marketcaparena

FITB

FIFTH THIRD BANCORP

Company overview

Market capitalization
—
Employees
25,980
Latest publication
2026-09-29
About FIFTH THIRD BANCORP

Fifth Third Bancorp operates as the bank holding company for Fifth Third Bank, National Association that provides a range of financial products and services in the United States. It operates through three segments: Commercial Banking, Consumer and Small Business Banking, and Wealth and Asset Management. The Commercial Banking segment offers credit intermediation, cash management, and financial services; lending and depository products; and cash management, foreign exchange and international trade finance, derivatives and capital markets services, asset-based lending, real estate finance, public finance, commercial leasing, and syndicated finance for business, government, and professional customers. Its Consumer and Small Banking segment engages in the provision of a range of deposit and loan products to individuals and small businesses; residential mortgage activities, including the origination, retention and servicing of residential mortgage loans, sales and securitizations of loans, and associated hedging activities; home equity loans and lines of credit, credit cards, automobile and other indirect lending, and other consumer lending services; and home improvement and solar energy installation loans through contractors and installers. The Wealth and Asset Management segment provides various wealth management services, such as wealth planning, investment management, banking, insurance, trust, and estate services for for individuals, companies, and not-for-profit organizations; retail brokerage services for individual clients; and advisory services for institutional clients. Fifth Third Bancorp was founded in 1858 and is headquartered in Cincinnati, Ohio.

Company website

Financial statements

Income Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ2 20262026-06-30 · USDQ1 20262026-03-31 · USDQ4 20252025-12-31 · USDQ3 20252025-09-30 · USDQ2 20252025-06-30 · USDQ1 20252025-03-31 · USDQ4 20242024-12-31 · USDQ3 20242024-09-30 · USD
Total Revenue4,431,000,000USD3,867,000,000USD3,279,000,000USD3,300,000,000USD3,212,000,000USD3,075,000,000USD3,234,000,000USD3,311,000,000USD
Selling And Marketing Expenses65,000,000USD—37,000,000USD34,000,000USD43,000,000USD28,000,000USD23,000,000USD26,000,000USD
Interest Income3,372,000,000USD2,972,000,000USD2,468,000,000USD2,519,000,000USD2,484,000,000USD2,432,000,000USD2,529,000,000USD2,669,000,000USD
Interest Expense1,157,000,000USD1,038,000,000USD939,000,000USD999,000,000USD989,000,000USD995,000,000USD1,091,000,000USD1,248,000,000USD
Net Interest Income2,215,000,000USD1,934,000,000USD1,529,000,000USD1,520,000,000USD1,495,000,000USD1,437,000,000USD1,438,000,000USD1,421,000,000USD
Non Interest Income1,059,000,000USD———————
Revenue Net Of Interest Expense3,274,000,000USD———————
Provision For Credit Losses129,000,000USD———————
Non Interest Expense2,109,000,000USD———————
Labor And Related Expense1,129,000,000USD———————
Communications And Information Technology250,000,000USD———————
Income Before Tax1,036,000,000USD207,000,000USD912,000,000USD837,000,000USD808,000,000USD653,000,000USD765,000,000USD728,000,000USD
Income Tax Expense235,000,000USD42,000,000USD181,000,000USD188,000,000USD180,000,000USD138,000,000USD145,000,000USD155,000,000USD
Net Income801,000,000USD165,000,000USD731,000,000USD649,000,000USD628,000,000USD515,000,000USD620,000,000USD573,000,000USD
Net Income Applicable To Common Shares763,000,000USD—699,000,000USD608,000,000USD591,000,000USD478,000,000USD582,000,000USD—
Cost Of Revenue—1,265,000,000USD939,000,000USD1,196,000,000USD1,162,000,000USD1,169,000,000USD1,270,000,000USD1,408,000,000USD
Gross Profit—2,602,000,000USD2,340,000,000USD2,104,000,000USD2,050,000,000USD1,906,000,000USD1,964,000,000USD1,903,000,000USD
Selling General Administrative—1,605,000,000USD815,000,000USD774,000,000USD781,000,000USD810,000,000USD725,000,000USD746,000,000USD
Unclassified Operating Expenses—790,000,000USD576,000,000USD331,000,000USD418,000,000USD415,000,000USD451,000,000USD403,000,000USD
Total Operating Expenses—2,395,000,000USD1,428,000,000USD1,267,000,000USD1,242,000,000USD1,253,000,000USD1,199,000,000USD1,175,000,000USD
Operating Income—207,000,000USD912,000,000USD837,000,000USD808,000,000USD653,000,000USD765,000,000USD728,000,000USD
Tax Provision—42,000,000USD181,000,000USD188,000,000USD180,000,000USD138,000,000USD145,000,000USD155,000,000USD
Net Income From Continuing Ops—165,000,000USD731,000,000USD649,000,000USD628,000,000USD515,000,000USD620,000,000USD573,000,000USD
Ebit—207,000,000USD912,000,000USD837,000,000USD808,000,000USD653,000,000USD765,000,000USD728,000,000USD
Ebitda—406,000,000USD1,054,000,000USD969,000,000USD946,000,000USD788,000,000USD889,000,000USD851,000,000USD
Depreciation And Amortization—199,000,000USD142,000,000USD132,000,000USD138,000,000USD135,000,000USD124,000,000USD123,000,000USD
Reconciled Depreciation—199,000,000USD142,000,000USD139,000,000USD138,000,000USD135,000,000USD124,000,000USD123,000,000USD
Research Development———128,000,000USD————
Total Other Income Expense Net—————-174,000,000USD765,000,000USD6,000,000USD
SourceDisclosureDeterministicFinalLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacy

