'equity 2.44%124.97B2.44%124.97B2.64%124.4B3.88%124.1B4.85%124.3B4.35%122B4.35%122B3.35%121.2B2.55%119.46B0.88%118.55B
Total equity 2.44%124.97B2.44%124.97B2.64%124.4B3.88%124.1B4.85%124.3B4.35%122B4.35%122B3.35%121.2B2.55%119.46B0.88%118.55B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion with Explanatory Notes--------

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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