Fifth Third Bancorp logo FITB - Fifth Third Bancorp

Price: -- -- | CONSENSUS: Buy DETAILS
STRONG
BUY
1
BUY 26
HOLD 22
SELL 2
STRONG
SELL
0
| PRICE TARGET: $56.50 DETAILS
HIGH: $63.00
LOW: $50.00
MEDIAN: $57.00
CONSENSUS: $56.50
UPSIDE: 14.19%
Metric 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004 2003 2002 2001 2000 1999 1998 1997 1996 1995 1994 1993
Revenue
Revenue 12,866 13,049 12,355 9,080 7,947 8,033 8,621 7,141 6,340 6,237 6,387 6,066 6,501 6,469 6,301 6,873 7,006 7,743 8,131 7,690 7,224 6,273 6,474 6,323 6,506 6,429 3,615 3,339 2,420.9 2,191.3 1,478.9 1,178.2 954
Cost of Revenue 4,466 5,326 4,448 1,541 64 1,887 1,928 1,250 952 921 891 766 641 815 1,084 2,423 4,857 6,654 3,646 3,425 2,360 1,370 1,485 1,675 2,512 2,830 1,467 1,439 1,096.9 999.8 652.8 441.3 335.5
Gross Profit 8,400 7,723 7,907 7,539 7,883 6,146 6,693 5,891 5,388 5,316 5,496 5,300 5,860 5,654 5,217 4,450 2,149 1,089 4,485 4,265 4,864 4,903 4,989 4,648 3,994 3,599 2,148 1,900 1,324 1,191.5 826.1 736.9 618.5
Operating Expenses
R&D Expenses 128 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
SG&A Expenses 3,779 3,163 3,114 2,971 2,984 2,952 2,836 2,502 2,364 2,319 2,181 2,081 2,279 2,309 2,221 2,198 2,117 1,885 1,712 1,652 1,416 1,492 1,162 1,107 993 928 505 454 292.4 280.6 190.9 181.2 152.6
Other Expenses 1,283 1,644 1,805 1,475 1,382 1,397 655 624 45 789 950 1,191 983 1,135 1,165 1,312 (735) 1,868 1,236 986 1,240 1,174 1,300 1,147 1,350 991 617 612 338.1 341 204.6 190.3 170.9
Operating Expenses 5,190 4,807 4,919 4,446 4,366 4,349 3,491 3,126 2,409 3,108 3,131 3,272 3,262 3,444 3,386 3,510 1,382 3,753 2,948 2,638 2,656 2,666 2,462 2,254 2,343 1,919 1,122 1,066 630.5 621.6 395.5 371.5 323.5
Operating Income
Operating Income 3,210 2,916 2,988 3,093 3,517 1,797 3,202 2,765 2,979 2,208 2,365 2,028 2,598 2,210 1,831 940 767 (2,664) 1,537 1,627 2,208 2,237 2,527 2,394 1,651 1,680 1,026 834 693.5 569.9 430.6 365.4 295
Interest Expense 3,922 4,796 3,933 978 441 790 1,457 1,043 691 578 495 451 412 512 661 885 1,314 2,094 3,018 3,082 2,030 1,102 1,086 1,429 2,276 2,692 1,333 1,316 1,006.8 931.4 609.8 405.5 291
Interest Income 9,903 10,426 9,760 6,587 5,211 5,572 6,254 5,183 4,489 4,193 4,028 4,030 3,973 4,107 4,218 4,489 4,668 5,608 6,027 5,955 4,995 4,114 3,991 4,129 4,709 4,947 2,738 2,585 1,919.1 1,772.4 1,173.2 922.3 727.4
Profitability
EBITDA 3,615 3,411 3,450 3,529 3,866 2,289 3,674 3,125 3,320 2,661 2,806 2,442 3,105 2,741 2,286 1,397 1,108 (2,656) 1,904 2,026 2,613 2,696 3,077 2,732 1,887 1,860 1,130 952 762.9 632.5 458.2 395.4 325.4
EBIT 3,210 2,916 2,988 3,093 3,517 1,797 3,202 2,765 2,979 2,208 2,365 2,028 2,598 2,210 1,831 940 767 (2,664) 1,537 1,627 2,208 2,237 2,527 2,394 1,651 1,680 1,026 834 693.5 569.9 430.6 365.4 295
Income Before Tax 3,210 2,916 2,988 3,093 3,517 1,797 3,202 2,765 2,979 2,208 2,365 2,028 2,598 2,210 1,831 940 767 (2,664) 1,537 1,627 2,208 2,237 2,527 2,394 1,651 1,680 1,026 834 693.5 569.9 430.6 365.4 295