Income YTD

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ2 20262026-06-30 · USD
Total Revenue8,298,000,000USD
Selling And Marketing Expenses114,000,000USD
Interest Income6,344,000,000USD
Interest Expense2,195,000,000USD
Net Interest Income4,149,000,000USD
Non Interest Income1,954,000,000USD
Revenue Net Of Interest Expense6,103,000,000USD
Provision For Credit Losses356,000,000USD
Non Interest Expense4,504,000,000USD
Labor And Related Expense2,539,000,000USD
Communications And Information Technology453,000,000USD
Income Before Tax1,243,000,000USD
Income Tax Expense277,000,000USD
Net Income966,000,000USD
Net Income Applicable To Common Shares891,000,000USD
SourceDisclosureDeterministicFinal

Income Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20252025-12-31 · USDFY 20242024-12-31 · USDFY 20232023-12-31 · USDFY 20222022-12-31 · USDFY 20212021-12-31 · USDFY 20202020-12-31 · USDFY 20192019-12-31 · USDFY 20182018-12-31 · USD
Total Revenue12,866,000,000USD13,049,000,000USD12,355,000,000USD9,080,000,000USD7,947,000,000USD8,033,000,000USD8,621,000,000USD7,141,000,000USD
Cost Of Revenue4,466,000,000USD5,326,000,000USD4,448,000,000USD1,541,000,000USD64,000,000USD1,887,000,000USD1,928,000,000USD1,250,000,000USD
Gross Profit8,400,000,000USD7,723,000,000USD7,907,000,000USD7,539,000,000USD7,883,000,000USD6,146,000,000USD6,693,000,000USD5,891,000,000USD
Research Development128,000,000USD——————0USD
Selling General Administrative2,365,000,000USD3,048,000,000USD2,988,000,000USD2,853,000,000USD2,877,000,000USD2,848,000,000USD2,674,000,000USD2,355,000,000USD
Selling And Marketing Expenses1,414,000,000USD115,000,000USD126,000,000USD118,000,000USD107,000,000USD104,000,000USD162,000,000USD147,000,000USD
Unclassified Operating Expenses1,283,000,000USD1,644,000,000USD1,805,000,000USD1,475,000,000USD1,382,000,000USD1,397,000,000USD655,000,000USD624,000,000USD
Total Operating Expenses5,190,000,000USD4,807,000,000USD4,919,000,000USD4,446,000,000USD4,366,000,000USD4,349,000,000USD3,491,000,000USD3,126,000,000USD
Operating Income3,210,000,000USD2,916,000,000USD2,988,000,000USD3,093,000,000USD3,517,000,000USD1,797,000,000USD3,202,000,000USD2,765,000,000USD
Interest Income9,903,000,000USD10,426,000,000USD9,188,000,000USD6,587,000,000USD5,211,000,000USD5,572,000,000USD6,254,000,000USD5,183,000,000USD
Interest Expense3,922,000,000USD4,796,000,000USD3,933,000,000USD978,000,000USD441,000,000USD790,000,000USD1,457,000,000USD1,043,000,000USD
Net Interest Income5,982,000,000USD5,630,000,000USD5,988,000,000USD5,609,000,000USD4,770,000,000USD4,782,000,000USD4,797,000,000USD4,140,000,000USD
Income Before Tax3,210,000,000USD2,916,000,000USD2,988,000,000USD3,093,000,000USD3,517,000,000USD1,797,000,000USD3,202,000,000USD2,765,000,000USD
Income Tax Expense687,000,000USD602,000,000USD639,000,000USD647,000,000USD747,000,000USD370,000,000USD690,000,000USD572,000,000USD
Tax Provision689,000,000USD602,000,000USD696,000,000USD647,000,000USD747,000,000USD370,000,000USD690,000,000USD572,000,000USD
Net Income2,523,000,000USD2,314,000,000USD2,349,000,000USD2,446,000,000USD2,770,000,000USD1,427,000,000USD2,512,000,000USD2,193,000,000USD
Net Income From Continuing Ops2,522,000,000USD2,314,000,000USD2,556,000,000USD2,446,000,000USD2,770,000,000USD1,427,000,000USD2,512,000,000USD2,193,000,000USD
Ebit3,210,000,000USD2,916,000,000USD2,988,000,000USD3,093,000,000USD3,517,000,000USD1,797,000,000USD3,202,000,000USD2,765,000,000USD
Ebitda3,615,000,000USD3,411,000,000USD3,450,000,000USD3,529,000,000USD3,866,000,000USD2,289,000,000USD3,674,000,000USD3,125,000,000USD
Depreciation And Amortization405,000,000USD495,000,000USD462,000,000USD436,000,000USD349,000,000USD492,000,000USD472,000,000USD360,000,000USD
Reconciled Depreciation554,000,000USD495,000,000USD459,000,000USD436,000,000USD349,000,000USD492,000,000USD472,000,000USD360,000,000USD
Net Income Applicable To Common Shares2,376,000,000USD2,155,000,000USD2,212,000,000USD2,330,000,000USD2,652,000,000USD1,323,000,000USD2,419,000,000USD2,118,000,000USD
Total Other Income Expense Net—37,000,000USD-1,446,000,000USD-1,192,000,000USD-1,212,000,000USD-1,227,000,000USD-1,243,000,000USD-1,045,000,000USD
Minority Interest——————0USD0USD
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Balance sheet Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ2 20262026-06-30 · USDQ1 20262026-03-31 · USDQ4 20252025-12-31 · USDQ3 20252025-09-30 · USDQ2 20252025-06-30 · USDQ1 20252025-03-31 · USDQ4 20242024-12-31 · USDQ3 20242024-09-30 · USD
Total Assets300,180,000,000USD297,039,000,000USD214,376,000,000USD212,903,000,000USD209,991,000,000USD212,669,000,000USD212,927,000,000USD214,318,000,000USD
Cash And Equivalents4,374,000,000USD———————
Cash And Short Term Investments23,724,000,000USD4,084,000,000USD22,375,000,000USD56,314,000,000USD54,108,000,000USD57,225,000,000USD58,940,000,000USD64,601,000,000USD
