| Cash Flow | 2025-09-30 | 2025-06-30 | 2025-03-31 | 2024-09-30 |
|---|---|---|---|---|
| Provisions for credit losses and for benefits and claims | 8,045 | 5,595 | 2,723 | 7,516 |
| Goodwill impairment | 726 | - | - | - |
| Realized gains from sales of investments | 364 | 259 | 121 | 210 |
| Impairment losses on investments and other assets | 120 | 97 | 58 | 92 |
| Change in trading account assets | 119,637 | 125,897 | 75,872 | 46,456 |
| Change in trading account liabilities | 26,397 | 30,106 | 14,842 | -12,811 |
| Change in brokerage receivables net of brokerage payables | 2,156 | -11,160 | -5,102 | -7,909 |
| Change in loans held-for-sale (hfs) | -312 | 4,810 | 856 | 3,211 |
| Change in other assets | 10,345 | 8,588 | 3,067 | 4,327 |
| Change in other liabilities | 44 | 437 | -2,168 | -7,663 |
| Other, net | 12,847 | 13,765 | 4,456 | -3,150 |
| Total adjustments | -106,024 | -103,371 | -62,773 | -54,293 |
| Net cash provided by (used in) operating activities of continuing operations | -94,187 | -95,287 | -58,708 | -44,465 |
| Change in securities borrowed and purchased under agreements to resell | -47,285 | -49,830 | -116,153 | 59,772 |
| Change in loans | 53,268 | 40,293 | 11,506 | 10,257 |
| Purchase of portfolio of consumer loans | 0 | - | - | 700 |
| Proceeds from sales and securitizations of loans | 3,743 | 2,063 | 1,002 | 3,368 |
| Net payment due to transfer of net liabilities associated with divestitures | - | - | - | 0 |
| Purchases of investments | 209,028 | 140,047 | 73,927 | 181,245 |
| Proceeds from sales of investments | 70,604 | 54,554 | 36,332 | 40,839 |
| Proceeds from maturities of investments | 133,729 | 91,153 | 45,315 | 164,025 |
| Purchases of investments | 5,134 | 5,006 | 4,940 | 11,878 |
| Proceeds from maturities of investments | 50,468 | 41,335 | 26,941 | 17,340 |
| Capital expenditures on premises and equipment and capitalized software | 4,889 | 3,272 | 1,517 | 4,812 |
| Proceeds from sales of premises and equipment and repossessed assets | 24 | 16 | 11 | 201 |
| Other, net | -2,084 | -378 | 541 | -1,848 |
| Net cash provided by (used in) investing activities of continuing operations | -58,952 | -48,949 | -98,983 | 78,501 |
| Dividends paid | 4,021 | 2,651 | 1,323 | 3,885 |
| Issuance of preferred stock | 4,690 | 1,995 | 1,995 | 3,786 |
| Redemption of preferred stock | 3,500 | 3,500 | 1,500 | 5,050 |
| Treasury stock acquired | 8,750 | 3,750 | 1,751 | 1,506 |
| Stock tendered for payment of withholding taxes | 775 | 770 | 754 | 448 |
| Change in securities loaned and sold under agreements to repurchase | 94,971 | 93,158 | 149,204 | 270 |
| Issuance of long-term debt | 96,296 | 67,498 | 29,612 | 78,163 |
| Payments and redemptions of long-term debt | 77,975 | 46,333 | 23,093 | 67,529 |
| Change in deposits | 105,559 | 79,363 | 31,952 | 1,318 |
| Change in short-term borrowings | 6,255 | 7,055 | 634 | 3,883 |
| Net cash provided by (used in) financing activities of continuing operations | 212,750 | 192,065 | 184,976 | 9,002 |
| Effect of exchange rate changes on cash, due from banks and deposits with banks | 11,917 | 13,112 | 4,514 | -876 |
| Change in cash, due from banks and deposits with banks | 71,528 | 60,941 | 31,799 | 42,162 |
| Cash and cash equivalents at beginning of period | 276,532 | 276,532 | 276,532 | 260,932 |
| Cash and cash equivalents at end of period | 348,060 | 337,473 | 308,331 | 303,094 |
CITIGROUP INC (C)
CITIGROUP INC (C)