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FCNCA First Citizens BancShares

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  • 1869.600
  • +21.790+1.18%
Close Mar 7 16:00 ET
  • 1869.600
  • 0.0000.00%
Post 16:05 ET
25.38BMarket Cap9.87P/E (TTM)

First Citizens BancShares Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
12.33%2.99B
24.20%1.12B
-17.76%991M
-54.48%417M
227.35%461M
-4.69%2.66B
-14.52%901M
138.14%1.21B
40.06%916M
-162.74%-362M
Net income from continuing operations
-75.78%2.78B
36.19%700M
-15.03%639M
3.67%707M
-92.32%731M
944.26%11.47B
100.00%514M
138.73%752M
167.45%682M
3,412.18%9.52B
Operating gains losses
-1,300.00%-48M
-275.00%-15M
-1,900.00%-18M
-100.00%-4M
-222.22%-11M
107.55%4M
80.95%-4M
120.00%1M
84.62%-2M
164.29%9M
Depreciation and amortization
328.07%130M
308.89%94M
141.18%42M
117.65%6M
-109.68%-12M
-110.69%-57M
-133.58%-45M
-175.00%-102M
-122.82%-34M
8.77%124M
Deferred tax
103.64%6M
148.36%133M
-89.11%56M
45.07%-184M
101.45%1M
-180.10%-165M
-318.25%-275M
678.79%514M
-546.67%-335M
-13.11%-69M
Other non cashItems
102.15%212M
187.04%155M
309.52%86M
-38.30%-65M
100.36%36M
-2,344.55%-9.88B
440.00%54M
2,000.00%21M
-393.75%-47M
-2,197.91%-9.9B
Change in working capital
-205.78%-529M
-131.34%-115M
139.80%78M
-128.63%-140M
57.74%-352M
-123.25%-173M
-21.75%367M
-172.22%-196M
300.82%489M
-470.22%-833M
-Change in other current assets
-340.29%-495M
-152.92%-326M
129.12%99M
-178.13%-325M
111.73%57M
-57.44%206M
44.94%616M
-13.71%-340M
2,673.33%416M
-241.69%-486M
-Change in other current liabilities
91.03%-34M
184.74%211M
-114.58%-21M
153.42%185M
-17.87%-409M
-245.77%-379M
-665.91%-249M
-36.56%144M
-31.78%73M
-194.07%-347M
Cash from discontinued operating activities
Operating cash flow
12.33%2.99B
24.20%1.12B
-17.76%991M
-54.48%417M
227.35%461M
-4.69%2.66B
-14.52%901M
138.14%1.21B
40.06%916M
-162.74%-362M
Investing cash flow
Cash flow from continuing investing activities
-518.07%-10.16B
-945.81%-3.74B
91.98%-301M
-146.49%-1.82B
-263.28%-4.29B
3,138.67%2.43B
50.96%-358M
-98.94%-3.75B
687.32%3.91B
19.73%2.63B
Proceeds payment in interest bearing deposits in bank
126.09%12.25B
38.20%4.28B
-123.02%-279M
353.34%5.43B
3,301.14%2.82B
-22.24%5.42B
169.51%3.09B
300.00%1.21B
-57.35%1.2B
-103.25%-88M
Net investment purchase and sale
-38.73%-13.77B
-110.10%-5.78B
97.55%-114M
-18.36%-2.99B
-61,225.00%-4.89B
-1,390.69%-9.93B
-446.23%-2.75B
-5,726.25%-4.66B
-2,293.04%-2.52B
104.06%8M
Net proceeds payment for loan
-211.86%-7.13B
-1,249.62%-1.77B
1,552.38%610M
-172.57%-3.9B
-276.64%-2.07B
225.00%6.37B
87.21%-131M
97.94%-42M
344.61%5.37B
633.13%1.17B
Net PPE purchase and sale
-8.44%-1.29B
3.13%-340M
-116.84%-425M
11.21%-301M
26.76%-219M
-44.87%-1.19B
-2.03%-351M
-32.43%-196M
-225.96%-339M
-34.68%-299M
Net business purchase and sale
--0
--0
--0
--0
--0
504.48%810M
--0
---69M
---468M
905.22%1.35B
Net other investing changes
-137.24%-527M
-45.05%-425M
-111.86%-30M
-106.82%-66M
-101.23%-6M
420.86%1.42B
-4,783.33%-293M
232.89%253M
868.25%968M
226.49%487M
Cash from discontinued investing activities
Investing cash flow
-518.07%-10.16B
-945.81%-3.74B
91.98%-301M
-146.49%-1.82B
-263.28%-4.29B
3,138.67%2.43B
50.96%-358M
-98.94%-3.75B
687.32%3.91B
19.73%2.63B