Income Tax Expense 687 602 639 647 747 370 690 572 799 665 659 545 772 636 533 187 30 (551) 461 443 659 712 805 759 550 539 358 287 232.6 187.6 142.9 120.9 98.6
Net Income 2,523 2,314 2,349 2,446 2,770 1,427 2,512 2,193 2,180 1,547 1,712 1,481 1,836 1,576 1,297 753 737 (2,113) 1,076 1,184 1,549 1,525 1,755 1,635 1,094 1,141 668 547 460.9 382.3 287.7 244.5 196.4
Per Share Data
EPS (Basic) 3.55 3.16 3.23 3.38 3.78 1.84 3.38 3.11 2.88 1.95 2.03 1.68 2.05 1.69 1.20 0.64 0.73 -3.91 2.00 2.14 2.79 2.72 3.07 2.64 1.74 1.86 0.97 1.20 0.78 0.64 0.57 0.75 0.13
EPS (Diluted) 3.54 3.14 3.22 3.35 3.73 1.83 3.33 3.06 2.83 1.93 2.01 1.66 2.02 1.66 1.18 0.62 0.67 -3.91 1.99 2.13 2.77 2.68 3.03 2.59 1.70 1.83 0.95 1.19 0.77 0.63 0.84 0.75 0.12
Shares Outstanding 664.4 682.2 684.2 688.6 702.2 714.7 710.4 673.3 728.3 757.4 798.6 833.1 869.5 904.4 906.5 790.9 696.5 553 538 554.7 554.5 560.3 571.3 618.9 628.2 464.0 683.3 453.3 348.5 357.4 342.2 326.0 310.2
Metric 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2009 2008 2004 2003 2002 2001 2000 1999 1998 1997 1996 1995 1994 1993
Current Assets
Cash & Cash Equivalents 3,499 3,014 3,142 3,466 2,994 3,147 3,278 2,681 2,514 2,392 2,318 3,746 2,561 2,359.4 1,890.8 2,031 985 1,213 1,045 777.4 808.9 628.5 695 580.9
Short-Term Investments 18,876 55,926 71,779 58,980 72,163 70,388 37,422 34,103 33,892 33,330 20,689 15,509 0 0 0 0 0 0 0 0 0 0 0 0
Net Receivables 120,398 6,523 5,592 6,228 6,616 5,980 6,425 6,039 6,366 6,633 4,942 5,820 397 408.1 569.5 618 390 321 343 178.8 182.9 134 114 92.8
Inventory 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Current Assets 733 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Total Current Assets 143,506 65,605 80,656 68,819 81,912 79,644 47,226 42,916 42,859 42,438 28,231 25,159 2,958 2,767.5 2,460.3 2,649 1,375 1,534 1,388 956.2 991.8 762.5 809 673.7
Non-Current Assets
Property, Plant & Equipment 3,108 3,320 3,319 3,322 3,163 3,288 3,316 2,379 2,649 2,803 2,899 2,957 1,619 1,828.0 890.9 833 521 482 449 301 231.4 196 176.9 156.1
Goodwill 4,947 4,918 4,919 4,915 4,514 4,258 4,252 2,478 2,445 2,416 2,417 2,624 0 0 0 0 0 0 0 0 0 0 0 0
Intangible Assets 69 1,794 1,862 1,915 1,277 795 1,194 978 885 753 806 667 397 408.1 569.5 618 0 0 0 0 0 0 0 0
Long-Term Investments 49,037 131,481 118,342 123,252 116,850 113,299 110,393 94,581 90,162 90,823 75,350 83,848 84,037 82,821.1 74,430.2 63,852 41,949 38,066 34,084 25,730.7 18,772.8 15,851.6 13,767.5 10,982.1
Other Non-Current Assets 1,598 4,380 4,038 3,676 3,394 3,396 2,988 2,737 3,081 2,944 3,651 4,208 4,361 2,832.0 1,911.3 2,742 2,012 1,507 1,171 722.8 553 242.8 203.6 154.1
Total Non-Current Assets 58,759 147,322 133,918 138,633 129,204 125,036 122,143 103,153 99,222 99,739 85,149 94,605 91,498 88,413.6 78,434.1 68,377 44,482 40,055 35,704 26,754.5 19,557.2 16,290.4 14,148 11,292.3
