| Cash Flow | 2025-09-30 | 2025-06-30 | 2025-03-31 |
|---|---|---|---|
| Net income | 22,981 | 14,512 | 7,396 |
| Provision for credit losses | 4,367 | 3,072 | 1,480 |
| Losses on sales of debt securities | -23 | -20 | -2 |
| Depreciation and amortization | 1,720 | 1,136 | 565 |
| Net accretion of discount/premium on debt securities | 664 | 146 | 85 |
| Deferred income taxes | -255 | -260 | -172 |
| Amortization of stock-based compensation | 3,032 | 2,014 | 999 |
| Trading and derivative assets/liabilities | -4,687 | 25,849 | 10,970 |
| Loans held-for-sale | -2,672 | -4,080 | -2,599 |
| Other assets | 24,543 | 19,220 | -4,165 |
| Accrued expenses and other liabilities | 20,239 | 9,581 | -8,179 |
| Other operating activities, net | -1,299 | 256 | -16 |
| Net cash provided by (used in) operating activities | 35,558 | -11,316 | -2,184 |
| Time deposits placed and other short-term investments | 1,840 | 3,005 | 910 |
| Federal funds sold and securities borrowed or purchased under agreements to resell | -55,078 | -81,670 | -53,656 |
| Proceeds from sales | 96,786 | 61,564 | 26,392 |
| Proceeds from paydowns and maturities | 63,781 | 40,472 | 20,719 |
| Purchases | 196,704 | 123,638 | 72,075 |
| Proceeds from paydowns and maturities | 26,327 | 16,782 | 7,666 |
| Proceeds from sales of loans originally classified as held for investment and instruments from related securitization activities | 6,718 | 4,051 | 2,232 |
| Purchases | 12,487 | 11,136 | 9,379 |
| Other changes in loans and leases, net | 68,672 | 47,086 | 9,200 |
| Other investing activities, net | 2,816 | 2,262 | 799 |
| Net cash used in investing activities | -143,985 | -145,928 | -89,010 |
| Deposits | 36,741 | 46,146 | 24,097 |
| Federal funds purchased and securities loaned or sold under agreements to repurchase | 14,817 | 71,689 | 44,312 |
| Short-term borrowings | 10,802 | 4,500 | 1,921 |
| Proceeds from issuance | 75,855 | 56,926 | 33,640 |
| Retirement | 57,893 | 35,964 | 16,333 |
| Proceeds from issuance | 5,493 | 2,996 | - |
| Redemption | 2,669 | 2,669 | 2,669 |
| Common stock repurchased | 15,123 | 9,823 | 4,521 |
| Cash dividends paid | 7,203 | 4,752 | 2,552 |
| Other financing activities, net | -919 | -1,158 | -1,221 |
| Net cash provided by financing activities | 59,901 | 127,891 | 72,832 |
| Effect of exchange rate changes on cash and cash equivalents | 4,919 | 5,250 | 1,827 |
| Net decrease in cash and cash equivalents | -43,607 | -24,103 | -16,535 |
| Cash and cash equivalents at beginning of period | 290,114 | 290,114 | 290,114 |
| Cash and cash equivalents at end of period | 246,507 | 266,011 | 273,579 |
BANK OF AMERICA CORP DE (BAC-PL)
BANK OF AMERICA CORP DE (BAC-PL)