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The latest financial statement is for the quarter ending 2025-09-30.

Cash Flow Overview

Free Cash flow
$1,406M
Unit: Million (M) dollars
Positive Cash Flow Breakdown
    • Net increase in demand and other...
    • Proceeds from maturities of inve...
    • Proceeds from issuance of long-t...
    • Others
Negative Cash Flow Breakdown
    • Purchases of investment securiti...
    • Net increase in loans
    • Net (increase) decrease in inter...
    • Others

Cash Flow
2025-09-30
Net income
1,626
Provision for loan and lease losses
473
Benefit for off-balance sheet credit exposure
-13
Provision for credit losses
460
Deferred tax benefit
-104
Depreciation, amortization, and accretion, net
284
Gross realized gain on sale of investment securities available for sale
1
Gross realized loss on sale of investment securities available for sale
2
Net realized loss on sale of investment securities available for sale
-1
Net realized gain on sale of marketable equity securities
1
Realized gain on sale of investment securities, net
0
Fair value adjustment on marketable equity securities, net
10
Gain on sale of loans, net
12
Gain on sale of operating lease equipment, net
16
Loss on sale of premises and equipment, net
0
Gain on other real estate owned, net
1
Loss on extinguishment of debt
0
Origination of loans held for sale
1,011
Proceeds from sale of loans held for sale
1,137
Impairment of premises and equipment
5
Net change in other assets
86
Net change in other liabilities
-345
Other operating activities
-54
Net cash provided by operating activities
1,873
Net (increase) decrease in interest-earning deposits at banks
-3,434
Purchases of marketable equity securities
0
Proceeds from sales of investments in marketable equity securities
0
Purchases of investment securities available for sale
7,476
Proceeds from maturities of investment securities available for sale
5,802
Proceeds from sales of investment securities available for sale
1,196
Purchases of investment securities held to maturity
389
Proceeds from maturities of investment securities held to maturity
598
Net decrease in securities purchased under agreements to resell
75
Net increase in loans
4,987
Proceeds from sales of loans
220
Net increase in credit balances of factoring clients
392
Purchases of operating lease equipment
522
Proceeds from sales of operating lease equipment
195
Purchases of premises and equipment
467
Proceeds from sales of other real estate owned
20
Other investing activities
463
Net cash used in investing activities
-9,240
Net decrease in time deposits
-2,178
Net increase in demand and other interest-bearing deposits
10,312
Net increase (decrease) in securities sold under agreements to repurchase
56
Repayment of long-term borrowings
355
Proceeds from issuance of long-term borrowings
1,839
Repurchase of class a common stock
2,127
Cash dividends paid
121
Other financing activities
1
Net cash provided by financing activities
7,427
Change in cash and due from banks
60
Cash and cash equivalents at beginning of period
814
Cash and cash equivalents at end of period
874
Unit: Million (M) dollars (except for numbers of shares and EPS). Numbers labeled with * are estimated quarterly values.

Time Plot

Show the time plot by selecting a row from the table.

Cash Flow

Provision for loan andlease losses$473M Net increase indemand and other...$10,312M Net income$1,626M Proceeds from sale ofloans held for sale$1,137M Proceeds from issuance oflong-term borrowings$1,839M Net increase(decrease) in securities...$56M Other financingactivities$1M Provision for creditlosses$460M Depreciation, amortization,and accretion, net$284M Impairment of premises andequipment$5M Canceled cashflow$13M Net cash provided byfinancing activities$7,427M Net cash provided byoperating activities$1,873M Canceled cashflow$4,781M Canceled cashflow$1,639M Benefit for off-balancesheet credit exposure-$13M Change in cash and duefrom banks$60M Canceled cashflow$9,240M Net decrease in timedeposits-$2,178M Repurchase of class a commonstock$2,127M Repayment of long-termborrowings$355M Cash dividends paid$121M Proceeds from maturitiesof investment...$5,802M Proceeds from sales ofinvestment securities...$1,196M Proceeds from maturitiesof investment...$598M Net increase incredit balances of...$392M Proceeds from sales ofloans$220M Proceeds from sales ofoperating lease equipment$195M Net decrease insecurities purchased under...$75M Proceeds from sales ofother real estate...$20M Origination of loans held forsale$1,011M Net change in otherliabilities-$345M Deferred tax benefit-$104M Net change in otherassets$86M Other operatingactivities-$54M Gain on sale ofoperating lease...$16M Gain on sale of loans,net$12M Fair valueadjustment on marketable...$10M Gain on other realestate owned, net$1M Net cash used ininvesting activities-$9,240M Canceled cashflow$8,498M Purchases of investmentsecurities available for...$7,476M Net increase inloans$4,987M Net (increase)decrease in...-$3,434M Purchases of operatinglease equipment$522M Purchases of premises andequipment$467M Other investingactivities$463M Purchases of investmentsecurities held to maturity$389M

FIRST CITIZENS BANCSHARES INC DE (FCNCA)

FIRST CITIZENS BANCSHARES INC DE (FCNCA)