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Fifth Third Bancorp (FITBP) Financials

Balance sheets

30 Sept 202430 June 202431 Mar 202431 Dec 202330 Sept 202330 June 202330 Sept 202230 June 2022

Total Assets

$214.3 B(+0.5%)$213.3 B(-0.6%)$214.5 B(-0.0%)$214.6 B(+0.8%)$213.0 B(+2.8%)$207.3 B(+0.9%)$205.5 B(-0.6%)$206.8 B

Current Assets

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Non Current Assets

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Total Liabilities

$193.5 B(-0.3%)$194.0 B(-0.7%)$195.5 B(+0.0%)$195.4 B(-0.5%)$196.4 B(+3.7%)$189.5 B(+0.4%)$188.7 B(+0.5%)$187.8 B

Current Liabilities

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Long Term Liabilities

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Shareholders Equity

$20.8 B(+8.1%)$19.2 B(+1.1%)$19.0 B(-0.8%)$19.2 B(+15.9%)$16.5 B(-7.1%)$17.8 B(+6.4%)$16.7 B(-11.8%)$19.0 B

Book Value

$12.0 B(+15.9%)$10.4 B(+2.4%)$10.1 B(-1.6%)$10.3 B(+36.1%)$7.6 B(-14.8%)$8.9 B(+13.9%)$7.8 B(-23.4%)$10.2 B

Working Capital

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Cash And Cash Equivalents

$3.2 B(+13.3%)$2.8 B(+1.5%)$2.8 B(-11.0%)$3.1 B(+10.8%)$2.8 B(+9.4%)$2.6 B(-15.4%)$3.1 B(-10.7%)$3.4 B

Accounts Payable

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Accounts Receivable

---$2.8 B----

Short Term Debt

$1.0 B(-65.5%)$3.0 B(+20.0%)$2.5 B(+0.1%)$2.5 B(-40.9%)$4.3 B(-20.0%)$5.3 B(-16.3%)$6.4 B(-9.6%)$7.1 B

Long Term Debt

$17.1 B(+4.9%)$16.3 B(+5.5%)$15.4 B(-5.7%)$16.4 B(+0.4%)$16.3 B(+32.8%)$12.3 B(+4.8%)$11.7 B(+6.6%)$11.0 B

Total Debt

$18.1 B(-6.1%)$19.3 B(+7.5%)$18.0 B(-4.9%)$18.9 B(-8.1%)$20.6 B(+16.8%)$17.6 B(-2.6%)$18.1 B(+0.2%)$18.0 B

Debt To Equity

0.9(-13.9%)1.0(+6.3%)0.9(-4.0%)1.0(-20.2%)1.2(+25.3%)1.0(-8.3%)1.1(+13.7%)0.9

Current Ratio

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Quick Ratio

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Inventory

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Retained Earnings

$23.8 B(+1.2%)$23.5 B(+1.4%)$23.2 B(+1.0%)$23.0 B(+1.1%)$22.7 B(+1.7%)$22.4 B(+5.4%)$21.2 B(+1.9%)$20.8 B

PB Ratio

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Income statements

30 Sept 202430 June 202431 Mar 202431 Dec 202330 Sept 202330 June 202330 Sept 202230 June 2022

EPS

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TTM EPS

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Revenue

$2.1 B(+1.8%)$2.0 B(-0.3%)$2.0 B(-1.7%)$2.1 B(-0.8%)$2.1 B(-0.3%)$2.1 B(-2.8%)$2.1 B(+7.4%)$2.0 B

TTM Revenue

$8.2 B(-0.2%)$8.2 B(-0.8%)$8.3 B(+32.6%)$6.2 B(+49.5%)$4.2 B(-1.6%)$4.2 B(+2.1%)$4.2 B(+107.4%)$2.0 B

Total Expenses

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Operating Expenses

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Cost Of Goods Sold

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TTM Cost Of Goods Sold

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Gross Profit

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TTM Gross Profit

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Gross Margin

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Operating Profit

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TTM Operating Profit

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Operating Margin

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Net Income

$573.0 M(-4.7%)$601.0 M(+15.6%)$520.0 M(-1.9%)$530.0 M(-19.7%)$660.0 M(+9.8%)$601.0 M(-8.0%)$653.0 M(+16.2%)$562.0 M

TTM Net Income

$2.2 B(-3.8%)$2.3 B(0%)$2.3 B(+29.0%)$1.8 B(+42.0%)$1.3 B(+0.6%)$1.3 B(+3.2%)$1.2 B(+116.2%)$562.0 M

Net Margin

