Fifth Third Bancorp Cash Flow Statement 2009-2024 | FITB

Fifteen years of historical annual cash flow statements for Fifth Third Bancorp (FITB).

Annual Data | Millions of US $ except per share data

Metric Name
Net Income/Loss
Total Depreciation And Amortization - Cash Flow
Other Non-Cash Items
Total Non-Cash Items
Change In Accounts Receivable
Change In Inventories
Change In Accounts Payable
Change In Assets/Liabilities
Total Change In Assets/Liabilities
Cash Flow From Operating Activities
Net Change In Property, Plant, And Equipment
Net Change In Intangible Assets
Net Acquisitions/Divestitures
Net Change In Short-term Investments
Net Change In Long-Term Investments
Net Change In Investments - Total
Investing Activities - Other
Cash Flow From Investing Activities
Net Long-Term Debt
Net Current Debt
Debt Issuance/Retirement Net - Total
Net Common Equity Issued/Repurchased
Net Total Equity Issued/Repurchased
Total Common And Preferred Stock Dividends Paid
Financial Activities - Other
Cash Flow From Financial Activities
Net Cash Flow
Stock-Based Compensation
Common Stock Dividends Paid
202320222021202020192018201720162015201420132012201120102009
$2,349$2,446$2,770$1,427$2,512$2,193$2,180$1,543$1,706$1,483$1,826$1,574$1,298$753$737
$462$436$349$492$472$360$341$453$441$414$507$531$455$457$341
$669$578$-157.00$1,523$-135.00$-74.00$-752.00$133$213$434$66.00$691$1,119$1,784$2,719
$1,131$1,014$192$2,015$337$286$-411.00$586$654$848$573$1,222$1,574$2,241$3,060
$669$2,758$-19.00$-2,577.00$-876.00$-250.00$291$-220.00$-138.00$536$2,422$22.00$-561.00$517$-632.00
$-128.00$70.00$15.00$12.00$-29.00$132$-442.00$-23.00$-34.00$-16.00$-131.00$-28.00$115$67.00$1,000
$0$0$0$0$0$0$0$0$0$0$0$0$0$0$0
$326$646$-37.00$-855.00$20.00$303$0.00$362$-97.00$-776.00$-103.00$-234.00$-139.00$-210.00$829
$1,029$2,968$-258.00$-3,071.00$-1,025.00$377$-289.00$-38.00$58.00$-255.00$2,196$-239.00$-506.00$311$-3.00
$4,509$6,428$2,704$371$1,824$2,856$1,480$2,091$2,418$2,076$4,595$2,557$2,366$3,305$3,794
$-421.00$-470.00$-262.00$-325.00$-214.00$-77.00$-191.00$-230.00$-212.00$-258.00$-447.00$-475.00$-343.00$-235.00$-228.00
$-25.00$-213.00$-381.00$-44.00$-26.00$-82.00$-109.00$0$0$0$0$0$0$0$0
$0$-851.00$-297.00$-4.00$1,210$-43.00$-44.00$0$0$0$0$0$0$0$546
$-13,731.00$26,224$-1,172.00$-31,446.00$-612.00$928$1.00$-83.00$5,243$-2,798.00$-2,695.00$-640.00$-267.00$1,861$209
$804$-20,860.00$-2,509.00$123$-1,092.00$-1,926.00$-324.00$-2,536.00$-6,923.00$-3,172.00$-3,623.00$-156.00$313$1,980$-5,288.00
$-12,927.00$5,364$-3,681.00$-31,323.00$-1,704.00$-998.00$-323.00$-2,619.00$-1,680.00$-5,970.00$-6,318.00$-796.00$46.00$3,841$-5,079.00
$3,885$-8,701.00$-3,347.00$-206.00$-63.00$-2,941.00$1,095$-15.00$-2,039.00$-2,710.00$-3,419.00$-5,262.00$-4,988.00$-1,898.00$5,837
$-9,488.00$-4,871.00$-7,968.00$-31,902.00$-797.00$-4,141.00$428$-2,864.00$-3,931.00$-8,938.00$-10,184.00$-6,533.00$-5,285.00$1,708$1,076
$2,629$2,264$-3,041.00$-242.00$-346.00$-446.00$521$-1,384.00$886$5,171$2,819$-2,636.00$-107.00$-2,459.00$-2,538.00
$-1,881.00$3,757$-193.00$182$-1,494.00$-1,688.00$519$2,009$-42.00$36.00$-5,518.00$3,596$1,732$135$-8,648.00
$748$6,021$-3,234.00$-60.00$-1,840.00$-2,134.00$1,040$625$844$5,207$-2,699.00$960$1,625$-2,324.00$-11,186.00
$-200.00$-100.00$-1,393.00$0$-1,763.00$-1,453.00$-1,605.00$-661.00$-850.00$-654.00$-1,320.00$-650.00$1,368$0$986
$-200.00$-100.00$-1,393.00$346$-1,521.00$-1,453.00$-1,605.00$-661.00$-850.00$-357.00$-286.00$-650.00$-2,040.00$0$717
$-1,060.00$-927.00$-897.00$-858.00$-753.00$-565.00$-505.00$-454.00$-497.00$-490.00$-430.00$-344.00$-242.00$-237.00$-212.00
$5,167$-6,079.00$10,635$31,972$3,684$5,604$-716.00$1,115$1,465$2,415$9,741$3,788$4,080$-2,611.00$5,390
$4,655$-1,085.00$5,111$31,400$-430.00$1,452$-1,786.00$625$962$6,775$6,326$3,754$3,423$-5,172.00$-5,291.00
$-324.00$472$-153.00$-131.00$597$167$122$-148.00$-551.00$-87.00$737$-222.00$504$-159.00$-421.00
$169$165$120$123$132$127$118$111$100.00$83.00$78.00$69.00$59.00$64.00$45.00
$-1,060.00$-927.00$-897.00$0$0$0$-430.00$-402.00$-422.00$-423.00$-393.00$-309.00$-192.00$-32.00$-27.00