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JPMORGAN CHASE & CO

JPMJPM-PCAMJBVYLDJPM-PDJPM-PJJPM-PKJPM-PLJPM-PM
National Commercial Banks
Last filing · Quarter 2 · Jun 30, 2026
Format
% Change
Rows
USD ($)
$ in Millions
Dec 31, 2025Dec 31, 2024Dec 31, 2023Dec 31, 2022Dec 31, 2021Dec 31, 2020Dec 31, 2019Dec 31, 2018Dec 31, 2017Dec 31, 2016Dec 31, 2015Dec 31, 2014Dec 31, 2013Dec 31, 2012Dec 31, 2011Dec 31, 2010Dec 31, 2009
Assets
                 
Cash and due from banks
21,742
23,372
29,066
Deposits with banks
321,596
445,945
595,085
Federal funds sold and securities purchased under resale agreements (included $327,018 and $286,771 at fair value)
336,426
295,001
276,152
Securities borrowed (included $98,111 and $83,962 at fair value)
286,191
219,546
200,436
Trading assets (included assets pledged of $165,927 and $136,070)
802,873
637,784
540,607
Available-for-sale securities (amortized cost of $507,226 and $411,045; included assets pledged of $7,735 and $10,162)
507,198
406,852
201,704
Held-to-maturity securities
270,134
274,468
369,848
Investment securities, net of allowance for credit losses
777,332
681,320
571,552
Loans (included $70,684 and $41,350 at fair value)
1,493,429
1,347,988
1,323,706
Allowance for loan losses
25,765
24,345
22,420
Loans, net of allowance for loan losses
1,467,664
1,323,643
1,301,286
Accrued interest and accounts receivable
111,599
101,223
107,363
Premises and equipment
36,244
32,223
30,157
Goodwill, MSRs and other intangible assets
64,458
64,560
64,381
Goodwill
-
-
-
Mortgage servicing rights
-
-
-
Other intangible assets
-
-
-
Other assets (included $15,849 and $15,122 at fair value and assets pledged of $11,984 and $6,288)
198,775
178,197
159,308
Total assets
4,424,900
4,002,814
3,875,393
Liabilities
                 
Deposits (included $20,930 and $33,768 at fair value)
2,559,320
2,406,032
2,400,688
Federal funds purchased and securities loaned or sold under repurchase agreements (included $360,194 and $226,329 at fair value)
442,396
296,835
216,535
Short-term borrowings (included $32,460 and $26,521 at fair value)
64,776
52,893
44,712
Commercial paper
-
-
-
Other borrowed funds (included $9,105 and $9,911 at fair value)
-
-
-
Trading liabilities
216,019
192,883
180,428
Accounts payable and other liabilities (included $6,660 and $5,893 at fair value)
316,794
280,672
290,307
Beneficial interests issued by consolidated VIEs (included $5 and $1 at fair value)
27,951
27,323
23,020
Long-term debt (included $134,559 and $100,780 at fair value)
435,206
401,418
391,825
Total liabilities
4,062,462
3,658,056
3,547,515
Stockholders’ equity
                 
Preferred stock ($1 par value; authorized 200,000,000 shares: issued 2,005,375 and 2,005,375 shares)
20,045
20,050
27,404
Common stock ($1 par value; authorized 9,000,000,000 shares; issued 4,104,933,895 shares)
4,105
4,105
4,105
Additional paid-in capital
91,114
90,911
90,128
Retained earnings
416,055
376,166
332,901
Accumulated other comprehensive losses
(4,290)
(12,456)
(10,443)
Treasury stock, at cost (1,408,661,319 and 1,307,313,494 shares)
164,591
134,018
116,217
Shares held in restricted stock units (“RSU”) trust, at cost (zero and 472,953 shares)
-
-
-
Shares held in RSU Trust, at cost (1,192,712 shares and 1,526,944 shares)
-
-
-
Total stockholders’ equity
362,438
344,758
327,878
Total liabilities and stockholders’ equity
4,424,900
4,002,814
3,875,393
Limited program-wide credit enhancement
-
-
-