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

Cash Flow Overview

Unit: Million (M) dollars
Positive Cash Flow Breakdown
    • Short-term borrowings
    • Deposits
    • Other assets
    • Others
Negative Cash Flow Breakdown
    • Loans originated, net of princip...
    • Federal funds sold and securitie...
    • Debt and equity securities, held...
    • Others

Cash Flow
2025-09-30
2025-06-30
2025-03-31
2024-12-31
Net income (loss) before noncontrolling interests
5,609 5,522 4,804 5,263
Provision for credit losses
681 1,005 932 1,095
Changes in fair value of msrs and lhfs carried at fair value
-35 -76 -239 277
Depreciation, amortization and accretion
1,839 1,893 1,858 1,984
Deferred income tax benefit
446 768 423 -557
Other, net
-388 -2,653 -3,372 5,551
Originations and purchases of loans held for sale
15,633 10,057 9,501 11,529
Proceeds from sales of and paydowns on loans originally classified as held for sale
11,610 7,717 8,627 11,093
Debt and equity securities, held for trading
30,805 6,440 7,174 -2,056
Derivative assets and liabilities
-1,105 3,400 3,077 -1,963
Other assets
-13,833 8,296 13,037 -4,198
Other accrued expenses and liabilities
10,915 -1,121 2,343 -1,948
Net cash provided (used) by operating activities
-869 -11,216 -11,037 8,904
Federal funds sold and securities purchased under resale agreements
49,761 -22,015 21,500 2,236
Proceeds from sales
1,904 2,357 97 12,694
Paydowns and maturities
5,742 5,204 4,821 8,075
Purchases
25,254 14,965 17,676 22,846
Paydowns and maturities
7,285 5,741 7,783 8,288
Purchases
---0
Proceeds from sales and capital returns
795 1,943 620 808
Purchases
2,741 1,876 1,315 3,450
Loans originated, net of principal collected
-50,481 12,275 2,601 -18,663
Proceeds from sales of loans originally classified as held for investment
766 827 956 1,159
Purchases of loans
392 208 380 441
Other, net
480 715 -1,687 -224
Net cash provided (used) by investing activities
-82,865 8,048 -27,508 -1,064
Deposits
26,658 -21,025 -10,076 22,158
Short-term borrowings
42,654 48,219 30,970 -3,625
Proceeds from issuance
10,756 12,015 7,340 4,140
Repayment
9,344 12,324 9,618 6,806
Proceeds from issuance
0 --0
Redeemed
0 2,000 0 0
Cash dividends paid
248 305 249 307
Repurchased
6,000 3,016 3,500 4,000
Cash dividends paid
1,431 1,287 1,318 1,325
Other, net
72 -154 -728 -301
Net cash provided (used) by financing activities
63,117 20,123 12,821 9,934
Net change in cash, cash equivalents, and restricted cash
-20,617 16,955 -25,724 17,774
Cash and cash equivalents at beginning of period
193,133 176,178 201,902 184,128
Cash and cash equivalents at end of period
172,516 193,133 176,178 201,902
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

Short-term borrowings$42,654M (714.61%↑ Y/Y)Deposits$26,658M (264.07%↑ Y/Y)Proceeds from issuance$10,756M (157.44%↑ Y/Y)Other, net$72M (-36.84%↓ Y/Y)Net cash provided(used) by financing...$63,117M (312.09%↑ Y/Y)Canceled cashflow$17,023M Net change in cash,cash equivalents,...-$20,617M (55.81%↑ Y/Y)Canceled cashflow$63,117M something is missing$29,752M Paydowns and maturities$7,285M (-4.23%↓ Y/Y)Paydowns and maturities$5,742M (-45.33%↓ Y/Y)Proceeds from sales$1,904M (-81.78%↓ Y/Y)Proceeds from sales andcapital returns$795M (-31.23%↓ Y/Y)Proceeds from sales ofloans originally...$766M (-42.49%↓ Y/Y)Other assets-$13,833M (-301.62%↓ Y/Y)Proceeds from sales of andpaydowns on loans...$11,610M (39.28%↑ Y/Y)Other accruedexpenses and liabilities$10,915M (12303.41%↑ Y/Y)Net income (loss)before noncontrolling...$5,609M (8.49%↑ Y/Y)Depreciation, amortizationand accretion$1,839M (3.14%↑ Y/Y)Derivative assets andliabilities-$1,105M (-145.45%↓ Y/Y)Provision for creditlosses$681M (-36.06%↓ Y/Y)Other, net-$388M (93.40%↑ Y/Y)Changes in fair value ofmsrs and lhfs carried...-$35M (92.24%↑ Y/Y)Repayment$9,344M (19.24%↑ Y/Y)Repurchased$6,000M (74.67%↑ Y/Y)Cash dividends paid$1,431M (5.45%↑ Y/Y)Cash dividends paid$248M (6.44%↑ Y/Y)Net cash provided(used) by investing...-$82,865M (-292.76%↓ Y/Y)Canceled cashflow$46,244M Net cash provided(used) by operating...-$869M (-120.66%↓ Y/Y)Canceled cashflow$46,015M Loans originated, netof principal...-$50,481M Federal funds sold andsecurities purchased under...$49,761M (115.13%↑ Y/Y)Purchases$25,254M (-24.63%↓ Y/Y)Purchases$2,741M (59.36%↑ Y/Y)Other, net$480M (-5.70%↓ Y/Y)Purchases of loans$392M (284.31%↑ Y/Y)Debt and equitysecurities, held for trading$30,805M (2199.86%↑ Y/Y)Originations and purchases ofloans held for sale$15,633M (57.89%↑ Y/Y)Deferred income taxbenefit$446M (-46.78%↓ Y/Y)

WELLS FARGO & COMPANY MN (WFC-PL)

WELLS FARGO & COMPANY MN (WFC-PL)