Quarterly report pursuant to Section 13 or 15(d)

Consolidated Statement of Cash Flows

v3.21.2
Consolidated Statement of Cash Flows - USD ($)
$ in Millions
9 Months Ended
Sep. 30, 2021
Sep. 30, 2020
Operating activities    
Net income $ 24,965 $ 12,424
Adjustments to reconcile net income to net cash provided by operating activities:    
Provision for credit losses (4,105) 11,267
Gains on sales of debt securities (4) (379)
Depreciation and amortization 1,403 1,356
Net amortization of premium/discount on debt securities 4,534 2,636
Deferred income taxes (1,151) (1,994)
Stock-based compensation 2,031 1,597
Loans held-for-sale:    
Originations and purchases (27,003) (11,093)
Proceeds from sales and paydowns of loans originally classified as held for sale and instruments from related securitization activities 24,852 15,654
Net change in:    
Trading and derivative assets/liabilities (55,310) (25,503)
Other assets (34,337) (15,078)
Accrued expenses and other liabilities 8,713 (9,495)
Other operating activities, net 3,568 2,007
Net cash used in operating activities (51,844) (16,601)
Investing activities    
Time deposits placed and other short-term investments 28 2,019
Federal funds sold and securities borrowed or purchased under agreements to resell 42,124 (52,148)
Debt securities carried at fair value:    
Proceeds from sales 3,732 61,485
Proceeds from paydowns and maturities 124,149 61,973
Purchases (174,517) (148,905)
Held-to-maturity debt securities:    
Proceeds from paydowns and maturities 94,437 63,097
Purchases (340,425) (126,710)
Loans and leases:    
Proceeds from sales of loans originally classified as held for investment and instruments from related securitization activities 7,767 10,041
Purchases (3,363) (3,972)
Other changes in loans and leases, net (5,866) 11,810
Other investing activities, net (2,450) (2,473)
Net cash used in investing activities (254,384) (123,783)
Financing activities    
Deposits 169,324 268,077
Federal funds purchased and securities loaned or sold under agreements to repurchase 37,105 25,660
Short-term borrowings 957  
Short-term borrowings   (6,353)
Long-term debt:    
Proceeds from issuance 65,459 40,858
Retirement (38,787) (37,123)
Preferred stock:    
Proceeds from issuance 902 1,098
Redemption (1,971) (1,072)
Common stock repurchased (17,593) (6,762)
Cash dividends paid (6,090) (5,899)
Other financing activities, net (696) (603)
Net cash provided by financing activities 208,610 277,881
Effect of exchange rate changes on cash and cash equivalents (2,991) 1,949
Net increase (decrease) in cash and cash equivalents (100,609) 139,446
Cash and cash equivalents at January 1 380,463 161,560
Cash and cash equivalents at September 30 $ 279,854 $ 301,006