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FITB Fifth Third Bancorp

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  • 47.150
  • -0.050-0.11%
Trading Nov 12 15:51 ET
31.62BMarket Cap15.72P/E (TTM)

Fifth Third Bancorp 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
192.45%1.86B
41.46%679M
-70.78%386M
-29.85%4.51B
-0.05%2.07B
-62.81%636M
-49.90%480M
-21.70%1.32B
137.72%6.43B
54.47%2.07B
Net income from continuing operations
-13.33%572M
0.17%602M
-6.81%520M
-3.97%2.35B
-28.09%530M
1.07%660M
6.94%601M
12.96%558M
-11.70%2.45B
11.16%737M
Operating gains losses
---38M
-100.00%-12M
37.50%-15M
2.25%-87M
40.63%-57M
--0
77.78%-6M
-442.86%-24M
74.93%-89M
4.95%-96M
Depreciation and amortization
6.96%123M
4.35%120M
9.40%128M
5.96%462M
2.68%115M
8.49%115M
5.50%115M
7.34%117M
24.93%436M
609.09%112M
Deferred tax
0.00%10M
138.82%33M
16.67%-35M
-76.67%-106M
126.83%11M
140.00%10M
-553.85%-85M
-321.05%-42M
-328.57%-60M
-120.20%-41M
Other non cashItems
-35.12%109M
-2,122.22%-200M
-93.69%20M
-70.41%801M
-66.70%325M
-63.40%168M
-175.00%-9M
-74.84%317M
585.32%2.71B
15.78%976M
Change in working capital
285.05%879M
97.77%-8M
-387.05%-399M
71.43%360M
562.89%1.05B
-266.08%-475M
-450.98%-358M
141.25%139M
187.87%210M
166.53%159M
-Change in payables and accrued expense
-117.19%-33M
-3.23%60M
50.41%-120M
132.02%162M
837.50%150M
-32.63%192M
1,966.67%62M
70.12%-242M
-133.18%-506M
132.00%16M
-Change in other current assets
233.99%883M
105.09%22M
-151.56%-265M
-49.54%326M
549.64%903M
-539.33%-659M
-717.14%-432M
79.09%514M
1,845.95%646M
142.25%139M
-Change in other working capital
462.50%29M
-850.00%-90M
89.47%-14M
-282.86%-128M
-75.00%1M
94.63%-8M
-58.62%12M
-171.51%-133M
366.67%70M
-97.14%4M
Cash from discontinued operating activities
Operating cash flow
192.45%1.86B
41.46%679M
-70.78%386M
-29.85%4.51B
-0.05%2.07B
-62.81%636M
-49.90%480M
-21.70%1.32B
137.72%6.43B
54.47%2.07B
Investing cash flow
Cash flow from continuing investing activities
82.74%-1.16B
219.20%1.28B
90.31%-229M
-94.79%-9.49B
77.93%-833M
-288.23%-6.69B
-82.13%401M
-46.13%-2.36B
38.87%-4.87B
33.12%-3.77B
Proceeds payment in interest bearing deposits in bank
----
----
----
--0
----
----
----
----
--0
----
Net investment purchase and sale
90.83%-754M
565.57%1.56B
-4.93%-852M
-335.88%-12.86B
-67.48%-3.49B
-2,135.05%-8.23B
-105.72%-334M
-139.44%-812M
250.66%5.45B
-47.45%-2.08B
Net proceeds payment for loan
-119.22%-310M
-124.42%-209M
144.07%647M
141.73%3.78B
276.59%2.78B
231.57%1.61B
132.28%856M
59.22%-1.47B
-167.43%-9.05B
62.18%-1.57B
Net PPE purchase and sale
-15.48%-97M
39.34%-74M
54.95%-41M
10.43%-421M
18.42%-124M
38.69%-84M
-41.86%-122M
4.21%-91M
-79.39%-470M
-97.40%-152M
Net business purchase and sale
--0
--0
--6M
--0
--0
--0
--0
--0
-186.53%-851M
2,100.00%20M
Net other investing changes
100.00%6M
700.00%8M
37.50%11M
-71.43%14M
-83.33%2M
-50.00%3M
-91.67%1M
-57.89%8M
104.17%49M
200.00%12M
Cash from discontinued investing activities
Investing cash flow
82.74%-1.16B
219.20%1.28B
90.31%-229M
-94.79%-9.49B
77.93%-833M
-288.23%-6.69B
-82.13%401M
-46.13%-2.36B
38.87%-4.87B
