US Stock MarketDetailed Quotes

PNC PNC Financial Services

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  • 177.240
  • -0.360-0.20%
Close Sep 13 16:00 ET
  • 177.240
  • 0.0000.00%
Post 18:20 ET
70.45BMarket Cap14.86P/E (TTM)

PNC Financial Services Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q3)Sep 30, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
-68.21%1.04B
-6.29%1.76B
11.32%10.11B
20.22%4.86B
-96.61%115M
23.71%3.26B
289.69%1.88B
25.91%9.08B
15.80%4.05B
122.56%3.39B
Net income from continuing operations
-1.53%1.48B
-20.66%1.34B
-7.62%5.65B
-42.96%883M
-4.27%1.57B
0.27%1.5B
18.54%1.69B
6.78%6.11B
18.53%1.55B
10.07%1.64B
Operating gains losses
-740.63%-269M
-103.57%-1M
-416.67%-19M
-216.67%-14M
0.00%-1M
---32M
--28M
--6M
--12M
93.33%-1M
Depreciation and amortization
-38.33%37M
-43.08%37M
-66.67%217M
-32.81%43M
-15.52%49M
-58.33%60M
-83.12%65M
-63.28%651M
-88.53%64M
-86.22%58M
Deferred tax
151.11%23M
-46.67%-44M
-171.79%-252M
-166.00%-133M
-122.22%-44M
-131.69%-45M
-149.18%-30M
97.19%351M
-119.84%-50M
182.85%198M
Other non cashItems
-36.26%232M
154.17%427M
42.84%1.2B
-38.43%157M
202.38%508M
-1.62%364M
273.33%168M
424.81%838M
374.19%255M
625.00%168M
Change in working capital
-161.56%-780M
72.56%-118M
89.13%2.26B
91.75%3.32B
-247.25%-1.9B
107.36%1.27B
82.36%-430M
144.08%1.2B
4.71%1.73B
1,914.06%1.29B
-Change in payables and accrued expense
-203.55%-671M
76.97%-263M
-15.36%507M
59.89%-797M
64.20%1.8B
24.14%648M
-217.85%-1.14B
-20.45%599M
-582.28%-1.99B
-2.49%1.1B
-Change in loans
-146.72%-249M
200.00%11M
-79.83%210M
115.19%170M
-1,277.14%-482M
50.14%533M
-101.71%-11M
316.88%1.04B
187.78%79M
-171.43%-35M
-Change in other current assets
-47.68%158M
-127.08%-300M
363.63%2.31B
59.81%4.21B
-532.70%-3.31B
762.86%302M
136.64%1.11B
-93.17%-877M
150.95%2.64B
27.36%-523M
-Change in other working capital
91.67%-18M
212.73%434M
-277.14%-767M
-125.94%-261M
-87.37%95M
28.24%-216M
62.40%-385M
-35.47%433M
255.48%1.01B
293.81%752M
Cash from discontinued operating activities
Operating cash flow
-68.21%1.04B
-6.29%1.76B
11.32%10.11B
20.22%4.86B
-96.61%115M
23.71%3.26B
289.69%1.88B
25.91%9.08B
15.80%4.05B
122.56%3.39B
Investing cash flow
Cash flow from continuing investing activities
-101.66%-220M
-11.43%-6.37B
52.49%-6.38B
-69.33%-4.67B
57.35%-9.25B
883.96%13.25B
-144.95%-5.71B
-380.43%-13.43B
69.58%-2.76B
-754.89%-21.69B
Proceeds payment in interest bearing deposits in bank
----
-49.06%-9.81B
-135.20%-16.52B
-117.90%-2.32B
----
----
-125.83%-6.58B
93.64%46.93B
955.21%12.96B
-291.75%-11.87B
Net investment purchase and sale
-424.59%-8.03B
15.01%2.05B
145.00%8.29B
139.92%1.73B
157.05%2.31B
166.51%2.47B
128.16%1.79B
35.18%-18.43B
56.82%-4.32B
-260.60%-4.05B
Net proceeds payment for loan
-146.18%-1.91B
334.44%1.48B
108.45%3.22B
70.12%-3.23B
163.59%2.96B
124.96%4.13B
89.74%-633M
-345.16%-38.17B
-727.70%-10.81B
-206.11%-4.66B
Net other investing changes
-107.81%-266M
71.29%-91M
35.96%-1.95B
-29.35%-996M
54.88%-509M
90.66%-128M
-241.52%-317M
16.16%-3.05B
63.23%-770M
-116.92%-1.13B
Cash from discontinued investing activities
Investing cash flow
-101.66%-220M
-11.43%-6.37B
52.49%-6.38B
-69.33%-4.67B
57.35%-9.25B
883.96%13.25B
-144.95%-5.71B
-380.43%-13.43B
69.58%-2.76B
-754.89%-21.69B
Financing cash flow
Cash flow from continuing financing activities
-112.06%-11.27B
32.42%3.62B
-213.89%-3.85B
278.64%1.42B
-116.57%-2.69B
-7,916.18%-5.32B
