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Standard Chartered PLC
LSE:STAN

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Standard Chartered PLC
LSE:STAN
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Price: 1 786.2 GBX 1.33% Market Closed
Market Cap: £39.8B

Balance Sheet

Balance Sheet Decomposition
Standard Chartered PLC

Balance Sheet
Standard Chartered PLC

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Balance Sheet
Currency: USD
Dec-2002 Dec-2003 Dec-2004 Dec-2005 Dec-2006 Dec-2007 Dec-2008 Dec-2009 Dec-2010 Dec-2011 Dec-2012 Dec-2013 Dec-2014 Dec-2015 Dec-2016 Dec-2017 Dec-2018 Dec-2019 Dec-2020 Dec-2021 Dec-2022 Dec-2023 Dec-2024 Dec-2025
Assets
Net Loans
73 010
73 098
71 324
110 533
137 950
151 949
172 792
196 110
239 057
266 138
279 638
290 708
284 695
257 356
226 693
248 707
256 557
268 523
281 699
298 468
310 647
286 975
281 032
286 788
Investments
25 801
29 784
44 758
57 487
73 844
92 589
106 406
119 533
133 489
149 795
219 364
244 564
201 524
190 540
229 428
248 380
263 957
283 119
311 045
341 819
325 374
358 605
370 707
418 136
PP&E Net
928
884
555
1 644
2 168
2 892
3 586
4 103
4 507
5 078
6 620
6 903
7 984
7 209
7 252
7 211
6 490
6 220
6 515
5 616
5 522
2 274
2 425
2 559
PP&E Gross
0
884
555
1 644
2 168
2 892
3 586
4 103
4 507
5 078
6 620
6 903
7 984
7 209
7 252
7 211
6 490
6 220
6 515
5 616
5 522
2 274
2 425
2 559
Accumulated Depreciation
0
615
435
464
525
641
774
1 004
1 178
1 328
1 551
1 750
1 910
2 209
2 546
2 772
2 669
2 615
3 248
3 400
3 192
2 159
2 426
2 828
Intangible Assets
2 118
1 986
2 353
384
569
589
616
604
741
714
767
863
966
1 026
1 263
1 761
1 940
2 211
2 446
2 876
3 398
3 785
3 404
3 808
Goodwill
0
0
0
3 937
5 678
5 785
5 745
6 016
6 257
6 347
6 378
5 207
4 224
3 616
3 456
3 252
3 116
3 079
2 617
2 595
2 471
2 429
2 387
2 423
Long-Term Investments
0
0
0
128
218
269
511
514
631
903
1 684
1 767
1 962
1 937
1 929
2 307
2 307
1 908
2 162
2 147
1 631
966
1 020
1 426
Customer Acceptances Liabilities
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Other Long-Term Assets
0
0
318
498
512
593
660
1 096
946
835
719
2 152
3 755
1 408
2 548
1 722
2 375
3 158
1 365
1 193
2 459
1 511
1 497
1 746
Other Assets
10 230
13 063
12 877
22 742
30 701
47 490
100 006
64 854
76 931
89 425
32 582
30 658
98 208
90 143
89 908
71 962
71 889
80 865
106 077
93 767
102 444
88 311
114 675
139 768
Total Assets
112 953
N/A
120 202
+6%
147 124
+22%
215 096
+46%
266 102
+24%
329 871
+24%
435 068
+32%
436 653
+0%
516 560
+18%
592 686
+15%
631 208
+6%
674 380
+7%
725 914
+8%
640 483
-12%
646 692
+1%
663 501
+3%
688 762
+4%
720 398
+5%
789 050
+10%
827 818
+5%
819 922
-1%
822 844
+0%
849 688
+3%
919 955
+8%
Liabilities
Accrued Liabilities
945
1 181
1 321
2 319
3 210
3 429
4 132
4 113
4 528
4 458
4 811
4 668
5 915
5 451
5 223
5 493
5 393
5 369
4 546
4 651
5 895
6 975
6 896
7 358
Short-Term Debt
0
2 249
2 392
6 293
9 969
14 250
15 478
14 505
20 288
19 599
23 064
17 737
0
0
37 692
39 783
54 724
56 042
60 701
73 740
63 020
61 981
60 676
58 232
Current Portion of Long-Term Debt
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
2 562
795
898
293
272
0
280
269
Total Deposits
82 476
84 691
100 255
138 765
173 615
205 640
265 917
289 705
335 543
381 022
409 301
424 583