Total Assets 214,376 212,927 214,574 207,452 211,116 204,680 169,369 146,069 142,081 142,177 113,380 119,764 94,456 91,181.1 80,894.4 71,026 45,857 41,589 37,092 27,710.7 20,549 17,052.9 14,957 11,966
Current Liabilities
Account Payables 171,819 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Short-Term Debt 926 4,635 3,051 4,894 825 1,018 729 2,227 3,845 3,293 1,597 10,246 10,026 13,170.7 8,823.1 7,453 4,260 8,374 4,515 3,651 3,265.4 2,005.5 2,452.2 1,602.3
Deferred Revenue 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Current Liabilities 0 167,252 168,912 163,690 169,324 159,081 127,062 108,835 103,162 103,821 84,305 78,613 58,226 57,095.3 52,208.4 45,854 30,948 26,084 24,496 19,019.9 14,374.7 12,485.8 10,630.9 8,628.5
Total Current Liabilities 174,828 171,887 171,963 168,584 170,149 160,099 130,232 112,624 108,472 108,914 86,675 90,888 68,252 70,266.0 61,031.6 53,307 35,208 34,458 29,011 22,670.9 17,640.1 14,491.3 13,083.1 10,230.8
Non-Current Liabilities
Long-Term Debt 13,589 14,337 16,380 13,714 11,821 14,973 14,970 14,426 14,904 14,388 10,507 13,585 13,983 9,062.8 8,178.7 7,030 3,861 1,804 3,063 1,508.7 277.7 425.4 178.7 282.8
Deferred Tax Liabilities 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Non-Current Liabilities 0 7,058 7,059 7,827 6,936 6,497 2,964 2,769 2,485 2,643 2,701 3,214 3,297 3,185.2 2,747.7 2,629 1,724 1,077 1,050 768.3 487.1 411.6 296.4 254.8
Total Non-Current Liabilities 13,589 21,395 23,439 21,541 18,757 21,470 17,934 17,195 17,389 17,031 13,208 16,799 17,280 12,248.1 10,926.4 9,659 5,585 2,881 4,113 2,277 764.8 837 475.1 537.6
Total Liabilities 192,652 193,282 195,402 190,125 188,906 181,569 148,166 129,819 125,861 125,945 99,883 107,687 85,532 82,514.1 71,957.9 62,966 40,793 37,339 33,124 24,947.9 18,404.9 15,328.3 13,558.2 10,768.4
Stockholders' Equity
Common Stock 2,051 2,051 2,051 2,051 2,051 2,051 2,051 2,051 2,051 2,051 1,779 1,295 1,295 1,295.3 1,295.2 1,294 1,034 1,029 0 0 0 0 0 0
Retained Earnings 25,488 24,150 22,997 21,689 20,236 18,384 18,315 16,578 14,957 13,441 6,326 5,824 7,269 6,480.6 5,904.1 4,838 3,242 2,705 2,204 1,821.3 1,367.7 1,148.3 1,030.3 805.7
Accumulated Other Comprehensive Income (3,110) (4,636) (4,487) (5,110) 1,207 2,601 1,192 (112) 73 59 241 98 (169) (120.7) 369.0 8 23 (225) 82.4 98.3 16.6 14.8 (48.2) 0
Total Stockholders' Equity 21,724 19,645 19,172 17,327 22,210 23,111 21,203 16,250 16,200 16,205 13,497 12,077 8,924 8,667.0 8,475.0 7,639 4,891 4,077 3,795 2,762.8 2,144.1 1,724.6 1,398.8 1,197.6
Total Liabilities & Equity 214,376 212,927 214,574 207,452 211,116 204,680 169,369 146,069 142,081 142,177 113,380 119,764 94,456 91,181.1 80,894.4 71,026 45,857 41,589 37,092 27,710.7 20,549 17,052.9 14,957 11,966
Debt Metrics
Total Debt 14,515 18,972 19,431 18,608 12,646 15,991 15,699 16,653 18,749 17,681 12,104 23,831 24,009 22,233.5 17,001.8 14,483 8,121 10,178 7,578 5,159.7 3,543.1 2,430.9 2,630.9 1,885.1
Net Debt 11,016 15,958 16,289 15,142 9,652 12,844 12,421 13,972 16,235 15,289 9,786 20,085 21,448 19,874.2 15,111.0 12,452 7,136 8,965 6,533 4,382.3 2,734.2 1,802.4 1,935.9 1,304.2
