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Consolidated Statements of Cash Flows - USD ($)
$ in Millions
6 Months Ended
Jun. 30, 2024
Jun. 30, 2023
CASH FLOWS FROM OPERATING ACTIVITIES    
Net Income $ 1,110.8 $ 666.4
Adjustments to Reconcile Net Income to Net Cash Used in Operating Activities    
Investment Security Losses/(Gains) 189.3 (6.9)
Amortization and Accretion of Securities and Unearned Income, net (17.1) 4.3
Provision for Credit Losses (0.5) (0.5)
Depreciation and Amortization 350.8 308.1
Pension Plan Contributions (208.0) (16.5)
Change in Receivables (210.0) 72.3
Change in Interest Payable 2.6 44.0
Change in Collateral With Derivative Counterparties, net (722.0) (1,215.5)
Other Operating Activities, net 1,041.8 (120.0)
Net Cash Provided by / (Used in) Operating Activities 1,537.7 (264.3) Close
CASH FLOWS FROM INVESTING ACTIVITIES    
Change in Federal Funds Sold 0.0 (32.0)
Change in Securities Purchased under Agreements to Resell (98.7) (106.5)
Change in Interest-Bearing Deposits with Banks 503.7 480.1
Net Change in Federal Reserve and Other Central Bank Deposits (9,294.8) (2,239.9)
Purchases of Held to Maturity Debt Securities (12,306.7) (18,715.2)
Proceeds from the Maturity and Redemption of Held to Maturity Debt Securities 15,449.3 18,076.7
Purchases of Available for Sale Debt Securities (7,902.2) (2,336.0)
Proceeds from the Maturity and Sales of Available for Sale Debt Securities 4,087.7 4,938.7
Change in Loans 5,456.7 (643.2)
Purchases of Buildings and Equipment (35.1) (31.6)
Purchases and Development of Computer Software (275.0) (268.9)
Change in Client Security Settlement Receivables 18.4 1,269.6
Proceeds from the sale of Visa Shares 607.0 0.0
Other Investing Activities, net (53.2) (823.2)
Net Cash (Used in) Investing Activities (3,842.9) (431.4) Close
CASH FLOWS FROM FINANCING ACTIVITIES    
Change in Deposits 5,591.1 (11,053.6)
Change in Federal Funds Purchased (639.1) 7,447.6
Change in Securities Sold under Agreements to Repurchase (155.5) 420.8
Change in Short-Term Other Borrowings 209.4 4,788.4
Treasury Stock Purchased (382.8) (200.2)
Net Proceeds from Stock Options 4.3 1.6
Cash Dividends Paid on Common Stock (305.5) (311.9)
Cash Dividends Paid on Preferred Stock (20.9) (20.9)
Other Financing Activities, net (2.8) (0.1)
Net Cash Provided by Financing Activities 4,298.2 1,071.7 Close
Effect of Foreign Currency Exchange Rates on Cash (217.5) (132.5) Close
Change in Cash and Due from Banks 1,775.5 243.5 Close
Cash and Due from Banks at Beginning of Period 4,791.5 4,654.2
Cash and Due from Banks at End of Period 6,567.0 4,897.7
SUPPLEMENTAL DISCLOSURES OF CASH FLOW INFORMATION    
Interest Paid 3,890.3 2,103.1
Income Taxes Paid 105.0 109.8
Reclassification of certain cash collateral received from Other Operating Activities to Deposits [1] $ 1,157.2 $ 0.0
[1] Beginning January 1, 2024, Northern Trust reclassified certain cash collateral received from Other Liabilities to Deposits on the consolidated statement of financial condition. Prior periods have not been restated.