US Stock MarketDetailed Quotes

BK Bank of New York Mellon

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  • 80.140
  • +1.260+1.60%
Close Nov 22 16:00 ET
  • 80.140
  • 0.0000.00%
Post 19:46 ET
58.27BMarket Cap17.42P/E (TTM)

Bank of New York Mellon Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
-106.19%-312M
85.45%2.13B
-249.55%-2.68B
-60.76%5.91B
-170.73%-2.07B
35.30%5.04B
-76.99%1.15B
-47.74%1.79B
430.94%15.07B
-6.55%2.92B
Net income from continuing operations
13.65%1.18B
8.96%1.17B
4.38%1.03B
27.71%3.29B
-64.64%192M
168.04%1.04B
23.36%1.07B
27.04%982M
-31.55%2.57B
-37.08%543M
Operating gains losses
-11.11%16M
--16M
---1M
-85.78%62M
-89.62%46M
1,900.00%18M
----
----
4,063.64%436M
22,250.00%443M
Depreciation and amortization
5.87%451M
1.56%456M
33.33%468M
6.85%1.75B
37.01%522M
7.58%426M
6.40%449M
-19.68%351M
-12.37%1.64B
-17.35%381M
Deferred tax
-57.81%-101M
-188.24%-45M
550.00%13M
-372.90%-423M
-312.00%-412M
-158.18%-64M
-53.21%51M
-94.44%2M
-39.69%155M
-5,100.00%-100M
Change in working capital
-152.06%-1.88B
225.06%534M
-1,079.53%-4.21B
-88.27%1.12B
-252.72%-2.5B
65.77%3.62B
-112.05%-427M
-80.33%430M
440.67%9.55B
-10.15%1.64B
-Change in other working capital
-152.06%-1.88B
225.06%534M
-1,079.53%-4.21B
-88.27%1.12B
-252.72%-2.5B
65.77%3.62B
-112.05%-427M
-80.33%430M
440.67%9.55B
-10.15%1.64B
Cash from discontinued operating activities
Operating cash flow
-106.19%-312M
85.45%2.13B
-249.55%-2.68B
-60.76%5.91B
-170.73%-2.07B
35.30%5.04B
-76.99%1.15B
-47.74%1.79B
430.94%15.07B
-6.55%2.92B
Investing cash flow
Cash flow from continuing investing activities
-50.54%10.2B
173.91%5.43B
-50.64%-26.74B
-129.23%-5.81B
-105.36%-1.35B
6.65%20.63B
-178.91%-7.34B
47.64%-17.75B
1.03%19.87B
26.05%25.12B
Proceeds payment in interest bearing deposits in bank
112.95%18.02B
584.88%1.77B
63.99%-8.98B
-279.50%-16.79B
-103.08%-573M
-55.87%8.46B
-96.92%258M
32.25%-24.93B
-74.24%9.35B
-30.73%18.6B
Net investment purchase and sale
-142.73%-1.94B
-71.79%1.27B
-293.30%-10.45B
203.75%17.58B
14.09%3.13B
75.98%4.55B
446.34%4.5B
206.87%5.4B
192.78%5.79B
206.08%2.74B
Net proceeds payment for loan
166.96%1.23B
237.35%2.92B
-282.47%-6.78B
-152.85%-752M
-112.92%-509M
-227.50%-1.83B
-45.41%-2.12B
847.28%3.71B
112.54%1.42B
211.71%3.94B
Net PPE purchase and sale
-11.61%-375M
-7.91%-382M
-14.56%-299M
6.23%-1.22B
24.65%-269M
-184.75%-336M
41.00%-354M
-15.49%-261M
-10.16%-1.3B
4.55%-357M
Net business purchase and sale
----
----
----
--0
----
----
----
----
375.31%446M
332.35%395M
Net other investing changes
-140.31%-289M
93.54%-74M
-43.12%525M
97.16%-32M
-184.84%-526M
157.82%717M
-968.18%-1.15B
244.44%923M
-205.33%-1.13B
-26.37%620M
Cash from discontinued investing activities
Investing cash flow
-50.54%10.2B
173.91%5.43B
-50.64%-26.74B
-129.23%-5.81B
-105.36%-1.35B
6.65%20.63B
-178.91%-7.34B
47.64%-17.75B
1.03%19.87B
26.05%25.12B
Financing cash flow
Cash flow from continuing financing activities
65.46%-9.42B
-232.04%-7.41B
97.27%28.43B
89.54%-3.52B
114.31%3.74B
-18.33%-27.29B
138.62%5.61B
-52.11%14.41B
-53.24%-33.65B
-8.38%-26.15B
Change in federal funds and securities sold for repurchase
81.30%-1.21B
111.74%615M
-95.76%603M
171.90%2.15B
-142.44%-390M
-9,253.62%-6.45B
-212.22%-5.24B
779.54%14.23B
89.00%790M
336.86%919M
Increase decrease in deposit
13.89%-10.96B
-133.92%-4.09B
3,456.58%27.03B
109.34%3.46B
111.72%3.38B
40.07%-12.73B
182.97%12.05B
-97.24%760M
