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as of market close, Sep 11, 2026
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FITB financial statements

The full income statement, balance sheet, and cash-flow statement for Fifth Third Bancorp (FITB), plus valuation ratios — straight from SEC filings. Switch between annual, quarterly, and trailing-twelve-month figures, pick how far back to look, and flip the time order. Every line has a trend sparkline.

Shares outstanding (point-in-time)

2024-06 676.8M2024-09 670.5M2024-12 665.6M2025-03 667.5M2025-06 661.9M2025-09 661.0M2025-12 901.8M2026-03 906.3M2026-06 906.9M+34.0% over 8 periods

SEC-filed end-of-period counts (cover pages and balance sheets, split-adjusted) — the series realized buyback yield is computed from. The weighted-average share lines in the statements below lag these by design: an average over the year sits near the midpoint of an ongoing buyback.

As-reported fiscal years.
Line itemTrendFY2025FY2024FY2023FY2022FY2021
Income Statementas ofDec 31 ’25as ofDec 31 ’24as ofDec 31 ’23as ofDec 31 ’22as ofDec 31 ’21
9.02B+6.3%8.48B-2.6%8.71B+4.0%8.38B+6.2%7.89B+3.6%
Lease income80.0M-20.0%100M-25.9%135M-7.5%146M-3.9%152M-2.6%
Noninterest income3.04B+6.5%2.85B-1.1%2.88B+4.2%2.77B-11.3%3.12B+10.2%
Selling & marketing142M+23.5%115M-8.7%126M+6.8%118M+10.3%107M+2.9%
Amortization of intangibles29.0M-17.1%35.0M-18.6%43.0M-10.4%48.0M+2.1%47.0M-14.5%
Noninterest expense5.14B+2.2%5.03B-3.3%5.21B+10.3%4.72B-0.6%4.75B+0.6%
Provision for credit losses662M+24.9%530M+2.9%515M-8.5%563M+249.3%-377M-134.4%
Interest expense3.93B+302.1%978M+121.8%441M-44.2%
Interest & investment income9.90B-5.0%10.4B+6.8%9.76B+48.2%6.59B+26.4%5.21B-6.5%
Net interest income5.98B+6.3%5.63B-3.4%5.83B+3.9%5.61B+17.6%4.77B-0.3%
Equity-method income31.0M+72.2%18.0M-65.4%52.0M+136.4%22.0M-26.7%30.0M+150.0%
Gain (loss) on equity securities13.0M-60.6%33.0M+106.3%16.0M+116.8%-95.0M0.00-100.0%
Pre-tax income3.21B+10.1%2.92B-2.4%2.99B-3.4%3.09B-12.1%3.52B+95.7%
Income tax689M+14.5%602M-5.8%639M-1.2%647M-13.4%747M+101.9%
2.52B+9.0%2.31B-1.5%2.35B-4.0%2.45B-11.7%2.77B+94.1%
Preferred dividends146M-8.2%159M+16.1%137M+18.1%116M+4.5%111M+6.7%
Net income to common2.38B+10.3%2.15B-2.6%2.21B-5.1%2.33B-12.4%2.66B+101.0%
$3.53+12.4%$3.14-2.5%$3.22-3.9%$3.35-10.2%$3.73+103.8%
EPS (basic)$3.56+12.7%$3.16-2.2%$3.23-4.4%$3.38-10.6%$3.78+105.4%
Weighted-avg shares (basic)668M-2.1%682M-0.3%684M-0.6%689M-1.9%702M-1.8%
Weighted-avg shares (diluted)673M-2.2%687M-0.1%688M-1.0%695M-2.3%711M-1.2%
Dividends per share$1.54+6.9%$1.44+5.9%$1.36+7.9%$1.26+10.5%$1.14+5.6%
Balance Sheetas ofDec 31 ’25as ofDec 31 ’24as ofDec 31 ’23as ofDec 31 ’22as ofDec 31 ’21
Cash & equivalents3.50B+16.1%3.01B-4.1%3.14B-9.3%3.47B+15.8%2.99B-4.9%
214B+0.7%213B-0.8%215B+3.4%207B-1.7%211B+3.1%
Property, plant & equipment2.73B+10.5%2.48B+5.4%2.35B+7.4%2.19B+3.2%2.12B+1.5%
Operating lease right-of-use629M+19.6%526M+2.9%511M+0.6%508M+19.0%427M+0.9%
Goodwill4.95B+0.6%4.92B-0.0%4.92B+0.1%4.92B+8.9%4.51B+6.0%
Intangible assets69.0M-23.3%90.0M-28.0%125M-26.0%169M+8.3%156M+12.2%
Deferred tax assets865M-39.5%1.43B-0.6%1.44B-7.4%1.55B+25783.3%6.00M
Short-term & current debt926M-80.1%4.65B
193B-0.3%193B-1.1%195B+2.8%190B+0.6%189B+4.0%
Long-term debt13.6B-5.2%14.3B-12.5%16.4B+19.4%13.7B+16.0%11.8B-21.1%
Operating lease liability (total)711M+17.3%606M+0.8%601M+0.3%599M+15.2%520M-1.3%
Finance lease liability (total)174M+8.1%161M+20.1%134M-14.1%156M+4.7%149M+14.6%
21.7B+10.6%19.6B+2.5%19.2B+10.6%17.3B-22.0%22.2B-3.9%
