Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
Moody's
MCO
5
Jefferies Financial
JEF
(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 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Cash cash equivalents and federal funds sold | -35.51%38.4B | -8.82%46.25B | -8.82%46.25B | -11.97%41.19B | -11.63%39.28B | 49.59%59.55B | 47.62%50.73B | 47.62%50.73B | -0.09%46.78B | 20.18%44.45B |
-Cash and cash equivalents | -35.51%38.4B | -8.82%46.25B | -8.82%46.25B | -11.97%41.19B | -11.63%39.28B | 49.59%59.55B | 47.62%50.73B | 47.62%50.73B | -0.09%46.78B | 20.18%44.45B |
Receivables | 4.35%6.66B | 3.64%6.7B | 3.64%6.7B | 4.26%6.66B | 2.87%6.48B | 1.04%6.39B | 0.87%6.46B | 0.87%6.46B | 4.67%6.38B | 2.46%6.3B |
-Other receivables | 4.35%6.66B | 3.64%6.7B | 3.64%6.7B | 4.26%6.66B | 2.87%6.48B | 1.04%6.39B | 0.87%6.46B | 0.87%6.46B | 4.67%6.38B | 2.46%6.3B |
Net loan | -0.18%308.88B | -1.56%306.14B | -1.56%306.14B | 0.88%310.89B | -0.08%311.3B | -2.20%309.45B | -1.55%310.99B | -1.55%310.99B | 0.77%308.19B | 3.38%311.56B |
-Gross loan | -0.23%313.35B | -1.63%310.56B | -1.63%310.56B | 0.82%315.41B | -0.11%315.86B | -2.18%314.06B | -1.50%315.7B | -1.50%315.7B | 0.81%312.85B | 3.42%316.2B |
-Allowance for loans and lease losses | -3.05%4.48B | -6.01%4.43B | -6.01%4.43B | -2.98%4.52B | -1.62%4.56B | -0.43%4.62B | 1.68%4.71B | 1.68%4.71B | 3.79%4.66B | 6.09%4.64B |
Securities and investments | 5.61%137.78B | 5.40%139.73B | 5.40%139.73B | 8.91%144.18B | 2.20%138.65B | -5.63%130.46B | -4.86%132.57B | -4.86%132.57B | -2.98%132.39B | 2.21%135.66B |
-Available for sale securities | ---- | --61.17B | --61.17B | 54.60%59.39B | 23.54%49.71B | -4.34%39.84B | ---- | ---- | -8.41%38.41B | -19.52%40.24B |
-Held to maturity securities | -5.93%74.46B | -23.80%69.18B | -23.80%69.18B | -17.38%73.1B | -16.00%76.87B | -14.78%79.15B | -4.61%90.78B | -4.61%90.78B | -0.71%88.48B | 15.73%91.52B |
-Short term investments | 452.03%63.32B | -77.54%9.39B | -77.54%9.39B | 112.81%11.7B | 208.65%12.07B | 209.33%11.47B | -5.38%41.79B | -5.38%41.79B | 1.74%5.5B | 6.80%3.91B |
Long term equity investment | 14.11%9.45B | 15.47%9.6B | 15.47%9.6B | 14.55%9.22B | 12.75%9.04B | -0.52%8.28B | -1.46%8.31B | -1.46%8.31B | -1.03%8.05B | -5.05%8.02B |
Goodwill and other intangible assets | -1.35%14.5B | 0.17%14.64B | 0.17%14.64B | -3.72%14.44B | 1.59%14.67B | 2.90%14.69B | 1.44%14.62B | 1.44%14.62B | 5.64%14.99B | 6.79%14.44B |
-Goodwill | 0.00%10.93B | 0.00%10.93B | 0.00%10.93B | -0.50%10.93B | -0.50%10.93B | -0.50%10.93B | -0.50%10.93B | -0.50%10.93B | 0.00%10.99B | 0.65%10.99B |
-Other intangible assets | -5.26%3.56B | 0.68%3.71B | 0.68%3.71B | -12.56%3.5B | 8.22%3.74B | 14.24%3.76B | 7.68%3.69B | 7.68%3.69B | 24.95%4.01B | 32.48%3.46B |
Other assets | 4.58%39.06B | -2.43%36.98B | -2.43%36.98B | -5.51%38.32B | -1.79%37.1B | -2.72%37.35B | -1.36%37.9B | -1.36%37.9B | -3.29%40.55B | -9.13%37.78B |