-106.80%-37.01B
-26.90%-28.81B
Net issuance payments of debt
147.13%1.7B
-208.92%-1.18B
-37.22%1.19B
-91.03%501M
-54.68%1.13B
-701.17%-3.61B
-62.30%1.09B
577.02%1.89B
498.61%5.59B
135.22%2.5B
Net commonstock issuance
-61.43%-720M
-34.76%-597M
21.47%-984M
-2,252.73%-2.59B
-22,400.00%-446M
-14,966.67%-446M
-248.82%-443M
-10,541.67%-1.25B
97.58%-110M
100.16%2M
Net preferred stock issuance
----
----
----
---500M
----
----
----
----
--0
----
Cash dividends paid
-2.41%-425M
-4.20%-347M
-5.60%-396M
-8.07%-1.49B
-7.37%-364M
-11.56%-415M
-6.39%-333M
-6.53%-375M
-4.01%-1.38B
-9.00%-339M
Proceeds from stock option exercised by employees
----
----
----
--0
----
----
----
----
-82.00%9M
--0
Net other financing activities
160.12%2.19B
-20.39%-1.81B
218.47%994M
-227.22%-5.05B
320.80%934M
-83.27%-3.64B
-92.58%-1.51B
-150.94%-839M
-1,354.47%-1.54B
49.34%-423M
Cash from discontinued financing activities
Financing cash flow
65.46%-9.42B
-232.04%-7.41B
97.27%28.43B
89.54%-3.52B
114.31%3.74B
-18.33%-27.29B
138.62%5.61B
-52.11%14.41B
-53.24%-33.65B
-8.38%-26.15B
Net cash flow
Beginning cash position
-23.67%7.34B
-28.05%7.21B
-27.64%8.34B
16.65%11.53B
4.19%4.9B
-0.15%9.61B
5.02%10.02B
16.65%11.53B
4.93%9.88B
-30.29%4.71B
Current changes in cash
128.96%468M
124.61%143M
36.13%-988M
-365.30%-3.42B
-82.77%327M
-18,055.56%-1.62B
-140.08%-581M
-310.34%-1.55B
135.04%1.29B
277.88%1.9B
Effect of exchange rate changes
575.00%38M
-110.59%-18M
-446.34%-142M
-35.75%230M
-12.90%27M
77.14%-8M
-47.53%170M
7.89%41M
526.19%358M
1,133.33%31M
End cash position
27.12%6.23B
-23.67%7.34B
-28.05%7.21B
-27.64%8.34B
-27.64%8.34B
4.19%4.9B
-0.15%9.61B
5.02%10.02B
16.65%11.53B
16.65%11.53B
Free cash flow
-114.60%-687M
120.03%1.75B
-294.58%-2.98B
-65.81%4.69B
-191.04%-2.34B
30.41%4.7B
-81.91%794M
-51.52%1.53B
745.47%13.72B
-6.82%2.57B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
Unqualified Opinion
--
--
--
--
--
--
(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities -106.19%-312M85.45%2.13B-249.55%-2.68B-60.76%5.91B-170.73%-2.07B35.30%5.04B-76.99%1.15B-47.74%1.79B430.94%15.07B-6.55%2.92B
Net income from continuing operations 13.65%1.18B8.96%1.17B4.38%1.03B27.71%3.29B-64.64%192M168.04%1.04B23.36%1.07B27.04%982M-31.55%2.57B-37.08%543M
Operating gains losses -11.11%16M--16M---1M-85.78%62M-89.62%46M1,900.00%18M--------4,063.64%436M22,250.00%443M
Depreciation and amortization 5.87%451M1.56%456M33.33%468M6.85%1.75B37.01%522M7.58%426M6.40%449M-19.68%351M-12.37%1.64B-17.35%381M
Deferred tax -57.81%-101M-188.24%-45M550.00%13M-372.90%-423M-312.00%-412M-158.18%-64M-53.21%51M-94.44%2M-39.69%155M-5,100.00%-100M
Change in working capital -152.06%-1.88B225.06%534M-1,079.53%-4.21B-88.27%1.12B-252.72%-2.5B65.77%3.62B-112.05%-427M-80.33%430M440.67%9.55B-10.15%1.64B
-Change in other working capital -152.06%-1.88B225.06%534M-1,079.53%-4.21B-88.27%1.12B-252.72%-2.5B65.77%3.62B-112.05%-427M-80.33%430M440.67%9.55B-10.15%1.64B
Cash from discontinued operating activities
Operating cash flow -106.19%-312M85.45%2.13B-249.55%-2.68B-60.76%5.91B-170.73%-2.07B35.30%5.04B-76.99%1.15B-47.74%1.79B430.94%15.07B-6.55%2.92B
Investing cash flow
Cash flow from continuing investing activities -50.54%10.2B173.91%5.43B-50.64%-26.74B-129.23%-5.81B-105.36%-1.35B6.65%20.63B-178.91%-7.34B47.64%-17.75B1.03%19.87B26.05%25.12B
Proceeds payment in interest bearing deposits in bank 112.95%18.02B584.88%1.77B63.99%-8.98B-279.50%-16.79B-103.08%-573M-55.87%8.46B-96.92%258M32.25%-24.93B-74.24%9.35B-30.73%18.6B