Short Term Investments19,350,000,000USD63,127,000,000USD18,876,000,000USD53,413,000,000USD51,136,000,000USD54,216,000,000USD55,926,000,000USD61,386,000,000USD
Total Liabilities265,698,000,000USD———————
Total Stockholder Equity34,482,000,000USD34,106,000,000USD21,724,000,000USD21,107,000,000USD21,124,000,000USD20,403,000,000USD19,645,000,000USD20,784,000,000USD
Total Equity Including Noncontrolling Interest34,482,000,000USD———————
Short Long Term Debt22,269,000,000USD793,000,000USD370,000,000USD4,768,000,000USD3,068,000,000USD5,164,000,000USD4,158,000,000USD1,046,000,000USD
Long Term Debt17,636,000,000USD18,753,000,000USD13,589,000,000USD13,677,000,000USD14,492,000,000USD14,539,000,000USD14,337,000,000USD17,096,000,000USD
Property Plant Equipment Net3,343,000,000USD3,283,000,000USD3,108,000,000USD3,034,000,000USD2,904,000,000USD2,820,000,000USD3,320,000,000USD2,782,000,000USD
Goodwill9,990,000,000USD———————
Intangible Assets1,253,000,000USD1,233,000,000USD69,000,000USD1,677,000,000USD1,704,000,000USD1,745,000,000USD1,794,000,000USD1,754,000,000USD
Short Term Debt4,633,000,000USD1,289,000,000USD926,000,000USD5,260,000,000USD3,571,000,000USD5,684,000,000USD4,635,000,000USD1,536,000,000USD
Common Stock2,585,000,000USD2,585,000,000USD2,051,000,000USD2,051,000,000USD2,051,000,000USD2,051,000,000USD2,051,000,000USD2,051,000,000USD
Retained Earnings25,645,000,000USD25,248,000,000USD25,488,000,000USD25,057,000,000USD24,718,000,000USD24,377,000,000USD24,150,000,000USD23,820,000,000USD
Accumulated Other Comprehensive Income-3,286,000,000USD-3,234,000,000USD-3,110,000,000USD-3,276,000,000USD-3,546,000,000USD-3,895,000,000USD-4,636,000,000USD-3,446,000,000USD
Total Liab—262,933,000,000USD192,652,000,000USD191,796,000,000USD188,867,000,000USD192,266,000,000USD193,282,000,000USD193,534,000,000USD
Capital Stock—4,767,000,000USD3,821,000,000USD3,821,000,000USD4,167,000,000USD4,167,000,000USD4,167,000,000USD4,167,000,000USD
Good Will—9,966,000,000USD4,947,000,000USD4,947,000,000USD4,918,000,000USD4,918,000,000USD4,918,000,000USD4,918,000,000USD
Cash—4,084,000,000USD3,499,000,000USD2,901,000,000USD2,972,000,000USD3,009,000,000USD3,014,000,000USD3,215,000,000USD
Total Current Assets—4,084,000,000USD143,506,000,000USD59,514,000,000USD57,269,000,000USD60,337,000,000USD65,605,000,000USD67,460,000,000USD
Total Current Liabilities—1,289,000,000USD174,828,000,000USD171,829,000,000USD167,778,000,000USD171,189,000,000USD171,887,000,000USD169,876,000,000USD
Net Debt—15,958,000,000USD11,016,000,000USD16,036,000,000USD15,091,000,000USD17,214,000,000USD15,958,000,000USD15,417,000,000USD
Short Long Term Debt Total—20,042,000,000USD14,515,000,000USD18,937,000,000USD18,063,000,000USD20,223,000,000USD18,972,000,000USD18,632,000,000USD
Long Term Investments—81,421,000,000USD69,982,000,000USD65,859,000,000USD63,864,000,000USD66,726,000,000USD71,213,000,000USD74,310,000,000USD
Common Stock Shares Outstanding—830,274,000shares669,153,000shares670,878,000shares674,034,000shares676,040,000shares681,456,000shares686,109,000shares
Non Current Assets Total—292,955,000,000USD58,759,000,000USD153,389,000,000USD152,722,000,000USD152,332,000,000USD147,322,000,000USD146,858,000,000USD
Non Current Liabilities Total—261,644,000,000USD13,589,000,000USD19,967,000,000USD21,089,000,000USD21,077,000,000USD21,395,000,000USD23,658,000,000USD
Non Currrent Assets Other—21,522,000,000USD1,598,000,000USD14,310,000,000USD14,323,000,000USD14,330,000,000USD4,380,000,000USD13,540,000,000USD
Unclassified Current Assets—-63,127,000,000USD—————-26,159,000,000USD
Unclassified Non Current Assets—175,530,000,000USD-33,056,000,000USD-102,301,000,000USD-96,187,000,000USD-150,876,000,000USD-151,230,000,000USD-55,210,000,000USD
Unclassified Current Liabilities—-793,000,000USD—-4,768,000,000USD-3,068,000,000USD-5,164,000,000USD-4,158,000,000USD—
Unclassified Non Current Liabilities—242,891,000,000USD—6,290,000,000USD6,597,000,000USD6,538,000,000USD7,058,000,000USD6,562,000,000USD
Unclassified Equity—4,740,000,000USD-6,526,000,000USD-6,546,000,000USD-6,266,000,000USD-6,297,000,000USD-6,087,000,000USD-5,808,000,000USD
Other Current Assets——733,000,000USD———142,000,000USD26,159,000,000USD
Other Current Liab——2,083,000,000USD166,569,000,000USD164,207,000,000USD165,505,000,000USD167,252,000,000USD168,340,000,000USD
Other Assets——12,111,000,000USD165,863,000,000USD161,196,000,000USD212,669,000,000USD212,927,000,000USD104,764,000,000USD
Net Receivables——120,398,000,000USD3,200,000,000USD3,161,000,000USD3,112,000,000USD6,523,000,000USD2,859,000,000USD
Accounts Payable——171,819,000,000USD—————
Property Plant Equipment Gross——7,922,000,000USD3,034,000,000USD2,904,000,000USD2,820,000,000USD7,327,000,000USD6,740,000,000USD
SourceDisclosureDeterministicFinalLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacy

Balance sheet Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20252025-12-31 · USDFY 20242024-12-31 · USDFY 20232023-12-31 · USDFY 20222022-12-31 · USDFY 20212021-12-31 · USDFY 20202020-12-31 · USDFY 20192019-12-31 · USDFY 20182018-12-31 · USD
Total Assets214,376,000,000USD212,927,000,000USD214,574,000,000USD207,452,000,000USD211,116,000,000USD204,680,000,000USD169,369,000,000USD146,069,000,000USD
Intangible Assets69,000,000USD1,794,000,000USD1,862,000,000USD1,915,000,000USD1,277,000,000USD795,000,000USD1,194,000,000USD978,000,000USD
Other Current Assets733,000,000USD142,000,000USD143,000,000USD145,000,000USD139,000,000USD129,000,000USD101,000,000USD93,000,000USD
Total Liab192,652,000,000USD193,282,000,000USD195,402,000,000USD190,125,000,000USD188,906,000,000USD181,569,000,000USD148,166,000,000USD129,819,000,000USD
Total Stockholder Equity21,724,000,000USD19,645,000,000USD19,172,000,000USD17,327,000,000USD22,210,000,000USD23,111,000,000USD21,203,000,000USD16,250,000,000USD
Other Current Liab2,083,000,000USD167,252,000,000USD168,912,000,000USD163,690,000,000USD169,324,000,000USD159,081,000,000USD129,503,000,000USD110,397,000,000USD
Common Stock2,051,000,000USD2,051,000,000USD2,051,000,000USD2,051,000,000USD2,051,000,000USD2,051,000,000USD2,051,000,000USD2,051,000,000USD
Capital Stock3,821,000,000USD4,167,000,000USD4,167,000,000USD4,167,000,000USD4,167,000,000USD4,167,000,000USD3,821,000,000USD3,382,000,000USD
Retained Earnings25,488,000,000USD24,150,000,000USD22,997,000,000USD21,689,000,000USD20,236,000,000USD18,384,000,000USD18,315,000,000USD16,578,000,000USD
Good Will4,947,000,000USD4,918,000,000USD4,919,000,000USD4,915,000,000USD4,514,000,000USD4,258,000,000USD4,252,000,000USD2,478,000,000USD
Other Assets12,111,000,000USD162,883,000,000USD-3,441,000,000USD66,754,000,000USD50,283,000,000USD47,992,000,000USD77,605,000,000USD188,574,000,000USD
Cash3,499,000,000USD3,014,000,000USD3,142,000,000USD3,466,000,000USD2,994,000,000USD3,147,000,000USD3,278,000,000USD2,681,000,000USD
Cash And Short Term Investments22,375,000,000USD58,940,000,000USD74,921,000,000USD62,446,000,000USD75,157,000,000USD73,535,000,000USD40,700,000,000USD36,784,000,000USD
Total Current Assets143,506,000,000USD65,605,000,000USD80,656,000,000USD68,819,000,000USD81,912,000,000USD79,644,000,000USD47,226,000,000USD42,916,000,000USD
Total Current Liabilities174,828,000,000USD171,887,000,000USD171,963,000,000USD168,584,000,000USD170,149,000,000USD160,099,000,000USD130,232,000,000USD112,624,000,000USD
Net Debt11,016,000,000USD15,958,000,000USD16,289,000,000USD15,142,000,000USD9,652,000,000USD12,844,000,000USD12,421,000,000USD13,972,000,000USD
Short Term Debt926,000,000USD4,635,000,000USD3,051,000,000USD4,894,000,000USD825,000,000USD1,018,000,000USD729,000,000USD2,227,000,000USD
Short Long Term Debt370,000,000USD4,158,000,000USD2,528,000,000USD4,838,000,000USD980,000,000USD1,192,000,000USD1,011,000,000USD0USD
Short Long Term Debt Total14,515,000,000USD18,972,000,000USD19,431,000,000USD18,608,000,000USD12,646,000,000USD15,991,000,000USD15,699,000,000USD16,653,000,000USD
Long Term Debt13,589,000,000USD14,337,000,000USD16,380,000,000USD13,714,000,000USD11,821,000,000USD14,973,000,000USD14,970,000,000USD14,426,000,000USD
Long Term Investments69,982,000,000USD71,213,000,000USD75,619,000,000USD60,590,000,000USD73,578,000,000USD42,825,000,000USD110,070,000,000USD95,074,000,000USD
Short Term Investments18,876,000,000USD55,926,000,000USD71,779,000,000USD58,980,000,000USD72,163,000,000USD70,388,000,000USD37,422,000,000USD34,103,000,000USD
Net Receivables120,398,000,000USD6,523,000,000USD5,592,000,000USD6,228,000,000USD6,616,000,000USD5,980,000,000USD6,425,000,000USD6,039,000,000USD
Accounts Payable171,819,000,000USD——1,822,000,000USD169,324,000,000USD2,614,000,000USD2,441,000,000USD1,562,000,000USD
Property Plant Equipment Net3,108,000,000USD3,320,000,000USD3,319,000,000USD3,322,000,000USD3,163,000,000USD3,288,000,000USD3,316,000,000USD2,379,000,000USD
Property Plant Equipment Gross7,922,000,000USD7,327,000,000USD7,147,000,000USD2,814,000,000USD2,736,000,000USD3,288,000,000USD3,316,000,000USD2,379,000,000USD
Accumulated Other Comprehensive Income-3,110,000,000USD-4,636,000,000USD-4,487,000,000USD-5,110,000,000USD1,207,000,000USD2,601,000,000USD1,192,000,000USD-112,000,000USD
Common Stock Shares Outstanding669,153,000shares687,301,000shares687,678,000shares694,952,000shares711,198,000shares719,735,000shares720,065,000shares685,488,000shares
Non Current Assets Total58,759,000,000USD147,322,000,000USD133,918,000,000USD138,633,000,000USD129,204,000,000USD125,036,000,000USD122,143,000,000USD103,153,000,000USD
Non Current Liabilities Total13,589,000,000USD21,395,000,000USD23,439,000,000USD21,541,000,000USD18,757,000,000USD21,470,000,000USD17,934,000,000USD17,195,000,000USD
Non Currrent Assets Other1,598,000,000USD4,380,000,000USD4,038,000,000USD3,676,000,000USD3,394,000,000USD3,396,000,000USD2,988,000,000USD2,737,000,000USD
Unclassified Non Current Assets-33,056,000,000USD-101,186,000,000USD44,161,000,000USD-2,539,000,000USD-7,005,000,000USD22,482,000,000USD-77,282,000,000USD-189,067,000,000USD
Unclassified Equity-6,526,000,000USD-6,087,000,000USD-5,556,000,000USD1,633,000,000USD1,573,000,000USD1,584,000,000USD1,548,000,000USD822,000,000USD
Unclassified Current Liabilities—-4,158,000,000USD-2,528,000,000USD-6,660,000,000USD-170,304,000,000USD-3,806,000,000USD-3,452,000,000USD-1,562,000,000USD
Unclassified Non Current Liabilities—7,058,000,000USD7,059,000,000USD400,000,000USD-1,598,000,000USD-321,000,000USD-1,841,000,000USD-1,770,000,000USD
Inventory——-2,436,000,000USD-12,415,000,000USD-41,825,000,000USD-40,359,000,000USD-8,769,000,000USD18,000,000USD
Other Liab———1,546,000,000USD4,267,000,000USD3,409,000,000USD2,383,000,000USD2,041,000,000USD
Treasury Stock———-7,103,000,000USD-7,024,000,000USD-5,676,000,000USD-5,724,000,000USD-6,471,000,000USD
Non Current Liabilities Other———5,881,000,000USD4,267,000,000USD3,409,000,000USD2,422,000,000USD2,498,000,000USD
Net Tangible Assets———10,127,000,000USD15,424,000,000USD16,598,000,000USD14,980,000,000USD12,401,000,000USD
Earning Assets——————41,929,000,000USD37,133,000,000USD
Unclassified Current Assets——————-41,929,000,000USD-37,151,000,000USD
SourceLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacy

Cash flow YTD

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ2 20262026-06-30 · USD
Net Income966,000,000USD
Depreciation404,000,000USD
Stock Based Compensation188,000,000USD
Deferred Income Tax-1,000,000USD
Other Non Cash Items410,000,000USD
Unclassified Operating Cash Flow0USD
Change In Working Capital-277,000,000USD
Operating Cash Flow1,690,000,000USD
Capital Expenditures-320,000,000USD
Net Investments-4,515,000,000USD
Other Investing Activities617,000,000USD
Unclassified Investing Cash Flow4,786,000,000USD
Investing Cash Flow568,000,000USD
Net Debt Issuance2,301,000,000USD
Net Common Stock Issuance0USD
Other Financing Activities-88,000,000USD
Unclassified Financing Cash Flow-3,596,000,000USD
Financing Cash Flow-1,383,000,000USD
Change In Cash875,000,000USD
End Cash Flow4,374,000,000USD
SourceDisclosureDeterministicFinal

Cash flow Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ1 20262026-03-31 · USDQ4 20252025-12-31 · USDQ3 20252025-09-30 · USDQ2 20252025-06-30 · USDQ1 20252025-03-31 · USDQ4 20242024-12-31 · USDQ3 20242024-09-30 · USDQ2 20242024-06-30 · USD
Net Income165,000,000USD731,000,000USD649,000,000USD627,000,000USD515,000,000USD620,000,000USD572,000,000USD602,000,000USD
Depreciation199,000,000USD142,000,000USD139,000,000USD138,000,000USD135,000,000USD124,000,000USD123,000,000USD120,000,000USD
Stock Based Compensation145,000,000USD28,000,000USD27,000,000USD35,000,000USD73,000,000USD31,000,000USD33,000,000USD36,000,000USD
Other Non Cash Items-442,000,000USD62,000,000USD800,000,000USD41,000,000USD363,000,000USD90,000,000USD243,000,000USD-104,000,000USD
Change In Working Capital-1,186,000,000USD-131,000,000USD-625,000,000USD483,000,000USD142,000,000USD-1,030,000,000USD879,000,000USD-8,000,000USD
Total Cash From Operating Activities-1,106,000,000USD929,000,000USD1,046,000,000USD1,306,000,000USD1,233,000,000USD-101,000,000USD1,860,000,000USD679,000,000USD
Capital Expenditures-146,000,000USD-175,000,000USD321,000,000USD-191,000,000USD-130,000,000USD-127,000,000USD-131,000,000USD-91,000,000USD
Free Cash Flow-1,252,000,000USD754,000,000USD1,367,000,000USD1,115,000,000USD1,103,000,000USD-228,000,000USD1,729,000,000USD588,000,000USD
Investments8,560,000,000USD-941,000,000USD-3,364,000,000USD2,442,000,000USD-67,000,000USD1,143,000,000USD-1,155,000,000USD1,280,000,000USD
Total Cashflows From Investing Activities5,414,000,000USD-857,000,000USD-3,364,000,000USD2,442,000,000USD-67,000,000USD1,143,000,000USD-1,155,000,000USD1,280,000,000USD
Net Borrowings48,000,000USD-687,000,000USD840,000,000USD-2,206,000,000USD1,154,000,000USD472,000,000USD-890,000,000USD—
Total Cash From Financing Activities-3,723,000,000USD526,000,000USD2,247,000,000USD-3,785,000,000USD-1,171,000,000USD-1,243,000,000USD-327,000,000USD-1,918,000,000USD
Dividends Paid-308,000,000USD-297,000,000USD-285,000,000USD-284,000,000USD-297,000,000USD-289,000,000USD-320,000,000USD-280,000,000USD
Sale Purchase Of Stock0USD525,000,000USD-300,000,000USD-225,000,000USD-225,000,000USD-300,000,000USD-200,000,000USD-125,000,000USD
Change In Cash585,000,000USD598,000,000USD-71,000,000USD-37,000,000USD-5,000,000USD-201,000,000USD378,000,000USD41,000,000USD
Begin Period Cash Flow3,499,000,000USD2,901,000,000USD2,972,000,000USD3,009,000,000USD3,014,000,000USD3,215,000,000USD2,837,000,000USD2,796,000,000USD
End Period Cash Flow4,084,000,000USD3,499,000,000USD2,901,000,000USD2,972,000,000USD3,009,000,000USD3,014,000,000USD3,215,000,000USD2,837,000,000USD
Other Cashflows From Investing Activities8,836,000,000USD259,000,000USD-1,691,000,000USD-367,000,000USD-2,503,000,000USD-3,221,000,000USD-270,000,000USD-184,000,000USD
Other Cashflows From Financing Activities-3,463,000,000USD1,510,000,000USD1,992,000,000USD-1,295,000,000USD-1,803,000,000USD-1,126,000,000USD1,565,000,000USD-2,829,000,000USD
Unclassified Operating Cash Flow13,000,000USD97,000,000USD56,000,000USD-18,000,000USD—64,000,000USD—33,000,000USD