122.49%2.73B
198.60%3.38B
-116.85%-796M
444.68%16.26B
Change in federal funds and securities sold for repurchase
-105.85%-11M
-77.66%-167M
18,050.00%359M
12,900.00%128M
3,325.00%137M
995.24%188M
-687.50%-94M
95.65%-2M
99.27%-1M
-75.00%4M
Increase decrease in deposit
1.79%-9.21B
643.32%4.17B
29.17%-14.85B
-14.88%-2.17B
-46.83%-3.87B
0.17%-9.38B
107.95%561M
-428.82%-20.97B
-122.57%-1.89B
34.75%-2.63B
Net issuance payments of debt
-126.01%-1.23B
-72.49%520M
-54.60%13.61B
32.22%5.25B
-90.95%1.75B
-52.62%4.73B
157.64%1.89B
477.41%29.99B
274.46%3.97B
1,661.92%19.32B
Net commonstock issuance
12.61%-104M
54.04%-199M
84.19%-579M
93.47%-42M
101.53%15M
84.84%-119M
65.55%-433M
-261.60%-3.66B
-2.06%-643M
-177.84%-978M
Net preferred stock issuance
----
----
-33.24%484M
33.33%-1B
--0
--0
--1.48B
-51.15%725M
-149,900.00%-1.5B
--1.24B
Cash dividends paid
2.05%-718M
-4.44%-705M
-6.91%-2.88B
-1.37%-742M
-5.97%-728M
-5.16%-733M
-17.19%-675M
-17.61%-2.69B
-21.19%-732M
-15.46%-687M
Cash from discontinued financing activities
Financing cash flow
-112.06%-11.27B
32.42%3.62B
-213.89%-3.85B
278.64%1.42B
-116.57%-2.69B
-7,916.18%-5.32B
122.49%2.73B
198.60%3.38B
-116.85%-796M
444.68%16.26B
Net cash flow
Beginning cash position
-0.12%5.93B
-1.73%6.92B
-12.01%7.04B
-19.06%5.3B
417.94%44.45B
-21.55%5.94B
-12.01%7.04B
14.07%8B
-25.95%6.55B
-1.63%8.58B
Current changes in cash
-193.44%-10.46B
10.43%-988M
87.30%-122M
227.47%1.62B
-481.61%-11.83B
1,007.92%11.19B
-155.32%-1.1B
-197.37%-961M
159.00%495M
-1,809.24%-2.03B
End cash position
-11.63%39.28B
-0.12%5.93B
-1.73%6.92B
-1.73%6.92B
-19.06%5.3B
417.94%44.45B
-21.55%5.94B
-12.01%7.04B
-12.01%7.04B
-25.95%6.55B
Free cash flow
-68.21%1.04B
-6.29%1.76B
11.32%10.11B
20.22%4.86B
-96.61%115M
23.71%3.26B
289.69%1.88B
25.91%9.08B
15.80%4.05B
122.56%3.39B
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 with Explanatory Notes
--
--
(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(Q3)Sep 30, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities -68.21%1.04B-6.29%1.76B11.32%10.11B20.22%4.86B-96.61%115M23.71%3.26B289.69%1.88B25.91%9.08B15.80%4.05B122.56%3.39B
Net income from continuing operations -1.53%1.48B-20.66%1.34B-7.62%5.65B-42.96%883M-4.27%1.57B0.27%1.5B18.54%1.69B6.78%6.11B18.53%1.55B10.07%1.64B
Operating gains losses -740.63%-269M-103.57%-1M-416.67%-19M-216.67%-14M0.00%-1M---32M--28M--6M--12M93.33%-1M
Depreciation and amortization -38.33%37M-43.08%37M-66.67%217M-32.81%43M-15.52%49M-58.33%60M-83.12%65M-63.28%651M-88.53%64M-86.22%58M
Deferred tax 151.11%23M-46.67%-44M-171.79%-252M-166.00%-133M-122.22%-44M-131.69%-45M-149.18%-30M97.19%351M-119.84%-50M182.85%198M
Other non cashItems -36.26%232M154.17%427M42.84%1.2B-38.43%157M202.38%508M-1.62%364M273.33%168M424.81%838M374.19%255M625.00%168M
Change in working capital -161.56%-780M72.56%-118M89.13%2.26B91.75%3.32B-247.25%-1.9B107.36%1.27B82.36%-430M144.08%1.2B4.71%1.73B1,914.06%1.29B
-Change in payables and accrued expense -203.55%-671M76.97%-263M-15.36%507M59.89%-797M64.20%1.8B24.14%648M-217.85%-1.14B-20.45%599M-582.28%-1.99B-2.49%1.1B
-Change in loans -146.72%-249M200.00%11M-79.83%210M115.19%170M-1,277.14%-482M50.14%533M-101.71%-11M316.88%1.04B187.78%79M-171.43%-35M
-Change in other current assets -47.68%158M-127.08%-300M363.63%2.31B59.81%4.21B-532.70%-3.31B762.86%302M136.64%1.11B-93.17%-877M150.95%2.64B27.36%-523M
