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Balance Sheets Overview

Debt to Asset Ratio
88.52%
Unit: Million (M) dollars
Assets Breakdown
    • Portfolio loans and leases, net
    • Available-for-sale debt and othe...
    • Other assets
    • Others
Liabilities Breakdown
    • Interest-bearing deposits
    • Noninterest-bearing deposits
    • Retained earnings
    • Others
Balance Sheets
2026-03-31
2025-12-31
2025-09-30
2025-06-30
Cash and due from banks
4,084
3,499
2,901
2,972
Other short-term investments
17,456
18,876
17,215
13,043
Available-for-sale debt and other securities (amortized cost of 49,238 and 39,107)
46,161
36,159
36,461
38,270
Unrealized gains-USTreasury And Government
3
19
15
10
Unrealized losses-USTreasury And Government
0
0
0
0
Fair value-USTreasury And Government
2,157
2,457
2,436
2,414
Unrealized gains-Mortgage Backed Securities Issued By USGovernment Sponsored Enterprises-Residential Mortgage Backed Securities
11
23
13
8
Unrealized losses-Mortgage Backed Securities Issued By USGovernment Sponsored Enterprises-Residential Mortgage Backed Securities
71
44
56
113
Fair value-Mortgage Backed Securities Issued By USGovernment Sponsored Enterprises-Residential Mortgage Backed Securities
5,552
5,002
5,090
5,133
Unrealized gains-Commercial Mortgage Backed Securities-Mortgage Backed Securities Issued By USGovernment Sponsored Enterprises
36
43
41
23
Unrealized losses-Commercial Mortgage Backed Securities-Mortgage Backed Securities Issued By USGovernment Sponsored Enterprises
27
5
5
11
Fair value-Commercial Mortgage Backed Securities-Mortgage Backed Securities Issued By USGovernment Sponsored Enterprises
8,630
3,943
3,978
3,998
Unrealized gains-Asset Backed Securities Securitized Loans And Receivables
0
0
0
0
Unrealized losses-Asset Backed Securities Securitized Loans And Receivables
0
0
0
0
Fair value-Asset Backed Securities Securitized Loans And Receivables
2
2
2
2
Held-to-maturity securities (fair value of 16,341 and 11,404)
16,389
11,368
11,498
11,630
Trading debt securities
1,669
1,057
1,266
1,324
Equity securities
544
453
287
404
Loans and leases held for sale (includes 714 and 658 of residential mortgage loans measured at fair value)
1,365
733
576
646
Portfolio loans and leases
176,250
122,651
123,130
122,396
Individually evaluated
161
193
170
196
Collectively evaluated
2,761
2,060
2,095
2,216
Allowance for loan and lease losses
2,922
2,253
2,265
2,412
Portfolio loans and leases, net
173,328
120,398
120,865
119,984
Bank premises and equipment (includes 18 and 9 held for sale)
3,283
2,734
2,655
2,560
Operating lease equipment
-
374
379
344
Goodwill
9,966
4,947
4,947
4,918
Intangible assets
1,233
69
76
75
Servicing rights
1,583
1,598
1,601
1,629
Partnership investments
-
2,743
-
-
Accounts receivable and drafts-in-process
-
2,496
-
-
Bank owned life insurance
-
2,171
-
-
Derivative instruments
-
1,868
-
-
Deferred tax assets
-
865
-
-
Accrued interest and fees receivable
-
742
-
-
Operating lease right-of-use assets
-
629
-
-
Prepaid expenses
-
166
-
-
Income tax receivable
-
163
-
-
Oreo and other repossessed property
-
31
-
-
Other
-
237
-
-
Other assets
19,978
12,111
12,176
12,192
Total assets
297,039
214,376
212,903
209,991
Noninterest-bearing deposits
65,335
42,647
41,830
42,174
Interest-bearing deposits
168,286
129,172
124,739
122,033
Total deposits
233,621
171,819
166,569
164,207
Federal funds purchased
-
-
183
178
Other short-term borrowings
-
-
5,077
3,393
Short-term borrowings
1,289
926
-
-
Accrued taxes, interest and expenses
2,628
2,083
1,943
1,970
Other liabilities
6,642
4,235
4,347
4,627
Parent Company
-
0
-
-
Subsidiaries
-
2,261
-
-
2026
-
2,261
-
-
2027
-
1,849
-
-
2028
-
3,421
-
-
2029
-
1,315
-
-
2030
-
1,786
-
-
Thereafter
-
2,957
-
-
Long-term debt
18,753
13,589
13,677
14,492
Total liabilities
262,933
192,652
191,796
188,867
Common stock
2,585
2,051
2,051
2,051
Preferred stock
2,182
1,770
1,770
2,116
Capital surplus
15,586
3,831
3,813
3,794
Retained earnings
25,248
25,488
25,057
24,718
Accumulated other comprehensive loss
-3,234
-3,110
-3,276
-3,546
Treasury stock
8,261
8,306
8,308
8,009
Total equity
34,106
21,724
21,107
21,124
Total liabilities and equity
297,039
214,376
212,903
209,991
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.

