Citizens Financial Group Inc
NYSE:CFG

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Citizens Financial Group Inc
NYSE:CFG
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Price: 44 USD 0.99% Market Closed
Market Cap: 19.4B USD
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Balance Sheet

Balance Sheet Decomposition
Citizens Financial Group Inc

Net Loans 139.6B
Investments 50.1B
PP&E 862m
Intangibles 8.3B
Other Assets 20.9B
Total Deposits 175.2B
Short Term Debt 15m
Long Term Debt 13.4B
Other Liabilities 6.2B

Balance Sheet
Citizens Financial Group Inc

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Balance Sheet
Currency: USD
Dec-2014 Dec-2015 Dec-2016 Dec-2017 Dec-2018 Dec-2019 Dec-2020 Dec-2021 Dec-2022 Dec-2023
Assets
Net Loans
92 215
97 826
106 433
109 381
115 418
117 836
120 647
126 405
154 679
143 861
Investments
28 466
27 911
30 024
29 826
29 780
31 844
37 977
38 899
42 368
47 364
PP&E Net
595
595
601
685
791
1 460
1 458
1 534
1 863
1 780
PP&E Gross
595
595
601
685
791
1 460
1 458
1 534
1 863
1 780
Accumulated Depreciation
1 651
1 731
1 844
1 905
1 484
1 092
837
804
862
813
Intangible Assets
754
768
809
831
852
900
958
864
198
1 057
Goodwill
6 876
6 876
6 876
6 887
6 923
7 044
7 050
7 116
8 173
8 188
Customer Acceptances Liabilities
0
0
0
0
0
0
0
0
0
0
Other Long-Term Assets
0
0
0
0
0
0
0
0
0
0
Other Assets
8 534
8 949
9 060
9 491
10 825
11 323
13 396
14 296
20 242
21 547
Total Assets
132 857
N/A
138 208
+4%
149 520
+8%
152 336
+2%
160 518
+5%
165 733
+3%
183 349
+11%
188 409
+3%
226 733
+20%
221 964
-2%
Liabilities
Accrued Liabilities
0
0
0
0
0
721
835
800
1 066
977
Short-Term Debt
10 529
3 432
4 359
2 671
2 809
274
243
74
3
505
Current Portion of Long-Term Debt
0
0
0
0
0
2 504
1 361
1 931
751
470
Total Deposits
95 707
102 539
109 804
115 089
119 575
125 313
147 164
154 361
180 724
177 342
Other Interest Bearing Liabilities
0
0
0
0
7 508
5 008
19
19
8 519
3 786
Total Current Liabilities
10 529
3 432
4 359
2 671
2 809
3 499
2 439
2 805
1 820
1 952
Long-Term Debt
4 642
9 886
12 790
11 765
6 925
6 535
6 966
4 982
6 617
9 211
Deferred Income Tax
493
730
714
571
573
866
629
0
0
0
Other Liabilities
2 218
1 975
2 106
1 970
2 311
2 311
3 459
2 822
5 363
5 331
Total Liabilities
113 589
N/A
118 562
+4%
129 773
+9%
132 066
+2%
139 701
+6%
143 532
+3%
160 676
+12%
164 989
+3%
203 043
+23%
197 622
-3%
Equity
Common Stock
6
253
253
253
846
1 576
1 971
2 020
2 020
2 020
Retained Earnings
1 294
1 913
2 703
4 164
5 385
6 498
6 445
7 978
9 159
9 816
Additional Paid In Capital
18 676
18 725
18 722
18 781
18 815
18 891
18 940
19 005
22 142
22 250
Unrealized Security Profit/Loss
74
28
186
236
490
1
380
156
2 771
2 338
Treasury Stock
336
858
1 263
2 108
3 133
4 353
4 623
4 918
5 071
5 986
Other Equity
446
359
482
584
606
412
440
509
7 331
1 420
Total Equity
19 268
N/A
19 646
+2%
19 747
+1%
20 270
+3%
20 817
+3%
22 201
+7%
22 673
+2%
23 420
+3%
23 690
+1%
24 342
+3%
Total Liabilities & Equity
132 857
N/A
138 208
+4%
149 520
+8%
152 336
+2%
160 518
+5%
165 733
+3%
183 349
+11%
188 409
+3%
226 733
+20%
221 964
-2%
Shares Outstanding
Common Shares Outstanding
546
528
512
491
466
433
427
422
492
466
Preferred Shares Outstanding
0
0
0
0
0
2
2
2
2
2

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