Total assets | -2.02%554.72B | -0.27%560.04B | -0.27%560.04B | 1.35%564.88B | -0.30%556.52B | 0.78%566.16B | 0.77%561.58B | 0.77%561.58B | -0.38%557.33B | 3.22%558.21B |
Liabilities | ||||||||||
Total deposits | -0.64%422.92B | 1.26%426.74B | 1.26%426.74B | 0.08%423.97B | -2.60%416.39B | -2.57%425.62B | -3.41%421.42B | -3.41%421.42B | -3.33%423.61B | -3.02%427.49B |
Long term provisions | 0.30%674M | 8.45%719M | 8.45%719M | 13.28%725M | 8.14%717M | 0.00%672M | -4.47%663M | -4.47%663M | -6.16%640M | -2.64%663M |
Long term debt and capital lease obligation | -16.48%60.72B | -15.21%61.67B | -15.21%61.67B | 2.87%68.07B | 9.19%71.39B | 19.54%72.71B | 23.89%72.74B | 23.89%72.74B | 21.11%66.17B | 81.70%65.38B |
-Long term debt | -16.48%60.72B | -15.21%61.67B | -15.21%61.67B | 2.87%68.07B | 9.19%71.39B | 19.54%72.71B | 23.89%72.74B | 23.89%72.74B | 21.11%66.17B | 81.70%65.38B |
Other liabilities | -11.56%13.96B | 5.24%16.44B | 5.24%16.44B | -5.99%16.39B | 0.09%15.34B | 9.80%15.79B | -0.89%15.62B | -0.89%15.62B | -9.39%17.44B | -1.90%15.33B |
Total liabilities | -3.21%498.27B | -0.95%505.57B | -0.95%505.57B | 0.26%509.15B | -0.99%503.84B | 0.41%514.79B | -0.20%510.44B | -0.20%510.44B | -0.96%507.85B | 3.20%508.86B |
Shareholders'equity | ||||||||||
Share capital | 0.04%2.72B | 0.04%2.72B | 0.04%2.72B | 0.04%2.72B | 0.04%2.72B | 0.07%2.72B | 0.07%2.72B | 0.07%2.72B | 0.04%2.72B | 0.04%2.72B |
-common stock | 0.04%2.72B | 0.04%2.72B | 0.04%2.72B | 0.04%2.72B | 0.04%2.72B | 0.07%2.72B | 0.07%2.72B | 0.07%2.72B | 0.04%2.72B | 0.04%2.72B |
Paid-in capital | -1.58%18.73B | -1.63%18.71B | -1.63%18.71B | -4.11%19.15B | -4.19%19.1B | -4.19%19.03B | 3.50%19.02B | 3.50%19.02B | 0.81%19.97B | 7.57%19.93B |
Retained earnings | 5.51%60.05B | 5.32%59.28B | 5.32%59.28B | 3.99%58.41B | 4.17%57.65B | 4.24%56.91B | 5.07%56.29B | 5.07%56.29B | 6.43%56.17B | 6.76%55.35B |
Less: Treasury stock | 3.00%19.86B | 2.66%19.72B | 2.66%19.72B | 1.87%19.5B | 1.19%19.38B | 1.34%19.28B | 2.63%19.21B | 2.63%19.21B | 5.59%19.14B | 12.15%19.15B |
Gains losses not affecting retained earnings | 34.88%-5.24B | 14.87%-6.57B | 14.87%-6.57B | 50.39%-5.09B | 21.83%-7.45B | 11.70%-8.04B | 24.18%-7.71B | 24.18%-7.71B | 2.15%-10.26B | -13.96%-9.53B |
Total stockholders'equity | 9.87%56.41B | 6.50%54.43B | 6.50%54.43B | 12.61%55.69B | 6.74%52.64B | 4.68%51.34B | 11.65%51.11B | 11.65%51.11B | 5.92%49.45B | 3.50%49.32B |
Non controlling interests | 35.29%46M | 22.22%44M | 22.22%44M | 48.15%40M | 50.00%39M | 13.33%34M | -5.26%36M | -5.26%36M | -22.86%27M | -27.78%26M |
Total equity | 9.88%56.45B | 6.51%54.47B | 6.51%54.47B | 12.63%55.73B | 6.76%52.68B | 4.69%51.37B | 11.63%51.14B | 11.63%51.14B | 5.90%49.48B | 3.48%49.35B |
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 | -- | -- | -- |