Metric 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2005 2004 2003 2002 2001 2000 1999 1998 1997 1996 1995 1994 1993
Operating Activities
Net Income 2,522 2,314 2,349 2,446 2,770 1,427 2,512 2,193 2,180 1,543 1,549 1,525 1,755 1,635 1,094 141 668 547 460.9 382.3 287.7 244.5 196.4
Depreciation & Amortization 554 495 462 436 349 492 472 360 341 453 405 459 550 338 236 180 104 118 69.4 62.6 27.6 30 30.4
Stock-Based Compensation 163 164 169 165 120 123 132 127 118 111 65 87 0 0 0 0 0 0 0 0 0 0 0
Change in Working Capital 393 (558) 360 210 (239) (494) (149) 627 (580) 182 (549) (801) 57 109 (691) (374) (414) (124) (1,367.7) (1,435.9) (24.3) (15.4) (12.8)
Other Non-Cash Items 742 337 1,275 3,231 (282) (1,015) (897) (481) (327) (57) (689) 2,229 5,708 (134) 10 532 425 (97) 1,395.7 1,231.3 104.1 137.9 (61.8)
Operating Cash Flow 4,514 2,824 4,509 6,428 2,704 371 1,824 2,856 1,480 2,091 765 3,486 8,114 2,227 903 787 1,038 525 649.2 320.7 460.3 441.7 176.3
Investing Activities
Capital Expenditure (709) (414) (516) (685) (309) (358) (304) (192) (231) (312) (437) (391) (284) (174) (139) (132) (116) (82) (60.7) (48.6) (33.2) (27.6) (43.4)
Acquisitions (36) 6 0 (851) (297) (4) 1,210 (43) (44) (219) 242 262 67 55 (125) 155 0 0 0 0 0 0 0
Purchases of Investments (9,901) (7,129) (19,975) (29,714) (12,885) (36,712) (14,571) (16,207) (15,295) (24,719) (7,966) (13,837) (36,215) (32,400) (23,771) (10,798) (7,109) (6,582) (2,504.3) (3,195.7) (983.6) (1,794.1) (1,121.5)
Sales/Maturities of Investments 12,473 11,569 7,117 35,165 9,267 5,458 13,924 15,813 16,335 22,164 11,633 17,607 31,837 28,091 24,496 9,613 7,226 6,900 3,460.3 1,954 1,391.4 1,109.8 1,204.2
Other Investing Activities (3,673) (2,993) 3,861 (8,999) (3,744) (286) (1,056) (3,512) (337) 222 (6,301) (7,369) (10,421) (5,594) (69) (3,745) (4,533) (1,527) (2,315.1) (2,083.1) (1,883.8) (1,166.3) (1,345.5)
Investing Cash Flow (1,846) 1,039 (9,488) (4,871) (7,968) (31,902) (797) (4,141) 428 (2,864) (2,829) (3,728) (15,016) (10,022) 392 (4,907) (4,532) (1,291) (1,419.8) (3,373.4) (1,509.2) (1,878.2) (1,306.2)
Financing Activities
Net Debt Issuance (899) (433) 829 6,564 (3,234) (60) (1,840) (2,134) 998 644 (579) 3,910 3,709 2,374 1,920 (937) 2,596 870 329 1,494.3 (183.5) 526.6 399.1
Stock Repurchased (525) (625) (200) (100) (1,393) 0 (1,763) (1,453) (1,605) (661) (1,649) (987) 0 0 0 0 0 0 0 0 0 0 0
Dividends Paid (1,163) (1,176) (1,060) (927) (897) (858) (753) (565) (505) (454) (794) (704) (631) (553) (461) (436) (269) (168) (133.9) (113.9) (89.1) (73.4) (59.3)
Other Financing Activities 754 (1,757) 5,086 (6,622) 10,635 31,972 3,684 5,604 (674) 1,096 5,603 (1,775) 4,884 6,450 (2,981) 5,405 1,282 139 732.5 1,855.2 1,251 1,073.1 800.3
Financing Cash Flow (2,183) (3,991) 4,655 (1,085) 5,111 31,400 (430) 1,452 (1,786) 625 2,581 444 7,370 7,655 (971) 3,935 3,662 847 670.5 3,245.1 982.4 1,536.6 1,144.9
Cash Position
