US Stock MarketDetailed Quotes

BAC Bank of America

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  • 39.880
  • -0.110-0.28%
Close Apr 30 16:00 ET
  • 39.870
  • -0.010-0.03%
Pre 06:31 ET
300.37BMarket Cap11.90P/E (TTM)

Bank of America Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
85.95%-2.18B
-119.57%-8.81B
-20.81%25.91B
-416.65%-37.28B
53.54%18.1B
-37.51%-15.54B
810.95%44.98B
5.57%32.72B
-10.51%11.77B
333.43%11.79B
Net income from continuing operations
10.82%7.4B
2.33%27.13B
111.99%6.67B
-11.61%6.9B
-6.90%6.9B
-18.22%6.67B
-3.68%26.52B
-55.92%3.14B
10.17%7.8B
18.58%7.41B
Operating gains losses
120.00%2M
-92.84%29M
2,200.00%23M
--20M
-102.06%-4M
-104.76%-10M
1,365.63%405M
-80.00%1M
--0
1,393.33%194M
Depreciation and amortization
5.02%565M
6.42%2.19B
6.07%559M
6.19%549M
6.47%543M
6.96%538M
3.99%2.06B
4.98%527M
5.30%517M
3.87%510M
Deferred tax
66.41%-172M
13.77%-1.73B
11.38%-506M
58.33%-345M
16.25%-371M
-202.96%-512M
-372.12%-2.01B
-579.83%-571M
-255.06%-828M
-1,235.90%-443M
Other non cashItems
-98.88%16M
-61.66%3.2B
-43.81%2.99B
-94.72%-2.18B
-52.92%960M
-32.21%1.43B
5.32%8.35B
437.97%5.32B
-464.17%-1.12B
-47.78%2.04B
Change in working capital
51.41%-12.39B
-1,879.55%-48.55B
-39.99%13.82B
-1,380.35%-44.63B
8,427.47%7.76B
-6.78%-25.49B
105.25%2.73B
0.59%23.02B
25.40%3.49B
100.52%91M
-Change in payables and accrued expense
-218.42%-8.18B
108.18%1.45B
-3,677.93%-13.13B
2,213.50%8.4B
93.64%-724M
197.75%6.91B
-176.94%-17.72B
143.69%367M
-96.23%363M
-104.36%-11.38B
-Change in loans
200.97%2.6B
----
----
----
----
---2.57B
----
----
----
----
-Change in other current assets
169.12%4.17B
81.24%-4.49B
192.43%15.77B
-7,926.77%-21.59B
-22.19%7.36B
62.52%-6.03B
-215.12%-23.94B
-229.46%-17.06B
-103.27%-269M
-33.75%9.46B
-Change in other working capital
53.90%-10.97B
-202.51%-45.5B
-71.84%11.18B
-1,026.86%-31.44B
-172.05%-1.45B
-3,182.07%-23.8B
146.35%44.39B
276.40%39.71B
122.52%3.39B
107.65%2.01B
Cash from discontinued operating activities
Operating cash flow
85.95%-2.18B
-119.57%-8.81B
-20.81%25.91B
-416.65%-37.28B
53.54%18.1B
-37.51%-15.54B
810.95%44.98B
5.57%32.72B
-10.51%11.77B
333.43%11.79B
Investing cash flow
Cash flow from continuing investing activities
-24.80%-89.01B
-156.29%-90.69B
114.66%9.41B
54.52%-27.26B
-102.63%-1.52B
-331.22%-71.32B
-1,299.25%-35.39B
-546.34%-64.18B
-272.42%-59.93B
245.82%57.88B
Proceeds payment in interest bearing deposits in bank
-286.86%-910M
281.60%1.97B
606.84%1.78B
1,657.14%218M
-113.46%-510M
110.79%487M
-845.22%-1.09B
-284.74%-351M
97.70%-14M
416.89%3.79B
Net investment purchase and sale
57.80%-17.3B
-1,043.37%-48.46B
62.16%-32.5B
78.09%-5.74B
-19.82%30.78B
-159.00%-40.99B
-105.04%-4.24B
-533.79%-85.89B