469 512
397 375
378 222
407 427
448 746
464 189
500 760
539 150
526 695
532 123
531 667
604 625
Other Interest Bearing Liabilities
4 877
6 062
11 005
25 913
23 514
27 137
23 447
29 272
36 155
52 613
4 900
5 501
5 212
3 949
4 479
5 096
4 923
5 518
5 868
4 930
5 264
5 386
5 476
6 567
Other Current Liabilities
0
664
295
283
68
818
512
802
981
1 005
1 066
1 050
891
769
327
376
676
703
660
348
583
811
726
709
Total Current Liabilities
945
4 094
4 008
8 895
13 247
18 497
20 122
19 420
25 797
25 062
28 941
23 455
6 806
6 220
43 242
45 652
63 355
62 909
66 805
79 032
69 770
69 767
68 578
66 568
Long-Term Debt
5 455
5 967
6 768
10 349
12 699
15 740
16 986
16 730
15 939
16 717
74 567
84 986
103 735
90 649
71 893
70 578
45 349
56 000
57 492
60 583
67 935
77 492
77 854
83 222
Deferred Income Tax
0
0
0
0
0
33
176
193
183
131
161
176
246
293
353
404
563
611
695
800
769
770
567
752
Minority Interest
249
614
964
451
542
601
555
580
653
661
693
595
306
321
321
341
273
313
325
371
350
396
394
465
Other Liabilities
11 681
11 245
15 019
18 841
25 632
41 372
85 725
53 413
64 078
75 766
67 283
88 838
93 665
93 485
99 845
82 537
75 474
80 510
106 701
90 687
99 473
86 953
114 262
103 635
Total Liabilities
105 683
N/A
112 673
+7%
138 019
+22%
203 214
+47%
249 249
+23%
309 020
+24%
412 928
+34%
409 313
-1%
478 348
+17%
551 972
+15%
585 846
+6%
628 134
+7%
679 482
+8%
592 292
-13%
598 355
+1%
612 035
+2%
638 683
+4%
670 050
+5%
738 646
+10%
775 553
+5%
770 256
-1%
772 887
+0%
798 798
+3%
865 834
+8%
Equity
Common Stock
909
939
967
660
692
705
948
1 013
1 174
1 192
1 207
1 214
1 236
1 639
1 642
1 648
1 654
1 598
1 578
1 539
2 941
2 826
2 706
2 625
Retained Earnings
3 651
3 839
5 131
8 202
11 567
14 395
18 316
22 669
32 007
35 497
39 483
41 630
42 919
44 188
43 167
43 907
43 670
43 261
43 295
44 415
45 342
46 012
46 264
46 815
Additional Paid In Capital
2 764
2 813
2 835
3 034
3 865
4 713
4 743
4 828
5 386
5 432
5 476
5 493
5 482
5 449
5 449
5 449
5 457
5 480
5 480
5 483
3 989
3 989
3 989
3 989
Unrealized Security Profit/Loss
3
2
76
0
0
0
0
0
0
0
0
0
0
0
0
0
41
347
677
352
910
360
63
556
Treasury Stock
57
60
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Other Equity
0
0
96
14
729
1 038
1 867
1 170
355
1 407
804
2 091
3 205
3 085
1 921
462
661
338
626
476
1 696
2 510
2 132
136
Total Equity
7 270
N/A
7 529
+4%
9 105
+21%
11 882
+30%
16 853
+42%
20 851
+24%
22 140
+6%
27 340
+23%
38 212
+40%
40 714
+7%
45 362
+11%
46 246
+2%
46 432
+0%
48 191
+4%
48 337
+0%
51 466
+6%
50 079
-3%
50 348
+1%
50 404
+0%
52 265
+4%
49 666
-5%
49 957
+1%
50 890
+2%
54 121
+6%
Total Liabilities & Equity
112 953
N/A
120 202
+6%
147 124
+22%
215 096
+46%
266 102
+24%
329 871
+24%
435 068
+32%
436 653
+0%
516 560
+18%
592 686
+15%
631 208
+6%
674 380
+7%
725 914
+8%
640 483
-12%
646 692
+1%
663 501
+3%
688 762
+4%
720 398
+5%
789 050
+10%
827 818
+5%
819 922
-1%
822 844
+0%
849 688
+3%
919 955
+8%
Shares Outstanding
Common Shares Outstanding
1 458
1 464
1 469
1 640
1 724
1 757
2 068
2 209
2 467
2 505
2 535
2 550
2 598
3 444
3 284
3 296
3 308
3 196
3 156
3 079
2 895
2 665
2 425
2 263
Preferred Shares Outstanding
201
196
196
196
0
0
0
0
0
0
195
195
195
195
195
195
195
195
195
195
195
195
195
192
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