33.12%-3.77B
Financing cash flow
Cash flow from continuing financing activities
-105.19%-327M
-79.76%-1.92B
-241.29%-503M
529.03%4.66B
-144.50%-934M
1,874.65%6.3B
62.08%-1.07B
2,473.33%356M
-121.23%-1.09B
-48.58%2.1B
Increase decrease in deposit
-55.64%1.57B
-344.49%-2.82B
194.41%675M
187.12%5.22B
-39.19%1.24B
2,903.39%3.54B
112.22%1.15B
-155.56%-715M
-155.84%-5.99B
-51.64%2.04B
Net issuance payments of debt
-145.99%-1.37B
167.42%1.32B
-152.67%-849M
-87.58%748M
-584.65%-1.9B
1,332.64%2.98B
-128.42%-1.95B
261.69%1.61B
286.18%6.02B
-9.28%391M
Net commonstock issuance
---200M
---125M
--0
-100.00%-200M
--0
--0
--0
---200M
92.82%-100M
68.35%-100M
Cash dividends paid
-42.22%-320M
-5.66%-280M
2.38%-287M
-14.35%-1.06B
-21.59%-276M
1.32%-225M
-9.50%-265M
-27.83%-294M
-3.34%-927M
6.58%-227M
Net other financing activities
-250.00%-7M
-233.33%-10M
10.64%-42M
35.29%-55M
25.00%-3M
33.33%-2M
0.00%-3M
37.33%-47M
14.14%-85M
33.33%-4M
Cash from discontinued financing activities
Financing cash flow
-105.19%-327M
-79.76%-1.92B
-241.29%-503M
529.03%4.66B
-144.50%-934M
1,874.65%6.3B
62.08%-1.07B
2,473.33%356M
-121.23%-1.09B
-48.58%2.1B
Net cash flow
Beginning cash position
9.37%2.84B
0.58%2.8B
-9.35%3.14B
15.76%3.47B
-7.53%2.84B
-24.53%2.59B
-8.82%2.78B
15.76%3.47B
-4.86%2.99B
-4.51%3.07B
Current changes in cash
55.56%378M
122.04%41M
49.56%-346M
-168.64%-324M
-23.37%305M
165.85%243M
-147.94%-186M
-1,347.27%-686M
408.50%472M
281.74%398M
End cash position
13.32%3.22B
9.37%2.84B
0.58%2.8B
-9.35%3.14B
-9.35%3.14B
-7.53%2.84B
-24.53%2.59B
-8.82%2.78B
15.76%3.47B
15.76%3.47B
Free cash flow
233.14%1.73B
70.43%588M
-73.43%321M
-32.54%4.02B
1.35%1.95B
-67.01%519M
-60.39%345M
-24.12%1.21B
148.68%5.96B
52.74%1.92B
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
--
(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 192.45%1.86B41.46%679M-70.78%386M-29.85%4.51B-0.05%2.07B-62.81%636M-49.90%480M-21.70%1.32B137.72%6.43B54.47%2.07B
Net income from continuing operations -13.33%572M0.17%602M-6.81%520M-3.97%2.35B-28.09%530M1.07%660M6.94%601M12.96%558M-11.70%2.45B11.16%737M
Operating gains losses ---38M-100.00%-12M37.50%-15M2.25%-87M40.63%-57M--077.78%-6M-442.86%-24M74.93%-89M4.95%-96M
Depreciation and amortization 6.96%123M4.35%120M9.40%128M5.96%462M2.68%115M8.49%115M5.50%115M7.34%117M24.93%436M609.09%112M
Deferred tax 0.00%10M138.82%33M16.67%-35M-76.67%-106M126.83%11M140.00%10M-553.85%-85M-321.05%-42M-328.57%-60M-120.20%-41M
Other non cashItems -35.12%109M-2,122.22%-200M-93.69%20M-70.41%801M-66.70%325M-63.40%168M-175.00%-9M-74.84%317M585.32%2.71B15.78%976M
Change in working capital 285.05%879M97.77%-8M-387.05%-399M71.43%360M562.89%1.05B-266.08%-475M-450.98%-358M141.25%139M187.87%210M166.53%159M
-Change in payables and accrued expense -117.19%-33M-3.23%60M50.41%-120M132.02%162M837.50%150M-32.63%192M1,966.67%62M70.12%-242M-133.18%-506M132.00%16M
-Change in other current assets 233.99%883M105.09%22M-151.56%-265M-49.54%326M549.64%903M-539.33%-659M-717.14%-432M79.09%514M1,845.95%646M142.25%139M