-163.59%-26.21B
54.46%38.39B
Net proceeds payment for loan
-650.96%-16.35B
-312.46%-48.48B
-286.83%-21.59B
-2,138.21%-20.75B
-64.78%-9.11B
278.63%2.97B
81.93%-11.75B
52.35%-5.58B
147.86%1.02B
84.39%-5.53B
Net other investing changes
1.84%-799M
21.17%-4.15B
-29.89%-1.28B
41.32%-1.03B
-82.11%-1.02B
58.36%-814M
-14.01%-5.26B
37.25%-987M
-93.72%-1.76B
51.69%-559M
Cash from discontinued investing activities
Investing cash flow
-24.80%-89.01B
-156.29%-90.69B
114.66%9.41B
54.52%-27.26B
-102.63%-1.52B
-331.22%-71.32B
-1,299.25%-35.39B
-546.34%-64.18B
-272.42%-59.93B
245.82%57.88B
Financing cash flow
Cash flow from continuing financing activities
6.08%72.83B
-35.33%60.37B
-425.64%-36.77B
33.12%36.78B
88.42%-8.3B
-45.56%68.66B
188.03%93.35B
146.30%11.29B
172.92%27.63B
15.31%-71.7B
Change in federal funds and securities sold for repurchase
-3.19%44.31B
-45.76%47.87B
-293.67%-66.2B
147.20%29.85B
249.30%38.45B
-61.45%45.77B
2,569.45%88.25B
15.89%-16.82B
6.68%12.08B
-148.15%-25.75B
Increase decrease in deposit
6.30%24.1B
739.24%41.64B
-10.48%35.12B
168.68%19.86B
-8.47%-36.01B
213.69%22.67B
95.15%-6.51B
605.75%39.23B
115.98%7.39B
62.31%-33.19B
Net issuance payments of debt
162.92%15.39B
-104.44%-1.15B
116.63%1.34B
-143.87%-5.06B
67.37%-3.29B
-82.05%5.85B
-25.82%25.99B
-216.36%-8.07B
3,266.48%11.53B
-169.31%-10.08B
Net commonstock issuance
-80.84%-4.52B
-186.36%-13.1B
-335.88%-3.54B
-253.40%-3.53B
-542.73%-3.54B
-12.87%-2.5B
9.80%-4.58B
18.74%-811M
-122.22%-1B
43.59%-550M
Net preferred stock issuance
---2.67B
---5.25B
---1.4B
---2B
---1.85B
--0
--0
--0
--0
----
Cash dividends paid
-1.31%-2.55B
-4.58%-9.5B
-1.88%-2.28B
-3.40%-2.49B
-5.98%-2.22B
-7.10%-2.52B
-5.96%-9.09B
-6.08%-2.23B
-6.97%-2.41B
-4.81%-2.09B
Net other financing activities
-98.54%-1.22B
82.29%-127M
1,960.00%186M
233.33%150M
733.33%152M
15.52%-615M
-129.81%-717M
-105.29%-10M
-59.46%45M
-111.37%-24M
Cash from discontinued financing activities
Financing cash flow
6.08%72.83B
-35.33%60.37B
-425.64%-36.77B
33.12%36.78B
88.42%-8.3B
-45.56%68.66B
188.03%93.35B
146.30%11.29B
172.92%27.63B
15.31%-71.7B
Net cash flow
Beginning cash position
-12.90%290.11B
44.69%333.07B
-15.96%295.59B
-14.17%320.63B
-16.70%313.4B
44.69%333.07B
-33.89%230.2B
71.59%351.73B
88.66%373.55B
37.34%376.22B
Current changes in cash
-0.87%-18.36B
-138.01%-39.13B
92.84%-1.44B
-35.17%-27.76B
508.54%8.27B
-112.50%-18.2B
189.59%102.94B
-196.07%-20.17B
-304.81%-20.53B
97.22%-2.03B
Effect of exchange rate changes
224.62%1.83B
-5,371.43%-3.83B
-366.07%-4.03B
309.74%2.71B
-63.28%-1.05B
-521.26%-1.47B
97.76%-70M
-64.22%1.52B
57.63%-1.29B
78.45%-640M
End cash position
-12.71%273.58B
-12.90%290.11B
-12.90%290.11B
-15.96%295.59B
-14.17%320.63B
-16.70%313.4B
