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Consolidated Statements of Cash Flows - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Cash flows provided by operating activities      
Net income $ 2,940 $ 4,374 $ 5,422
Adjustments to reconcile net income to net cash provided by operating activities:      
Provision for credit losses 6,018 2,359 218
Deferred income taxes (626) (433) 318
Depreciation and amortization 458 561 531
Amortization of deferred revenues (468) (365) (295)
Net losses (gains) on investments and other assets 50 261 (382)
Other, net 110 125 257
Changes in assets and liabilities:      
Increase in other assets (658) (846) (496)
Increase in accrued expenses and other liabilities 739 1,104 446
Net cash provided by operating activities 8,563 7,140 6,019 Close
Cash flows provided by (used for) investing activities      
Maturities of other short-term investments 0 0 2,200
Maturities of available-for-sale investment securities 1,831 2,084 2,727
Purchases of available-for-sale investment securities (2,996) (7,682) (9)
Maturities of held-to-maturity investment securities 16 32 82
Purchases of held-to-maturity investment securities (49) (50) (28)
Net change in principal on loans originated for investment (19,934) (19,961) (4,574)
Proceeds from the sale of available for sale securities 0 0 5
Proceeds from the sale of other investments 44 336 1
Purchases of other investments (100) (169) (170)
Proceeds from sale of premises and equipment 0 9 0
Purchases of premises and equipment (303) (236) (194)
Net cash (used for) provided by investing activities (21,491) (25,637) 40 Close
Cash flows (used for) provided by financing activities      
Net change in short-term borrowings 750 (1,750) 1,750
Net change in deposits 17,250 19,208 (4,533)
Proceeds from issuance of securitized debt 2,230 5,620 1,727
Maturities and repayment of securitized debt (1,494) (4,395) (3,451)
Proceeds from issuance of other long-term borrowings 2,041 1,265 0
Maturities and repayments of other long-term borrowings (2,340) (834) (922)
Proceeds from issuance of common stock 12 10 9
Dividends paid on common and preferred stock (752) (703) (636)
Purchases of treasury stock (1,938) (2,359) (2,260)
Net cash provided by (used for) financing activities 15,759 16,062 (8,316) Close
Net increase (decrease) in cash, cash equivalents and restricted cash 2,831 (2,435) (2,257) Close
Cash, cash equivalents and restricted cash, at the beginning of the period 8,897 11,332 13,589
Cash, cash equivalents and restricted cash, at the end of the period 11,728 8,897 11,332
Reconciliation of cash, cash equivalents and restricted cash      
Cash and cash equivalents 11,685 8,856 8,750
Restricted cash 43 41 2,582
Cash paid during the period for:      
Interest expense 4,508 1,666 1,077
Income taxes, net of income tax refunds $ 1,605 $ 1,865 $ 1,305