Preferred stock1.77B-16.4%2.12B+0.0%2.12B+0.0%2.12B+0.0%2.12B+0.0%
Common stock2.05B+0.0%2.05B+0.0%2.05B+0.0%2.05B+0.0%2.05B+0.0%
Additional paid-in capital3.83B+0.7%3.80B+1.3%3.76B+2.0%3.68B+1.7%3.62B-0.3%
Retained earnings25.5B+5.5%24.1B+5.0%23.0B+6.0%21.7B+7.2%20.2B+10.1%
Treasury stock8.31B+5.9%7.84B+8.0%7.26B+2.2%7.10B+1.1%7.02B+23.7%
Accumulated other comprehensive income-3.11B+32.9%-4.64B-3.3%-4.49B+12.2%-5.11B-523.4%1.21B-53.6%
Total equity incl. non-controlling17.3B-22.0%22.2B-3.9%
Total liabilities & equity214B+0.7%213B-0.8%215B+3.4%207B-1.7%211B+3.1%
Common shares issued924M+0.0%924M+0.0%924M+0.0%924M
Common shares outstanding661M-1.3%670M-1.7%681M-0.3%683M+0.1%683M-4.2%
Shares outstanding (cover)902M+35.5%666M-2.3%681M+0.4%679M-0.7%684M-3.5%
Cash Flowas ofDec 31 ’25as ofDec 31 ’24as ofDec 31 ’23as ofDec 31 ’22as ofDec 31 ’21
4.51B+59.8%2.82B-37.4%4.51B-29.9%6.43B+137.7%2.70B+628.8%
Depreciation & amortization554M+11.9%495M+7.1%462M+6.0%436M+24.9%349M-29.1%
Intangible amortization29.0M-17.1%35.0M-18.6%43.0M-10.4%48.0M+2.1%47.0M-14.5%
Share-based compensation163M-0.6%164M-3.0%169M+2.4%165M+37.5%120M-2.4%
Deferred income taxes140M+94.4%72.0M+167.9%-106M-76.7%-60.0M-328.6%-14.0M+91.4%
-1.85B-277.7%1.04B+111.0%-9.49B-94.8%-4.87B+38.9%-7.97B+75.0%
Capital expenditure584M+41.1%414M-15.7%491M+41.1%348M+12.6%309M+1.3%
Free cash flow3.93B+63.1%2.41B-40.0%4.02B-33.9%6.08B+153.9%2.40B+3528.8%
Acquisitions0.000.000.000.000.00
Purchases of investments8.14B+14.3%7.13B+14.2%6.24B-79.0%29.7B+153.7%11.7B
Sales/maturities of investments7.50B+28.9%5.81B+37.3%4.24B-5.8%4.50B-26.1%6.08B+66.7%
Proceeds from sale of PP&E7.00M+250.0%2.00M-89.5%19.0M-42.4%
Other investing activities-2.00M0.000.00
-2.18B+45.3%-3.99B-185.7%4.66B+529.0%-1.08B-121.2%5.11B-83.7%
Long-term debt issued1.08B-66.7%3.25B-24.2%4.29B+6.5%4.03B+616.4%562M-78.0%
Long-term debt repaid1.98B-62.5%5.28B+218.8%1.66B-6.0%1.76B-51.1%3.60B+28.7%
Common stock issued0.000.000.000.000.00
Common stock repurchased525M-16.0%625M+212.5%200M+100.0%100M-92.8%1.39B
Dividends paid1.16B-1.1%1.18B+10.9%1.06B+14.3%927M+3.3%897M+4.5%
Other financing activities-74.0M-13.8%-65.0M-18.2%-55.0M+35.3%-85.0M+14.1%-99.0M-110.6%
Net change in cash485M+478.9%-128M+60.5%-324M-168.6%472M+408.5%-153M-16.8%
Interest paid3.97B-18.4%4.87B+29.0%3.78B+334.5%869M+86.9%465M-43.6%
Income taxes paid185M-4.1%193M-70.5%655M+140.8%272M-55.2%607M+23.6%
Valuation Ratiosas ofDec 31 ’25as ofDec 31 ’24as ofDec 31 ’23as ofDec 31 ’22as ofDec 31 ’21
Market cap42.2B+50.0%28.1B+19.8%23.5B+4.3%22.5B-24.4%29.8B+52.4%
P/E16.7×+37.6%12.2×+32.3%9.2×-3.2%9.5×-11.7%10.7×-21.5%
P/S4.7×+41.1%3.3×+25.2%2.7×-5.2%2.8×-25.9%3.8×+47.1%
P/B1.9×+35.6%1.4×+0.9%1.4×+5.5%1.3×+0.4%1.3×+58.6%
P/FCF10.7×-8.0%11.7×+100.7%5.8×+38.8%4.2×-66.3%12.4×-95.8%
Earnings yield6.0%-27.3%8.2%-24.4%10.9%+3.3%10.5%+13.2%9.3%+27.4%
FCF yield9.3%+8.7%8.6%-50.2%17.2%-27.9%23.9%+196.5%8.0%+2281.3%
Dividend yield3.3%-3.4%3.4%-13.6%3.9%+2.7%3.8%+46.7%2.6%-33.2%
Source filing10-K10-K10-K10-K10-K

About this data

Source: FITB’s SEC filings (10-K / 10-Q). Annual columns are as-reported fiscal years; quarterly columns are as-reported fiscal quarters (Q4 derived as full-year minus the first three quarters where a company doesn’t file a standalone Q4); TTM (quarterly) rolls the trailing four quarters at every quarter end, TTM (yearly) samples that one year apart; balance-sheet rows show the period-end balance. Valuation ratios are sampled as of each period end. View all FITB filings on SEC EDGAR → Not investment advice.