-Change in other working capital 91.67%-18M212.73%434M-277.14%-767M-125.94%-261M-87.37%95M28.24%-216M62.40%-385M-35.47%433M255.48%1.01B293.81%752M
Cash from discontinued operating activities
Operating cash flow -68.21%1.04B-6.29%1.76B11.32%10.11B20.22%4.86B-96.61%115M23.71%3.26B289.69%1.88B25.91%9.08B15.80%4.05B122.56%3.39B
Investing cash flow
Cash flow from continuing investing activities -101.66%-220M-11.43%-6.37B52.49%-6.38B-69.33%-4.67B57.35%-9.25B883.96%13.25B-144.95%-5.71B-380.43%-13.43B69.58%-2.76B-754.89%-21.69B
Proceeds payment in interest bearing deposits in bank -----49.06%-9.81B-135.20%-16.52B-117.90%-2.32B---------125.83%-6.58B93.64%46.93B955.21%12.96B-291.75%-11.87B
Net investment purchase and sale -424.59%-8.03B15.01%2.05B145.00%8.29B139.92%1.73B157.05%2.31B166.51%2.47B128.16%1.79B35.18%-18.43B56.82%-4.32B-260.60%-4.05B
Net proceeds payment for loan -146.18%-1.91B334.44%1.48B108.45%3.22B70.12%-3.23B163.59%2.96B124.96%4.13B89.74%-633M-345.16%-38.17B-727.70%-10.81B-206.11%-4.66B
Net other investing changes -107.81%-266M71.29%-91M35.96%-1.95B-29.35%-996M54.88%-509M90.66%-128M-241.52%-317M16.16%-3.05B63.23%-770M-116.92%-1.13B
Cash from discontinued investing activities
Investing cash flow -101.66%-220M-11.43%-6.37B52.49%-6.38B-69.33%-4.67B57.35%-9.25B883.96%13.25B-144.95%-5.71B-380.43%-13.43B69.58%-2.76B-754.89%-21.69B
Financing cash flow
Cash flow from continuing financing activities -112.06%-11.27B32.42%3.62B-213.89%-3.85B278.64%1.42B-116.57%-2.69B-7,916.18%-5.32B122.49%2.73B198.60%3.38B-116.85%-796M444.68%16.26B
Change in federal funds and securities sold for repurchase -105.85%-11M-77.66%-167M18,050.00%359M12,900.00%128M3,325.00%137M995.24%188M-687.50%-94M95.65%-2M99.27%-1M-75.00%4M
Increase decrease in deposit 1.79%-9.21B643.32%4.17B29.17%-14.85B-14.88%-2.17B-46.83%-3.87B0.17%-9.38B107.95%561M-428.82%-20.97B-122.57%-1.89B34.75%-2.63B
Net issuance payments of debt -126.01%-1.23B-72.49%520M-54.60%13.61B32.22%5.25B-90.95%1.75B-52.62%4.73B157.64%1.89B477.41%29.99B274.46%3.97B1,661.92%19.32B
Net commonstock issuance 12.61%-104M54.04%-199M84.19%-579M93.47%-42M101.53%15M84.84%-119M65.55%-433M-261.60%-3.66B-2.06%-643M-177.84%-978M
Net preferred stock issuance ---------33.24%484M33.33%-1B--0--0--1.48B-51.15%725M-149,900.00%-1.5B--1.24B
Cash dividends paid 2.05%-718M-4.44%-705M-6.91%-2.88B-1.37%-742M-5.97%-728M-5.16%-733M-17.19%-675M-17.61%-2.69B-21.19%-732M-15.46%-687M
Cash from discontinued financing activities
Financing cash flow -112.06%-11.27B32.42%3.62B-213.89%-3.85B278.64%1.42B-116.57%-2.69B-7,916.18%-5.32B122.49%2.73B198.60%3.38B-116.85%-796M444.68%16.26B
Net cash flow
Beginning cash position -0.12%5.93B-1.73%6.92B-12.01%7.04B-19.06%5.3B417.94%44.45B-21.55%5.94B-12.01%7.04B14.07%8B-25.95%6.55B-1.63%8.58B
Current changes in cash -193.44%-10.46B10.43%-988M87.30%-122M227.47%1.62B-481.61%-11.83B1,007.92%11.19B-155.32%-1.1B-197.37%-961M159.00%495M-1,809.24%-2.03B
End cash position -11.63%39.28B-0.12%5.93B-1.73%6.92B-1.73%6.92B-19.06%5.3B417.94%44.45B-21.55%5.94B-12.01%7.04B-12.01%7.04B-25.95%6.55B
Free cash flow -68.21%1.04B-6.29%1.76B11.32%10.11B20.22%4.86B-96.61%115M23.71%3.26B289.69%1.88B25.91%9.08B15.80%4.05B122.56%3.39B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion with Explanatory Notes----

Analysis

Analyst Rating

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Price Target

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