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EBIT

$2.0 B(-1.1%)$2.0 B(+6.1%)$1.9 B(+0.1%)$1.9 B(-2.9%)$1.9 B(+14.8%)$1.7 B(+52.5%)$1.1 B(+30.4%)$849.0 M

TTM EBIT

$7.7 B(+0.5%)$7.7 B(+4.2%)$7.4 B(+34.2%)$5.5 B(+51.9%)$3.6 B(+29.7%)$2.8 B(+42.9%)$2.0 B(+130.4%)$849.0 M

EBITDA

$2.1 B(-0.8%)$2.1 B(+5.3%)$2.0 B(+0.7%)$2.0 B(-2.7%)$2.1 B(+13.8%)$1.8 B(+48.6%)$1.2 B(+26.6%)$958.0 M

TTM EBITDA

$8.2 B(+0.6%)$8.2 B(+4.0%)$7.9 B(+34.4%)$5.9 B(+51.8%)$3.9 B(+27.8%)$3.0 B(+38.9%)$2.2 B(+126.6%)$958.0 M

Selling, General & Administrative Expenses

$772.0 M(+1.7%)$759.0 M(-14.0%)$883.0 M(+17.1%)$754.0 M(+3.0%)$732.0 M(-2.9%)$754.0 M(+12.0%)$673.0 M(+4.7%)$643.0 M

TTM SG&A

$3.2 B(+1.3%)$3.1 B(+0.2%)$3.1 B(+39.4%)$2.2 B(+50.7%)$1.5 B(+4.1%)$1.4 B(+8.4%)$1.3 B(+104.7%)$643.0 M

Depreciation And Amortization

$123.0 M(+2.5%)$120.0 M(-6.3%)$128.0 M(+11.3%)$115.0 M(0%)$115.0 M(0%)$115.0 M(+8.5%)$106.0 M(-2.8%)$109.0 M

TTM D&A

$486.0 M(+1.7%)$478.0 M(+1.1%)$473.0 M(+37.1%)$345.0 M(+50.0%)$230.0 M(+4.1%)$221.0 M(+2.8%)$215.0 M(+97.3%)$109.0 M

Interest Expense

$1.2 B(+1.2%)$1.2 B(+0.7%)$1.2 B(-0.6%)$1.2 B(+12.8%)$1.1 B(+19.5%)$913.0 M(+248.5%)$262.0 M(+109.6%)$125.0 M

TTM Interest Expense

$4.9 B(+3.3%)$4.8 B(+7.2%)$4.5 B(+37.8%)$3.2 B(+61.4%)$2.0 B(+70.5%)$1.2 B(+203.6%)$387.0 M(+209.6%)$125.0 M

Income Tax

$155.0 M(-4.9%)$163.0 M(+18.1%)$138.0 M(+15.0%)$120.0 M(-35.5%)$186.0 M(+6.9%)$174.0 M(-9.4%)$192.0 M(+18.5%)$162.0 M

TTM Income Tax

$576.0 M(-5.1%)$607.0 M(-1.8%)$618.0 M(+28.8%)$480.0 M(+33.3%)$360.0 M(-1.6%)$366.0 M(+3.4%)$354.0 M(+118.5%)$162.0 M

PE Ratio

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PS Ratio

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Cashflow statements

30 Sept 202430 June 202431 Mar 202431 Dec 202330 Sept 202330 June 202330 Sept 202230 June 2022

Cash From Operations

$1.9 B(+173.9%)$679.0 M(+75.9%)$386.0 M(-81.4%)$2.1 B(+225.8%)$636.0 M(+32.5%)$480.0 M(-71.9%)$1.7 B(+78.5%)$958.0 M

TTM CFO

$5.0 B(+32.4%)$3.8 B(+5.6%)$3.6 B(+12.1%)$3.2 B(+185.7%)$1.1 B(-49.0%)$2.2 B(-17.9%)$2.7 B(+178.5%)$958.0 M

Cash From Investing

-$1.2 B(-190.2%)$1.3 B(+659.0%)-$229.0 M(+72.5%)-$833.0 M(+87.5%)-$6.7 B(-1769.1%)$401.0 M(+123.3%)-$1.7 B(-176.8%)$2.2 B

TTM CFI

-$937.0 M(+85.5%)-$6.5 B(+11.9%)-$7.4 B(-3.2%)-$7.1 B(-13.2%)-$6.3 B(-375.6%)-$1.3 B(-354.4%)$520.0 M(-76.8%)$2.2 B

Cash From Financing

-$327.0 M(+83.0%)-$1.9 B(-281.3%)-$503.0 M(+46.1%)-$934.0 M(-114.8%)$6.3 B(+690.4%)-$1.1 B(-200.6%)-$355.0 M(+87.4%)-$2.8 B

TTM CFF

-$3.7 B(-225.0%)$2.9 B(-22.4%)$3.8 B(-11.7%)$4.3 B(-17.9%)$5.2 B(+468.0%)-$1.4 B(+55.1%)-$3.2 B(-12.6%)-$2.8 B

Free Cash Flow

$1.7 B(+194.1%)$588.0 M(+83.2%)$321.0 M(-83.5%)$1.9 B(+274.9%)$519.0 M(+50.4%)$345.0 M(-78.1%)$1.6 B(+80.6%)$871.0 M

TTM FCF

$4.6 B(+35.9%)$3.4 B(+7.8%)$3.1 B(+11.4%)$2.8 B(+225.2%)$864.0 M(-55.0%)$1.9 B(-21.5%)$2.4 B(+180.6%)$871.0 M

CAPEX

$131.0 M(+44.0%)$91.0 M(+40.0%)$65.0 M(-48.4%)$126.0 M(+7.7%)$117.0 M(-13.3%)$135.0 M(-1.5%)$137.0 M(+57.5%)$87.0 M

TTM CAPEX

$413.0 M(+3.5%)$399.0 M(-9.9%)$443.0 M(+17.2%)$378.0 M(+50.0%)$252.0 M(-7.3%)$272.0 M(+21.4%)$224.0 M(+157.5%)$87.0 M

Dividends Paid

$320.0 M(+14.3%)$280.0 M(-2.4%)$287.0 M(+4.0%)$276.0 M(+22.7%)$225.0 M(-15.1%)$265.0 M(+16.2%)$228.0 M(-5.8%)$242.0 M

TTM Dividends Paid

$1.2 B(+8.9%)$1.1 B(+1.4%)$1.1 B(+37.5%)$766.0 M(+56.3%)$490.0 M(-0.6%)$493.0 M(+4.9%)$470.0 M(+94.2%)$242.0 M

TTM Dividend Per Share

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TTM Dividend Yield

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Payout Ratio

55.9%(+19.9%)46.6%(-15.6%)55.2%(+6.0%)52.1%(+52.8%)34.1%(-22.7%)44.1%(+26.3%)34.9%(-18.9%)43.1%