Unclassified Investing Cash Flow-11,836,000,000USD—1,370,000,000USD558,000,000USD2,633,000,000USD3,348,000,000USD401,000,000USD275,000,000USD
Unclassified Financing Cash Flow—-525,000,000USD—225,000,000USD——-482,000,000USD1,316,000,000USD
SourceLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacy

Cash flow Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20252025-12-31 · USDFY 20242024-12-31 · USDFY 20232023-12-31 · USDFY 20222022-12-31 · USDFY 20212021-12-31 · USDFY 20202020-12-31 · USDFY 20192019-12-31 · USDFY 20182018-12-31 · USD
Net Income2,522,000,000USD2,314,000,000USD2,349,000,000USD2,446,000,000USD2,770,000,000USD1,427,000,000USD2,512,000,000USD2,193,000,000USD
Depreciation554,000,000USD495,000,000USD462,000,000USD436,000,000USD349,000,000USD492,000,000USD472,000,000USD360,000,000USD
Stock Based Compensation163,000,000USD164,000,000USD169,000,000USD165,000,000USD120,000,000USD123,000,000USD132,000,000USD127,000,000USD
Other Non Cash Items742,000,000USD337,000,000USD1,275,000,000USD3,231,000,000USD-282,000,000USD-1,015,000,000USD-897,000,000USD-481,000,000USD
Change In Working Capital393,000,000USD-558,000,000USD360,000,000USD210,000,000USD-239,000,000USD-494,000,000USD-149,000,000USD627,000,000USD
Total Cash From Operating Activities4,514,000,000USD2,824,000,000USD4,509,000,000USD6,428,000,000USD2,704,000,000USD371,000,000USD1,824,000,000USD2,856,000,000USD
Capital Expenditures-709,000,000USD-414,000,000USD-516,000,000USD-472,000,000USD-309,000,000USD-358,000,000USD-304,000,000USD-192,000,000USD
Free Cash Flow3,805,000,000USD2,410,000,000USD3,993,000,000USD5,956,000,000USD2,395,000,000USD13,000,000USD1,520,000,000USD2,664,000,000USD
Investments2,572,000,000USD1,039,000,000USD-12,429,000,000USD-3,386,000,000USD-6,621,000,000USD-31,548,000,000USD-1,795,000,000USD-3,955,000,000USD
Total Cashflows From Investing Activities-1,846,000,000USD1,039,000,000USD-9,488,000,000USD-4,871,000,000USD-7,968,000,000USD-31,902,000,000USD-797,000,000USD-4,141,000,000USD
Net Borrowings-899,000,000USD-433,000,000USD829,000,000USD2,264,000,000USD-3,041,000,000USD-242,000,000USD-1,840,000,000USD-2,134,000,000USD
Total Cash From Financing Activities-2,183,000,000USD-3,991,000,000USD4,655,000,000USD-1,085,000,000USD5,111,000,000USD31,400,000,000USD-430,000,000USD1,452,000,000USD
Dividends Paid-1,163,000,000USD-1,176,000,000USD-1,060,000,000USD-927,000,000USD-897,000,000USD-858,000,000USD-753,000,000USD-565,000,000USD
Sale Purchase Of Stock-525,000,000USD-625,000,000USD-200,000,000USD-100,000,000USD-1,393,000,000USD-527,000,000USD-1,763,000,000USD-1,453,000,000USD
Change In Cash485,000,000USD-128,000,000USD-324,000,000USD472,000,000USD-153,000,000USD-131,000,000USD597,000,000USD167,000,000USD
Begin Period Cash Flow3,014,000,000USD3,142,000,000USD3,466,000,000USD2,994,000,000USD3,147,000,000USD3,278,000,000USD2,681,000,000USD2,514,000,000USD
End Period Cash Flow3,499,000,000USD3,014,000,000USD3,142,000,000USD3,466,000,000USD2,994,000,000USD3,147,000,000USD3,278,000,000USD2,681,000,000USD
Other Cashflows From Investing Activities-3,673,000,000USD-2,993,000,000USD3,861,000,000USD-1,137,000,000USD-1,038,000,000USD-49,000,000USD1,241,000,000USD-3,512,000,000USD
Other Cashflows From Financing Activities404,000,000USD-1,757,000,000USD5,086,000,000USD1,704,000,000USD-99,000,000USD35,057,000,000USD-58,000,000USD5,604,000,000USD
Unclassified Operating Cash Flow140,000,000USD72,000,000USD-106,000,000USD——-162,000,000USD-246,000,000USD30,000,000USD
Unclassified Investing Cash Flow-36,000,000USD3,407,000,000USD-404,000,000USD124,000,000USD——61,000,000USD3,518,000,000USD
Change To Liabilities———-506,000,000USD-217,000,000USD349,000,000USD-140,000,000USD162,000,000USD
Issuance Of Capital Stock———0USD0USD346,000,000USD242,000,000USD—
Cash And Cash Equivalents Changes———472,000,000USD-153,000,000USD-131,000,000USD597,000,000USD167,000,000USD
Unclassified Financing Cash Flow———-4,026,000,000USD10,541,000,000USD-2,030,000,000USD3,984,000,000USD—
SourceLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacy

Operating metrics

ACL Coverage of Nonperforming Portfolio Loans and Leases

Period endPeriodValueUnitSource
2026-06-30instant303percentDisclosure

ACL as a Percent of Portfolio Loans and Leases

Period endPeriodValueUnitSource
2026-06-30instant1.76percentDisclosure

ALLL as a Percent of Portfolio Loans and Leases

Period endPeriodValueUnitSource
2026-06-30instant1.63percentDisclosure

CET1 Risk-Based Capital Ratio

Period endPeriodValueUnitSource
2026-06-30instant9.93percentDisclosure

Commitments to Extend Credit

Period endPeriodValueUnitSource
2026-06-30instant114,164USD millionsDisclosure

Efficiency Ratio on an FTE Basis

Period endPeriodValueUnitSource
2026-06-30quarterly64.3percentDisclosure

Estimated Insured Domestic Deposits

Period endPeriodValueUnitSource
2026-06-30instant60percentDisclosure

Fifth Third ATMs

Period endPeriodValueUnitSource
2026-06-30instant2,648countDisclosure

Full-Service Banking Centers

Period endPeriodValueUnitSource
2026-06-30instant1,500countDisclosure

Net Charge-Off Ratio

Period endPeriodValueUnitSource
2026-06-30quarterly0.3percentDisclosure

Net Interest Margin on an FTE Basis

Period endPeriodValueUnitSource
2026-06-30quarterly3.36percentDisclosure

Net Interest Rate Spread on an FTE Basis

Period endPeriodValueUnitSource
2026-06-30quarterly2.67percentDisclosure

Nonperforming Portfolio Assets Ratio

Period endPeriodValueUnitSource
2026-06-30instant0.6percentDisclosure

Nonperforming Portfolio Loans and Leases Ratio

Period endPeriodValueUnitSource
2026-06-30instant0.58percentDisclosure

Parent Company Liquidity Coverage

Period endPeriodValueUnitSource
2026-06-30instant27monthsDisclosure

Readily Available Liquidity

Period endPeriodValueUnitSource
2026-06-30instant141USD billionsDisclosure

Regulatory Leverage Ratio

Period endPeriodValueUnitSource
2026-06-30instant9.2percentDisclosure

Residential Mortgage Loan Sales Volume

Period endPeriodValueUnitSource
2026-06-30quarterly1,632USD millionsDisclosure

Residential Mortgage Loans Serviced for Other Investors

Period endPeriodValueUnitSource
2026-06-30instant85.9USD billionsDisclosure

Return on Average Assets

Period endPeriodValueUnitSource
2026-06-30quarterly1.08percentDisclosure

Return on Average Common Equity

Period endPeriodValueUnitSource
2026-06-30quarterly9.5percentDisclosure

Return on Average Tangible Common Equity

Period endPeriodValueUnitSource
2026-06-30quarterly15.6percentDisclosure

Tangible Common Equity Ratio Excluding AOCI

Period endPeriodValueUnitSource
2026-06-30instant8.3percentDisclosure

Tier 1 Risk-Based Capital Ratio

Period endPeriodValueUnitSource
2026-06-30instant10.81percentDisclosure

Total Risk-Based Capital Ratio

Period endPeriodValueUnitSource
2026-06-30instant12.5percentDisclosure

Revenue breakdown

PeriodDimensionBusiness / regionRevenueCurrencySource
Q3 2024Quarterly · 2024-09-30SegmentCommercial Banking104,000,000USD0000035527-24-000249
Q3 2024Quarterly · 2024-09-30SegmentConsumer And Small Business Banking56,000,000USD0000035527-24-000249
Q3 2024Quarterly · 2024-09-30SegmentOther1,000,000USD0000035527-24-000249
Q3 2024Quarterly · 2024-09-30SegmentWealth And Asset Management0USD0000035527-24-000249
Q2 2024Quarterly · 2024-06-30SegmentCommercial Banking104,000,000USD0000035527-24-000212
Q2 2024Quarterly · 2024-06-30SegmentConsumer And Small Business Banking52,000,000USD0000035527-24-000212
Q2 2024Quarterly · 2024-06-30SegmentWealth And Asset Management0USD0000035527-24-000212
Q1 2024Quarterly · 2024-03-31SegmentCommercial Banking100,000,000USD0000035527-24-000166
Q1 2024Quarterly · 2024-03-31SegmentConsumer And Small Business Banking51,000,000USD0000035527-24-000166