Net investment purchase and sale -142.73%-1.94B-71.79%1.27B-293.30%-10.45B203.75%17.58B14.09%3.13B75.98%4.55B446.34%4.5B206.87%5.4B192.78%5.79B206.08%2.74B
Net proceeds payment for loan 166.96%1.23B237.35%2.92B-282.47%-6.78B-152.85%-752M-112.92%-509M-227.50%-1.83B-45.41%-2.12B847.28%3.71B112.54%1.42B211.71%3.94B
Net PPE purchase and sale -11.61%-375M-7.91%-382M-14.56%-299M6.23%-1.22B24.65%-269M-184.75%-336M41.00%-354M-15.49%-261M-10.16%-1.3B4.55%-357M
Net business purchase and sale --------------0----------------375.31%446M332.35%395M
Net other investing changes -140.31%-289M93.54%-74M-43.12%525M97.16%-32M-184.84%-526M157.82%717M-968.18%-1.15B244.44%923M-205.33%-1.13B-26.37%620M
Cash from discontinued investing activities
Investing cash flow -50.54%10.2B173.91%5.43B-50.64%-26.74B-129.23%-5.81B-105.36%-1.35B6.65%20.63B-178.91%-7.34B47.64%-17.75B1.03%19.87B26.05%25.12B
Financing cash flow
Cash flow from continuing financing activities 65.46%-9.42B-232.04%-7.41B97.27%28.43B89.54%-3.52B114.31%3.74B-18.33%-27.29B138.62%5.61B-52.11%14.41B-53.24%-33.65B-8.38%-26.15B
Change in federal funds and securities sold for repurchase 81.30%-1.21B111.74%615M-95.76%603M171.90%2.15B-142.44%-390M-9,253.62%-6.45B-212.22%-5.24B779.54%14.23B89.00%790M336.86%919M
Increase decrease in deposit 13.89%-10.96B-133.92%-4.09B3,456.58%27.03B109.34%3.46B111.72%3.38B40.07%-12.73B182.97%12.05B-97.24%760M-106.80%-37.01B-26.90%-28.81B
Net issuance payments of debt 147.13%1.7B-208.92%-1.18B-37.22%1.19B-91.03%501M-54.68%1.13B-701.17%-3.61B-62.30%1.09B577.02%1.89B498.61%5.59B135.22%2.5B
Net commonstock issuance -61.43%-720M-34.76%-597M21.47%-984M-2,252.73%-2.59B-22,400.00%-446M-14,966.67%-446M-248.82%-443M-10,541.67%-1.25B97.58%-110M100.16%2M
Net preferred stock issuance ---------------500M------------------0----
Cash dividends paid -2.41%-425M-4.20%-347M-5.60%-396M-8.07%-1.49B-7.37%-364M-11.56%-415M-6.39%-333M-6.53%-375M-4.01%-1.38B-9.00%-339M
Proceeds from stock option exercised by employees --------------0-----------------82.00%9M--0
Net other financing activities 160.12%2.19B-20.39%-1.81B218.47%994M-227.22%-5.05B320.80%934M-83.27%-3.64B-92.58%-1.51B-150.94%-839M-1,354.47%-1.54B49.34%-423M
Cash from discontinued financing activities
Financing cash flow 65.46%-9.42B-232.04%-7.41B97.27%28.43B89.54%-3.52B114.31%3.74B-18.33%-27.29B138.62%5.61B-52.11%14.41B-53.24%-33.65B-8.38%-26.15B
Net cash flow
Beginning cash position -23.67%7.34B-28.05%7.21B-27.64%8.34B16.65%11.53B4.19%4.9B-0.15%9.61B5.02%10.02B16.65%11.53B4.93%9.88B-30.29%4.71B
Current changes in cash 128.96%468M124.61%143M36.13%-988M-365.30%-3.42B-82.77%327M-18,055.56%-1.62B-140.08%-581M-310.34%-1.55B135.04%1.29B277.88%1.9B
Effect of exchange rate changes 575.00%38M-110.59%-18M-446.34%-142M-35.75%230M-12.90%27M77.14%-8M-47.53%170M7.89%41M526.19%358M1,133.33%31M
End cash position 27.12%6.23B-23.67%7.34B-28.05%7.21B-27.64%8.34B-27.64%8.34B4.19%4.9B-0.15%9.61B5.02%10.02B16.65%11.53B16.65%11.53B
Free cash flow -114.60%-687M120.03%1.75B-294.58%-2.98B-65.81%4.69B-191.04%-2.34B30.41%4.7B-81.91%794M-51.52%1.53B745.47%13.72B-6.82%2.57B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion------------

Analysis

Analyst Rating

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Price Target

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