Citigroup Inc
NYSE:C
Balance Sheet
Balance Sheet Decomposition
Citigroup Inc
Net Loans | 656.3B |
Investments | 1.4T |
PP&E | 29.2B |
Intangibles | 24.4B |
Other Assets | 349.9B |
Total Deposits | 1.3T |
Short Term Debt | 331.3B |
Long Term Debt | 285.5B |
Other Liabilities | 302B |
Balance Sheet
Citigroup Inc
Dec-2014 | Dec-2015 | Dec-2016 | Dec-2017 | Dec-2018 | Dec-2019 | Dec-2020 | Dec-2021 | Dec-2022 | Dec-2023 | ||
---|---|---|---|---|---|---|---|---|---|---|---|
Assets | |||||||||||
Net Loans |
628 641
|
604 991
|
612 309
|
654 679
|
671 881
|
686 700
|
650 927
|
651 312
|
640 247
|
671 217
|
|
Investments |
920 858
|
852 515
|
882 190
|
890 479
|
933 677
|
946 253
|
1 205 774
|
1 247 474
|
1 325 058
|
1 349 116
|
|
PP&E Net |
0
|
0
|
0
|
0
|
0
|
3 100
|
2 800
|
24 328
|
26 253
|
28 747
|
|
Intangible Assets |
6 411
|
5 502
|
6 678
|
5 146
|
5 220
|
4 822
|
4 747
|
4 495
|
4 428
|
4 421
|
|
Goodwill |
23 592
|
22 349
|
21 659
|
22 256
|
22 046
|
22 126
|
22 162
|
21 299
|
19 691
|
20 098
|
|
Customer Acceptances Liabilities |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
Other Long-Term Assets |
0
|
51 192
|
49 690
|
26 797
|
27 685
|
28 973
|
30 988
|
29 812
|
33 352
|
35 485
|
|
Other Assets |
174 133
|
123 842
|
128 864
|
139 003
|
166 292
|
164 112
|
158 066
|
158 014
|
156 430
|
172 398
|
|
Total Assets |
1 842 181
N/A
|
1 731 210
-6%
|
1 792 077
+4%
|
1 842 465
+3%
|
1 917 383
+4%
|
1 951 158
+2%
|
2 260 090
+16%
|
2 291 413
+1%
|
2 416 676
+5%
|
2 411 834
0%
|
|
Liabilities | |||||||||||
Accounts Payable |
52 180
|
53 722
|
57 152
|
61 342
|
64 571
|
48 601
|
50 484
|
61 430
|
69 218
|
63 539
|
|
Accrued Liabilities |
0
|
0
|
0
|
0
|
0
|
3 300
|
3 100
|
3 100
|
3 076
|
2 974
|
|
Short-Term Debt |
220 573
|
167 575
|
160 522
|
176 929
|
200 614
|
193 788
|
225 039
|
219 258
|
237 540
|
307 564
|
|
Total Deposits |
899 332
|
907 887
|
929 406
|
959 822
|
1 013 170
|
1 070 590
|
1 280 671
|
1 317 230
|
1 365 954
|
1 308 681
|
|
Other Interest Bearing Liabilities |
11 200
|
17 800
|
33 600
|
43 100
|
20 000
|
23 100
|
14 900
|
5 300
|
19 300
|
19 500
|
|
Total Current Liabilities |
272 753
|
221 297
|
217 674
|
238 271
|
265 185
|
245 689
|
278 623
|
283 788
|
309 834
|
374 077
|
|
Long-Term Debt |
223 080
|
183 475
|
184 578
|
217 409
|
221 499
|
243 260
|
260 786
|
249 074
|
264 306
|
275 119
|
|
Deferred Income Tax |
0
|
3 343
|
3 022
|
4 316
|
0
|
5 879
|
6 148
|
5 023
|
5 680
|
5 877
|
|
Minority Interest |
1 511
|
1 235
|
1 023
|
932
|
854
|
704
|
758
|
700
|
649
|
798
|
|
Other Liabilities |
224 120
|
174 316
|
197 654
|
177 875
|
200 455
|
168 694
|
218 762
|
228 326
|
249 764
|
222 329
|
|
Total Liabilities |
1 631 996
N/A
|
1 509 353
-8%
|
1 566 957
+4%
|
1 641 725
+5%
|
1 721 163
+5%
|
1 757 916
+2%
|
2 060 648
+17%
|
2 089 441
+1%
|
2 215 487
+6%
|
2 206 381
0%
|
|
Equity | |||||||||||
Common Stock |
10 499
|
16 749
|
19 284
|
19 284
|
18 491
|
18 011
|
19 511
|
19 026
|
19 026
|
17 631
|
|
Retained Earnings |
117 852
|
133 841
|
146 477
|
138 425
|
151 347
|
165 369
|
168 272
|
184 948
|
194 734
|
198 905
|
|
Additional Paid In Capital |
107 979
|
108 288
|
108 042
|
108 008
|
107 922
|
107 840
|
107 846
|
108 003
|
108 458
|
108 955
|
|
Unrealized Security Profit/Loss |
57
|
907
|
1 151
|
2 079
|
2 058
|
1 209
|
1 901
|
1 801
|
5 156
|
4 453
|
|
Treasury Stock |
2 929
|
7 677
|
16 302
|
30 309
|
44 370
|
61 660
|
64 129
|
71 240
|
73 967
|
75 238
|
|
Other Equity |
23 273
|
28 437
|
31 230
|
32 589
|
35 112
|
35 109
|
33 959
|
36 964
|
41 906
|
40 347
|
|
Total Equity |
210 185
N/A
|
221 857
+6%
|
225 120
+1%
|
200 740
-11%
|
196 220
-2%
|
193 242
-2%
|
199 442
+3%
|
201 972
+1%
|
201 189
0%
|
205 453
+2%
|
|
Total Liabilities & Equity |
1 842 181
N/A
|
1 731 210
-6%
|
1 792 077
+4%
|
1 842 465
+3%
|
1 917 383
+4%
|
1 951 158
+2%
|
2 260 090
+16%
|
2 291 413
+1%
|
2 416 676
+5%
|
2 411 834
0%
|
|
Shares Outstanding | |||||||||||
Common Shares Outstanding |
3 024
|
2 953
|
2 772
|
2 570
|
2 368
|
2 114
|
2 082
|
1 984
|
1 937
|
1 903
|
|
Preferred Shares Outstanding |
0
|
1
|
1
|
1
|
1
|
1
|
1
|
1
|
1
|
1
|