Net Change in Cash 485 (128) (324) 472 (153) (131) 597 167 122 (148) 517 202 468 (140) 324 (185) 168 81 (100.1) (685) (695) (594.9) (565.9)
Cash at Beginning 3,014 3,142 3,466 2,994 3,147 3,278 2,681 2,514 2,392 2,540 2,561 2,359 1,891 2,031 1,707 1,892 1,045 964 877.4 685 695 594.9 565.9
Cash at End 3,499 3,014 3,142 3,466 2,994 3,147 3,278 2,681 2,514 2,392 3,078 2,561 2,359 1,891 2,031 1,707 1,213 1,045 777.3 808.9 628.5 695 580.9
Free Cash Flow 3,805 2,410 3,993 5,743 2,395 13 1,520 2,664 1,249 1,779 328 3,095 7,830 2,053 764 655 922 443 588.5 272.1 427.1 414.1 132.9
Key Metrics 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004 2003 2002 2001 2000 1999 1998 1997 1996 1995 1994 1993
Income Statement
Revenue 12,866 13,049 12,355 9,080 7,947 8,033 8,621 7,141 6,340 6,237 6,387 6,066 6,501 6,469 6,301 6,873 7,006 7,743 8,131 7,690 7,224 6,273 6,474 6,323 6,506 6,429 3,615 3,339 2,420.9 2,191.3 1,478.9 1,178.2 954
Gross Profit 8,400 7,723 7,907 7,539 7,883 6,146 6,693 5,891 5,388 5,316 5,496 5,300 5,860 5,654 5,217 4,450 2,149 1,089 4,485 4,265 4,864 4,903 4,989 4,648 3,994 3,599 2,148 1,900 1,324 1,191.5 826.1 736.9 618.5
Operating Income 3,210 2,916 2,988 3,093 3,517 1,797 3,202 2,765 2,979 2,208 2,365 2,028 2,598 2,210 1,831 940 767 (2,664) 1,537 1,627 2,208 2,237 2,527 2,394 1,651 1,680 1,026 834 693.5 569.9 430.6 365.4 295
Net Income 2,523 2,314 2,349 2,446 2,770 1,427 2,512 2,193 2,180 1,547 1,712 1,481 1,836 1,576 1,297 753 737 (2,113) 1,076 1,184 1,549 1,525 1,755 1,635 1,094 1,141 668 547 460.9 382.3 287.7 244.5 196.4
EPS (Diluted) 3.54 3.14 3.22 3.35 3.73 1.83 3.33 3.06 2.83 1.93 2.01 1.66 2.02 1.66 1.18 0.62 0.67 -3.91 1.99 2.13 2.77 2.68 3.03 2.59 1.70 1.83 0.95 1.19 0.77 0.63 0.84 0.75 0.12
Balance Sheet
Cash & Equivalents 3,499 3,014 3,142 3,466 2,994 3,147 3,278 2,681 2,514 2,392 2,318 3,746 2,561 2,359.4 1,890.8 2,031 985 1,213 1,045 777.4 808.9 628.5 695 580.9
Total Assets 214,376 212,927 214,574 207,452 211,116 204,680 169,369 146,069 142,081 142,177 113,380 119,764 94,456 91,181.1 80,894.4 71,026 45,857 41,589 37,092 27,710.7 20,549 17,052.9 14,957 11,966
Total Debt 14,515 18,972 19,431 18,608 12,646 15,991 15,699 16,653 18,749 17,681 12,104 23,831 24,009 22,233.5 17,001.8 14,483 8,121 10,178 7,578 5,159.7 3,543.1 2,430.9 2,630.9 1,885.1
Stockholders' Equity 21,724 19,645 19,172 17,327 22,210 23,111 21,203 16,250 16,200 16,205 13,497 12,077 8,924 8,667.0 8,475.0 7,639 4,891 4,077 3,795 2,762.8 2,144.1 1,724.6 1,398.8 1,197.6
Cash Flow
Operating Cash Flow 4,514 2,824 4,509 6,428 2,704 371 1,824 2,856 1,480 2,091 765 3,486 8,114 2,227 903 787 1,038 525 649.2 320.7 460.3 441.7 176.3
Capital Expenditure (709) (414) (516) (685) (309) (358) (304) (192) (231) (312) (437) (391) (284) (174) (139) (132) (116) (82) (60.7) (48.6) (33.2) (27.6) (43.4)
Free Cash Flow 3,805 2,410 3,993 5,743 2,395 13 1,520 2,664 1,249 1,779 328 3,095 7,830 2,053 764 655 922 443 588.5 272.1 427.1 414.1 132.9