Q1 2024Quarterly · 2024-03-31SegmentWealth And Asset Management0USD0000035527-24-000166
Q4 2023Quarterly · 2023-12-31SegmentCommercial Banking97,000,000USDLegacy provider
Q4 2023Quarterly · 2023-12-31SegmentConsumer And Small Business Banking49,000,000USDLegacy provider
Q4 2023Quarterly · 2023-12-31SegmentWealth And Asset Management1,000,000USDLegacy provider
FY 2023Yearly · 2023-12-31SegmentCommercial Banking371,000,000USD0000035527-24-000088
FY 2023Yearly · 2023-12-31SegmentConsumer And Small Business Banking208,000,000USD0000035527-24-000088
FY 2023Yearly · 2023-12-31SegmentWealth And Asset Management1,000,000USD0000035527-24-000088
Q3 2023Quarterly · 2023-09-30SegmentCommercial Banking95,000,000USD0000035527-24-000249
Q3 2023Quarterly · 2023-09-30SegmentConsumer And Small Business Banking55,000,000USD0000035527-24-000249
Q3 2023Quarterly · 2023-09-30SegmentWealth And Asset Management0USD0000035527-24-000249
Q2 2023Quarterly · 2023-06-30SegmentCommercial Banking92,000,000USD0000035527-24-000212
Q2 2023Quarterly · 2023-06-30SegmentConsumer And Small Business Banking53,000,000USD0000035527-24-000212
Q2 2023Quarterly · 2023-06-30SegmentWealth And Asset Management0USD0000035527-24-000212
Q1 2023Quarterly · 2023-03-31SegmentCommercial Banking87,000,000USD0000035527-24-000166
Q1 2023Quarterly · 2023-03-31SegmentConsumer And Small Business Banking51,000,000USD0000035527-24-000166
Q1 2023Quarterly · 2023-03-31SegmentWealth And Asset Management0USD0000035527-24-000166
Q4 2022Quarterly · 2022-12-31SegmentCommercial Banking85,000,000USDLegacy provider
Q4 2022Quarterly · 2022-12-31SegmentConsumer And Small Business Banking53,000,000USDLegacy provider
Q4 2022Quarterly · 2022-12-31SegmentWealth And Asset Management1,000,000USDLegacy provider
FY 2022Yearly · 2022-12-31SegmentCommercial Banking372,000,000USD0000035527-24-000088
FY 2022Yearly · 2022-12-31SegmentConsumer And Small Business Banking216,000,000USD0000035527-24-000088
FY 2022Yearly · 2022-12-31SegmentWealth And Asset Management1,000,000USD0000035527-24-000088
FY 2021Yearly · 2021-12-31SegmentBranch Banking236,000,000USD0000035527-22-000119
FY 2021Yearly · 2021-12-31SegmentCommercial Banking363,000,000USD0000035527-22-000119
FY 2021Yearly · 2021-12-31SegmentConsumer Lending0USD0000035527-22-000119
FY 2021Yearly · 2021-12-31SegmentInvestment Advisors1,000,000USD0000035527-22-000119
FY 2020Yearly · 2020-12-31SegmentBranch Banking215,000,000USD0000035527-22-000119
FY 2020Yearly · 2020-12-31SegmentCommercial Banking343,000,000USD0000035527-22-000119
FY 2020Yearly · 2020-12-31SegmentConsumer Lending0USD0000035527-22-000119
FY 2020Yearly · 2020-12-31SegmentInvestment Advisors1,000,000USD0000035527-22-000119
FY 2019Yearly · 2019-12-31SegmentBranch Banking260,000,000USD0000035527-22-000119
FY 2019Yearly · 2019-12-31SegmentCommercial Banking308,000,000USD0000035527-22-000119
FY 2019Yearly · 2019-12-31SegmentConsumer Lending0USD0000035527-22-000119
FY 2019Yearly · 2019-12-31SegmentInvestment Advisors1,000,000USD0000035527-22-000119
FY 2018Yearly · 2018-12-31SegmentBranch Banking275,000,000USD0000035527-21-000100
FY 2018Yearly · 2018-12-31SegmentCommercial Banking273,000,000USD0000035527-21-000100
FY 2018Yearly · 2018-12-31SegmentConsumer Lending0USD0000035527-21-000100
FY 2018Yearly · 2018-12-31SegmentInvestment Advisors1,000,000USD0000035527-21-000100

Periods follow company fiscal calendars. Quarterly, annual and year-to-date amounts are shown separately. Missing values are not zero. Data may be delayed, incomplete or corrected; follow the disclosure links to verify figures.