44.69%333.07B
44.69%333.07B
71.59%351.73B
88.66%373.55B
Free cash flow
85.95%-2.18B
-119.57%-8.81B
-20.81%25.91B
-416.65%-37.28B
53.54%18.1B
-37.51%-15.54B
810.95%44.98B
5.57%32.72B
-10.51%11.77B
333.43%11.79B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities 85.95%-2.18B-119.57%-8.81B-20.81%25.91B-416.65%-37.28B53.54%18.1B-37.51%-15.54B810.95%44.98B5.57%32.72B-10.51%11.77B333.43%11.79B
Net income from continuing operations 10.82%7.4B2.33%27.13B111.99%6.67B-11.61%6.9B-6.90%6.9B-18.22%6.67B-3.68%26.52B-55.92%3.14B10.17%7.8B18.58%7.41B
Operating gains losses 120.00%2M-92.84%29M2,200.00%23M--20M-102.06%-4M-104.76%-10M1,365.63%405M-80.00%1M--01,393.33%194M
Depreciation and amortization 5.02%565M6.42%2.19B6.07%559M6.19%549M6.47%543M6.96%538M3.99%2.06B4.98%527M5.30%517M3.87%510M
Deferred tax 66.41%-172M13.77%-1.73B11.38%-506M58.33%-345M16.25%-371M-202.96%-512M-372.12%-2.01B-579.83%-571M-255.06%-828M-1,235.90%-443M
Other non cashItems -98.88%16M-61.66%3.2B-43.81%2.99B-94.72%-2.18B-52.92%960M-32.21%1.43B5.32%8.35B437.97%5.32B-464.17%-1.12B-47.78%2.04B
Change in working capital 51.41%-12.39B-1,879.55%-48.55B-39.99%13.82B-1,380.35%-44.63B8,427.47%7.76B-6.78%-25.49B105.25%2.73B0.59%23.02B25.40%3.49B100.52%91M
-Change in payables and accrued expense -218.42%-8.18B108.18%1.45B-3,677.93%-13.13B2,213.50%8.4B93.64%-724M197.75%6.91B-176.94%-17.72B143.69%367M-96.23%363M-104.36%-11.38B
-Change in loans 200.97%2.6B-------------------2.57B----------------
-Change in other current assets 169.12%4.17B81.24%-4.49B192.43%15.77B-7,926.77%-21.59B-22.19%7.36B62.52%-6.03B-215.12%-23.94B-229.46%-17.06B-103.27%-269M-33.75%9.46B
-Change in other working capital 53.90%-10.97B-202.51%-45.5B-71.84%11.18B-1,026.86%-31.44B-172.05%-1.45B-3,182.07%-23.8B146.35%44.39B276.40%39.71B122.52%3.39B107.65%2.01B
Cash from discontinued operating activities
Operating cash flow 85.95%-2.18B-119.57%-8.81B-20.81%25.91B-416.65%-37.28B53.54%18.1B-37.51%-15.54B810.95%44.98B5.57%32.72B-10.51%11.77B333.43%11.79B
Investing cash flow
Cash flow from continuing investing activities -24.80%-89.01B-156.29%-90.69B114.66%9.41B54.52%-27.26B-102.63%-1.52B-331.22%-71.32B-1,299.25%-35.39B-546.34%-64.18B-272.42%-59.93B245.82%57.88B
Proceeds payment in interest bearing deposits in bank -286.86%-910M281.60%1.97B606.84%1.78B1,657.14%218M-113.46%-510M110.79%487M-845.22%-1.09B-284.74%-351M97.70%-14M416.89%3.79B
Net investment purchase and sale 57.80%-17.3B-1,043.37%-48.46B62.16%-32.5B78.09%-5.74B-19.82%30.78B-159.00%-40.99B-105.04%-4.24B-533.79%-85.89B-163.59%-26.21B54.46%38.39B
Net proceeds payment for loan -650.96%-16.35B-312.46%-48.48B-286.83%-21.59B-2,138.21%-20.75B-64.78%-9.11B278.63%2.97B81.93%-11.75B52.35%-5.58B147.86%1.02B84.39%-5.53B