Financing cash flow
Cash flow from continuing financing activities
250.52%7.07B
704.93%2.58B
-124.42%-592M
126.64%1.47B
405.23%3.62B
-74.94%-4.7B
-48.43%-426M
89.52%2.42B
-405.13%-5.51B
54.16%-1.19B
Change in federal funds and securities sold for repurchase
-402.56%-118M
-175.00%-24M
350.00%5M
83.33%-9M
-242.86%-90M
125.49%39M
122.54%32M
97.06%-2M
-280.00%-54M
133.33%63M
Increase decrease in deposit
3,470.19%9.46B
1,272.38%3.69B
-90.58%461M
34.10%1.52B
169.57%3.79B
115.67%265M
-116.75%-315M
374.02%4.89B
150.58%1.13B
-1,304.87%-5.45B
Net issuance payments of debt
90.78%-450M
0.97%-102M
87.07%-316M
99.98%-1M
-100.73%-31M
-1,066.14%-4.88B
93.37%-103M
-161.88%-2.44B
-675.61%-6.56B
239.57%4.23B
Net commonstock issuance
---1.65B
---948M
----
----
----
--0
--0
----
----
----
Cash dividends paid
-35.04%-158M
-7.69%-42M
-46.15%-38M
-50.00%-39M
-50.00%-39M
-40.96%-117M
-56.00%-39M
-30.00%-26M
-8.33%-26M
-85.71%-26M
Net other financing activities
-100.00%-14M
--0
-500.00%-4M
0.00%-1M
-50.00%-9M
70.83%-7M
---1M
133.33%1M
-200.00%-1M
72.73%-6M
Cash from discontinued financing activities
Financing cash flow
250.52%7.07B
704.93%2.58B
-124.42%-592M
126.64%1.47B
405.23%3.62B
-74.94%-4.7B
-48.43%-426M
89.52%2.42B
-405.13%-5.51B
54.16%-1.19B
Net cash flow
Beginning cash position
75.29%908M
8.98%862M
-16.68%764M
-56.32%698M
75.29%908M
53.25%518M
64.45%791M
57.29%917M
205.54%1.6B
53.25%518M
Current changes in cash
-124.10%-94M
-141.03%-48M
178.40%98M
109.68%66M
-119.44%-210M
116.67%390M
216.22%117M
-22.55%-125M
-1,236.67%-682M
483.78%1.08B
End cash position
-10.35%814M
-10.35%814M
8.98%862M
-16.68%764M
-56.32%698M
75.29%908M
75.29%908M
64.45%791M
57.29%917M
205.54%1.6B
Free cash flow
17.94%1.45B
39.79%678M
-42.67%520M
-85.21%79M
125.36%176M
-33.94%1.23B
-27.93%485M
167.55%907M
3.29%534M
-306.55%-694M
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
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities 12.33%2.99B24.20%1.12B-17.76%991M-54.48%417M227.35%461M-4.69%2.66B-14.52%901M138.14%1.21B40.06%916M-162.74%-362M
Net income from continuing operations -75.78%2.78B36.19%700M-15.03%639M3.67%707M-92.32%731M944.26%11.47B100.00%514M138.73%752M167.45%682M3,412.18%9.52B
Operating gains losses -1,300.00%-48M-275.00%-15M-1,900.00%-18M-100.00%-4M-222.22%-11M107.55%4M80.95%-4M120.00%1M84.62%-2M164.29%9M
Depreciation and amortization 328.07%130M308.89%94M141.18%42M117.65%6M-109.68%-12M-110.69%-57M-133.58%-45M-175.00%-102M-122.82%-34M8.77%124M
Deferred tax 103.64%6M148.36%133M-89.11%56M45.07%-184M101.45%1M-180.10%-165M-318.25%-275M678.79%514M-546.67%-335M-13.11%-69M
Other non cashItems 102.15%212M187.04%155M309.52%86M-38.30%-65M100.36%36M-2,344.55%-9.88B440.00%54M2,000.00%21M-393.75%-47M-2,197.91%-9.9B
Change in working capital -205.78%-529M-131.34%-115M139.80%78M-128.63%-140M57.74%-352M-123.25%-173M-21.75%367M-172.22%-196M300.82%489M-470.22%-833M
-Change in other current assets -340.29%-495M-152.92%-326M129.12%99M-178.13%-325M111.73%57M-57.44%206M44.94%616M-13.71%-340M2,673.33%416M-241.69%-486M
-Change in other current liabilities 91.03%-34M184.74%211M-114.58%-21M153.42%185M-17.87%-409M-245.77%-379M-665.91%-249M-36.56%144M-31.78%73M-194.07%-347M
Cash from discontinued operating activities
