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Balance Sheet
Balance Sheet Decomposition
Wells Fargo & Co
Net Loans | 895.4B |
Investments | 864.3B |
PP&E | 10B |
Intangibles | 32.7B |
Other Assets | 119.8B |
Total Deposits | 1.3T |
Short Term Debt | 110.9B |
Long Term Debt | 176B |
Other Liabilities | 102.3B |
Balance Sheet
Wells Fargo & Co
Dec-2014 | Dec-2015 | Dec-2016 | Dec-2017 | Dec-2018 | Dec-2019 | Dec-2020 | Dec-2021 | Dec-2022 | Dec-2023 | ||
---|---|---|---|---|---|---|---|---|---|---|---|
Assets | |||||||||||
Net Loans |
850 232
|
905 014
|
956 185
|
945 766
|
943 335
|
952 714
|
869 121
|
882 904
|
942 886
|
922 076
|
|
Investments |
685 484
|
718 488
|
792 858
|
820 749
|
794 270
|
818 098
|
908 386
|
917 411
|
771 302
|
847 287
|
|
PP&E Net |
8 743
|
8 704
|
8 333
|
8 847
|
8 920
|
14 033
|
13 201
|
12 376
|
12 187
|
12 678
|
|
PP&E Gross |
8 743
|
8 704
|
8 333
|
8 847
|
8 920
|
14 033
|
13 201
|
12 376
|
0
|
0
|
|
Accumulated Depreciation |
10 463
|
11 017
|
10 852
|
11 300
|
11 169
|
11 866
|
12 495
|
12 679
|
0
|
0
|
|
Intangible Assets |
21 973
|
16 876
|
17 074
|
16 659
|
16 637
|
13 370
|
7 765
|
8 400
|
10 632
|
8 508
|
|
Goodwill |
25 705
|
25 529
|
26 693
|
26 587
|
26 418
|
26 390
|
26 392
|
25 180
|
25 173
|
25 175
|
|
Long-Term Investments |
12 410
|
13 647
|
15 708
|
16 352
|
0
|
0
|
0
|
0
|
0
|
0
|
|
Customer Acceptances Liabilities |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
Other Assets |
94 613
|
111 525
|
125 447
|
127 027
|
116 235
|
114 110
|
134 673
|
109 746
|
119 796
|
118 801
|
|
Total Assets |
1 687 155
N/A
|
1 787 632
+6%
|
1 930 115
+8%
|
1 951 757
+1%
|
1 895 883
-3%
|
1 927 555
+2%
|
1 952 911
+1%
|
1 948 068
0%
|
1 881 020
-3%
|
1 932 468
+3%
|
|
Liabilities | |||||||||||
Accrued Liabilities |
74 870
|
52 180
|
50 138
|
62 454
|
60 326
|
67 885
|
69 670
|
68 170
|
68 740
|
71 841
|
|
Short-Term Debt |
63 518
|
97 528
|
96 781
|
103 256
|
105 787
|
104 512
|
58 999
|
34 409
|
44 145
|
89 559
|
|
Total Deposits |
1 168 310
|
1 223 312
|
1 306 079
|
1 335 991
|
1 286 170
|
1 322 626
|
1 404 381
|
1 482 479
|
1 383 985
|
1 358 173
|
|
Other Interest Bearing Liabilities |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
7 000
|
38 000
|
|
Total Current Liabilities |
138 388
|
149 708
|
146 919
|
165 710
|
166 113
|
172 397
|
128 669
|
102 579
|
112 885
|
161 400
|
|
Long-Term Debt |
183 943
|
199 536
|
255 077
|
225 020
|
229 044
|
228 191
|
212 950
|
160 689
|
174 870
|
169 588
|
|
Deferred Income Tax |
11 252
|
7 265
|
7 051
|
8 161
|
8 991
|
7 278
|
4 690
|
2 787
|
0
|
631
|
|
Minority Interest |
868
|
893
|
916
|
1 143
|
900
|
838
|
1 032
|
2 504
|
1 986
|
1 708
|
|
Other Liabilities |
0
|
13 920
|
14 492
|
8 796
|
8 499
|
9 079
|
16 509
|
9 424
|
20 067
|
18 495
|
|
Total Liabilities |
1 502 761
N/A
|
1 594 634
+6%
|
1 730 534
+9%
|
1 744 821
+1%
|
1 699 717
-3%
|
1 740 409
+2%
|
1 768 231
+2%
|
1 760 462
0%
|
1 700 793
-3%
|
1 746 733
+3%
|
|
Equity | |||||||||||
Common Stock |
28 349
|
31 350
|
33 687
|
34 494
|
32 350
|
30 685
|
30 272
|
29 193
|
28 584
|
28 584
|
|
Retained Earnings |
107 040
|
120 866
|
133 075
|
145 263
|
158 163
|
166 697
|
162 683
|
180 322
|
187 968
|
201 136
|
|
Additional Paid In Capital |
60 537
|
60 714
|
60 234
|
60 893
|
60 685
|
61 049
|
60 197
|
60 196
|
60 319
|
60 555
|
|
Unrealized Security Profit/Loss |
4 926
|
1 813
|
1 099
|
171
|
3 122
|
1 552
|
3 039
|
665
|
9 835
|
8 564
|
|
Treasury Stock |
13 690
|
18 867
|
22 713
|
29 892
|
47 194
|
68 831
|
67 791
|
79 757
|
82 853
|
92 960
|
|
Other Equity |
2 768
|
2 878
|
3 603
|
3 993
|
4 716
|
4 006
|
3 720
|
3 013
|
3 956
|
3 016
|
|
Total Equity |
184 394
N/A
|
192 998
+5%
|
199 581
+3%
|
206 936
+4%
|
196 166
-5%
|
187 146
-5%
|
184 680
-1%
|
187 606
+2%
|
180 227
-4%
|
185 735
+3%
|
|
Total Liabilities & Equity |
1 687 155
N/A
|
1 787 632
+6%
|
1 930 115
+8%
|
1 951 757
+1%
|
1 895 883
-3%
|
1 927 555
+2%
|
1 952 911
+1%
|
1 948 068
0%
|
1 881 020
-3%
|
1 932 468
+3%
|
|
Shares Outstanding | |||||||||||
Common Shares Outstanding |
5 170
|
5 092
|
5 016
|
4 892
|
4 581
|
4 134
|
4 144
|
3 886
|
3 934
|
3 599
|
|
Preferred Shares Outstanding |
11
|
11
|
11
|
11
|
9
|
7
|
5
|
5
|
4
|
4
|