-Change in other working capital 462.50%29M-850.00%-90M89.47%-14M-282.86%-128M-75.00%1M94.63%-8M-58.62%12M-171.51%-133M366.67%70M-97.14%4M
Cash from discontinued operating activities
Operating cash flow 192.45%1.86B41.46%679M-70.78%386M-29.85%4.51B-0.05%2.07B-62.81%636M-49.90%480M-21.70%1.32B137.72%6.43B54.47%2.07B
Investing cash flow
Cash flow from continuing investing activities 82.74%-1.16B219.20%1.28B90.31%-229M-94.79%-9.49B77.93%-833M-288.23%-6.69B-82.13%401M-46.13%-2.36B38.87%-4.87B33.12%-3.77B
Proceeds payment in interest bearing deposits in bank --------------0------------------0----
Net investment purchase and sale 90.83%-754M565.57%1.56B-4.93%-852M-335.88%-12.86B-67.48%-3.49B-2,135.05%-8.23B-105.72%-334M-139.44%-812M250.66%5.45B-47.45%-2.08B
Net proceeds payment for loan -119.22%-310M-124.42%-209M144.07%647M141.73%3.78B276.59%2.78B231.57%1.61B132.28%856M59.22%-1.47B-167.43%-9.05B62.18%-1.57B
Net PPE purchase and sale -15.48%-97M39.34%-74M54.95%-41M10.43%-421M18.42%-124M38.69%-84M-41.86%-122M4.21%-91M-79.39%-470M-97.40%-152M
Net business purchase and sale --0--0--6M--0--0--0--0--0-186.53%-851M2,100.00%20M
Net other investing changes 100.00%6M700.00%8M37.50%11M-71.43%14M-83.33%2M-50.00%3M-91.67%1M-57.89%8M104.17%49M200.00%12M
Cash from discontinued investing activities
Investing cash flow 82.74%-1.16B219.20%1.28B90.31%-229M-94.79%-9.49B77.93%-833M-288.23%-6.69B-82.13%401M-46.13%-2.36B38.87%-4.87B33.12%-3.77B
Financing cash flow
Cash flow from continuing financing activities -105.19%-327M-79.76%-1.92B-241.29%-503M529.03%4.66B-144.50%-934M1,874.65%6.3B62.08%-1.07B2,473.33%356M-121.23%-1.09B-48.58%2.1B
Increase decrease in deposit -55.64%1.57B-344.49%-2.82B194.41%675M187.12%5.22B-39.19%1.24B2,903.39%3.54B112.22%1.15B-155.56%-715M-155.84%-5.99B-51.64%2.04B
Net issuance payments of debt -145.99%-1.37B167.42%1.32B-152.67%-849M-87.58%748M-584.65%-1.9B1,332.64%2.98B-128.42%-1.95B261.69%1.61B286.18%6.02B-9.28%391M
Net commonstock issuance ---200M---125M--0-100.00%-200M--0--0--0---200M92.82%-100M68.35%-100M
Cash dividends paid -42.22%-320M-5.66%-280M2.38%-287M-14.35%-1.06B-21.59%-276M1.32%-225M-9.50%-265M-27.83%-294M-3.34%-927M6.58%-227M
Net other financing activities -250.00%-7M-233.33%-10M10.64%-42M35.29%-55M25.00%-3M33.33%-2M0.00%-3M37.33%-47M14.14%-85M33.33%-4M
Cash from discontinued financing activities
Financing cash flow -105.19%-327M-79.76%-1.92B-241.29%-503M529.03%4.66B-144.50%-934M1,874.65%6.3B62.08%-1.07B2,473.33%356M-121.23%-1.09B-48.58%2.1B
Net cash flow
Beginning cash position 9.37%2.84B0.58%2.8B-9.35%3.14B15.76%3.47B-7.53%2.84B-24.53%2.59B-8.82%2.78B15.76%3.47B-4.86%2.99B-4.51%3.07B
Current changes in cash 55.56%378M122.04%41M49.56%-346M-168.64%-324M-23.37%305M165.85%243M-147.94%-186M-1,347.27%-686M408.50%472M281.74%398M
End cash position 13.32%3.22B9.37%2.84B0.58%2.8B-9.35%3.14B-9.35%3.14B-7.53%2.84B-24.53%2.59B-8.82%2.78B15.76%3.47B15.76%3.47B
Free cash flow 233.14%1.73B70.43%588M-73.43%321M-32.54%4.02B1.35%1.95B-67.01%519M-60.39%345M-24.12%1.21B148.68%5.96B52.74%1.92B
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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