Operating cash flow 12.33%2.99B24.20%1.12B-17.76%991M-54.48%417M227.35%461M-4.69%2.66B-14.52%901M138.14%1.21B40.06%916M-162.74%-362M
Investing cash flow
Cash flow from continuing investing activities -518.07%-10.16B-945.81%-3.74B91.98%-301M-146.49%-1.82B-263.28%-4.29B3,138.67%2.43B50.96%-358M-98.94%-3.75B687.32%3.91B19.73%2.63B
Proceeds payment in interest bearing deposits in bank 126.09%12.25B38.20%4.28B-123.02%-279M353.34%5.43B3,301.14%2.82B-22.24%5.42B169.51%3.09B300.00%1.21B-57.35%1.2B-103.25%-88M
Net investment purchase and sale -38.73%-13.77B-110.10%-5.78B97.55%-114M-18.36%-2.99B-61,225.00%-4.89B-1,390.69%-9.93B-446.23%-2.75B-5,726.25%-4.66B-2,293.04%-2.52B104.06%8M
Net proceeds payment for loan -211.86%-7.13B-1,249.62%-1.77B1,552.38%610M-172.57%-3.9B-276.64%-2.07B225.00%6.37B87.21%-131M97.94%-42M344.61%5.37B633.13%1.17B
Net PPE purchase and sale -8.44%-1.29B3.13%-340M-116.84%-425M11.21%-301M26.76%-219M-44.87%-1.19B-2.03%-351M-32.43%-196M-225.96%-339M-34.68%-299M
Net business purchase and sale --0--0--0--0--0504.48%810M--0---69M---468M905.22%1.35B
Net other investing changes -137.24%-527M-45.05%-425M-111.86%-30M-106.82%-66M-101.23%-6M420.86%1.42B-4,783.33%-293M232.89%253M868.25%968M226.49%487M
Cash from discontinued investing activities
Investing cash flow -518.07%-10.16B-945.81%-3.74B91.98%-301M-146.49%-1.82B-263.28%-4.29B3,138.67%2.43B50.96%-358M-98.94%-3.75B687.32%3.91B19.73%2.63B
Financing cash flow
Cash flow from continuing financing activities 250.52%7.07B704.93%2.58B-124.42%-592M126.64%1.47B405.23%3.62B-74.94%-4.7B-48.43%-426M89.52%2.42B-405.13%-5.51B54.16%-1.19B
Change in federal funds and securities sold for repurchase -402.56%-118M-175.00%-24M350.00%5M83.33%-9M-242.86%-90M125.49%39M122.54%32M97.06%-2M-280.00%-54M133.33%63M
Increase decrease in deposit 3,470.19%9.46B1,272.38%3.69B-90.58%461M34.10%1.52B169.57%3.79B115.67%265M-116.75%-315M374.02%4.89B150.58%1.13B-1,304.87%-5.45B
Net issuance payments of debt 90.78%-450M0.97%-102M87.07%-316M99.98%-1M-100.73%-31M-1,066.14%-4.88B93.37%-103M-161.88%-2.44B-675.61%-6.56B239.57%4.23B
Net commonstock issuance ---1.65B---948M--------------0--0------------
Cash dividends paid -35.04%-158M-7.69%-42M-46.15%-38M-50.00%-39M-50.00%-39M-40.96%-117M-56.00%-39M-30.00%-26M-8.33%-26M-85.71%-26M
Net other financing activities -100.00%-14M--0-500.00%-4M0.00%-1M-50.00%-9M70.83%-7M---1M133.33%1M-200.00%-1M72.73%-6M
Cash from discontinued financing activities
Financing cash flow 250.52%7.07B704.93%2.58B-124.42%-592M126.64%1.47B405.23%3.62B-74.94%-4.7B-48.43%-426M89.52%2.42B-405.13%-5.51B54.16%-1.19B
Net cash flow
Beginning cash position 75.29%908M8.98%862M-16.68%764M-56.32%698M75.29%908M53.25%518M64.45%791M57.29%917M205.54%1.6B53.25%518M
Current changes in cash -124.10%-94M-141.03%-48M178.40%98M109.68%66M-119.44%-210M116.67%390M216.22%117M-22.55%-125M-1,236.67%-682M483.78%1.08B
End cash position -10.35%814M-10.35%814M8.98%862M-16.68%764M-56.32%698M75.29%908M75.29%908M64.45%791M57.29%917M205.54%1.6B
Free cash flow 17.94%1.45B39.79%678M-42.67%520M-85.21%79M125.36%176M-33.94%1.23B-27.93%485M167.55%907M3.29%534M-306.55%-694M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------

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