Net other investing changes 1.84%-799M21.17%-4.15B-29.89%-1.28B41.32%-1.03B-82.11%-1.02B58.36%-814M-14.01%-5.26B37.25%-987M-93.72%-1.76B51.69%-559M
Cash from discontinued investing activities
Investing cash flow -24.80%-89.01B-156.29%-90.69B114.66%9.41B54.52%-27.26B-102.63%-1.52B-331.22%-71.32B-1,299.25%-35.39B-546.34%-64.18B-272.42%-59.93B245.82%57.88B
Financing cash flow
Cash flow from continuing financing activities 6.08%72.83B-35.33%60.37B-425.64%-36.77B33.12%36.78B88.42%-8.3B-45.56%68.66B188.03%93.35B146.30%11.29B172.92%27.63B15.31%-71.7B
Change in federal funds and securities sold for repurchase -3.19%44.31B-45.76%47.87B-293.67%-66.2B147.20%29.85B249.30%38.45B-61.45%45.77B2,569.45%88.25B15.89%-16.82B6.68%12.08B-148.15%-25.75B
Increase decrease in deposit 6.30%24.1B739.24%41.64B-10.48%35.12B168.68%19.86B-8.47%-36.01B213.69%22.67B95.15%-6.51B605.75%39.23B115.98%7.39B62.31%-33.19B
Net issuance payments of debt 162.92%15.39B-104.44%-1.15B116.63%1.34B-143.87%-5.06B67.37%-3.29B-82.05%5.85B-25.82%25.99B-216.36%-8.07B3,266.48%11.53B-169.31%-10.08B
Net commonstock issuance -80.84%-4.52B-186.36%-13.1B-335.88%-3.54B-253.40%-3.53B-542.73%-3.54B-12.87%-2.5B9.80%-4.58B18.74%-811M-122.22%-1B43.59%-550M
Net preferred stock issuance ---2.67B---5.25B---1.4B---2B---1.85B--0--0--0--0----
Cash dividends paid -1.31%-2.55B-4.58%-9.5B-1.88%-2.28B-3.40%-2.49B-5.98%-2.22B-7.10%-2.52B-5.96%-9.09B-6.08%-2.23B-6.97%-2.41B-4.81%-2.09B
Net other financing activities -98.54%-1.22B82.29%-127M1,960.00%186M233.33%150M733.33%152M15.52%-615M-129.81%-717M-105.29%-10M-59.46%45M-111.37%-24M
Cash from discontinued financing activities
Financing cash flow 6.08%72.83B-35.33%60.37B-425.64%-36.77B33.12%36.78B88.42%-8.3B-45.56%68.66B188.03%93.35B146.30%11.29B172.92%27.63B15.31%-71.7B
Net cash flow
Beginning cash position -12.90%290.11B44.69%333.07B-15.96%295.59B-14.17%320.63B-16.70%313.4B44.69%333.07B-33.89%230.2B71.59%351.73B88.66%373.55B37.34%376.22B
Current changes in cash -0.87%-18.36B-138.01%-39.13B92.84%-1.44B-35.17%-27.76B508.54%8.27B-112.50%-18.2B189.59%102.94B-196.07%-20.17B-304.81%-20.53B97.22%-2.03B
Effect of exchange rate changes 224.62%1.83B-5,371.43%-3.83B-366.07%-4.03B309.74%2.71B-63.28%-1.05B-521.26%-1.47B97.76%-70M-64.22%1.52B57.63%-1.29B78.45%-640M
End cash position -12.71%273.58B-12.90%290.11B-12.90%290.11B-15.96%295.59B-14.17%320.63B-16.70%313.4B44.69%333.07B44.69%333.07B71.59%351.73B88.66%373.55B
Free cash flow 85.95%-2.18B-119.57%-8.81B-20.81%25.91B-416.65%-37.28B53.54%18.1B-37.51%-15.54B810.95%44.98B5.57%32.72B-10.51%11.77B333.43%11.79B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

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