Balance Sheets

Portfolio loans and leases$176,250M (44.24%↑ Y/Y)Fairvalue-Commercial Mortgage Backed...$8,630M (117.00%↑ Y/Y)Fair value-MortgageBacked Securities...$5,552M (17.98%↑ Y/Y)Fairvalue-USTreasury And Government$2,157M (-9.64%↓ Y/Y)Unrealizedlosses-Mortgage Backed...$71M (167.62%↑ Y/Y)Unrealizedlosses-Commercial Mortgage Backed...$27M (268.75%↑ Y/Y)Fair value-AssetBacked Securities...$2M (0.00%↑ Y/Y)Portfolio loans andleases, net$173,328M (44.67%↑ Y/Y)Available-for-sale debt and othersecurities (amortized cost...$46,161M (16.14%↑ Y/Y)Other assets$19,978M (61.80%↑ Y/Y)Other short-terminvestments$17,456M (16.65%↑ Y/Y)Held-to-maturity securities(fair value of 16,341...$16,389M (46.53%↑ Y/Y)Goodwill$9,966M (102.64%↑ Y/Y)Cash and due frombanks$4,084M (35.73%↑ Y/Y)Bank premises andequipment (includes 18 and...$3,283M (31.01%↑ Y/Y)Trading debt securities$1,669M (44.00%↑ Y/Y)Servicing rights$1,583M (-4.81%↓ Y/Y)Loans and leases heldfor sale (includes...$1,365M (188.58%↑ Y/Y)Intangible assets$1,233M (1403.66%↑ Y/Y)Equity securities$544M (10.12%↑ Y/Y)Allowance for loan andlease losses$2,922M (22.57%↑ Y/Y)Unrealizedgains-Commercial Mortgage Backed...$36M (350.00%↑ Y/Y)Unrealized gains-MortgageBacked Securities...$11M Unrealizedgains-USTreasury And Government$3M (200.00%↑ Y/Y)Total assets$297,039M (39.67%↑ Y/Y)Collectively evaluated$2,761M (25.96%↑ Y/Y)Individually evaluated$161M (-16.15%↓ Y/Y)Total liabilities andequity$297,039M (39.67%↑ Y/Y)Total liabilities$262,933M (36.75%↑ Y/Y)Total equity$34,106M (67.16%↑ Y/Y)Treasury stock$8,261M (3.02%↑ Y/Y)Accumulated othercomprehensive loss-$3,234M (16.97%↑ Y/Y)Total deposits$233,621M (41.16%↑ Y/Y)Long-term debt$18,753M (28.98%↑ Y/Y)Other liabilities$6,642M (37.92%↑ Y/Y)Accrued taxes, interestand expenses$2,628M (52.61%↑ Y/Y)Short-term borrowings$1,289M Retained earnings$25,248M (3.57%↑ Y/Y)Capital surplus$15,586M (313.09%↑ Y/Y)Common stock$2,585M (26.04%↑ Y/Y)Preferred stock$2,182M (3.12%↑ Y/Y)Interest-bearing deposits$168,286M (35.01%↑ Y/Y)Noninterest-bearing deposits$65,335M (59.92%↑ Y/Y)

FIFTH THIRD BANCORP (FITBO)

FIFTH THIRD BANCORP (FITBO)