Truist financial corporation (BBT)
Balance Sheet / Yearly
Mar'20Dec'19Sep'19Jun'19Mar'19Dec'18Sep'18Jun'18Mar'18Dec'17Sep'17Jun'17Mar'17Dec'16Sep'16Jun'16Mar'16Dec'15Sep'15Jun'15Mar'15Dec'14Sep'14Jun'14Mar'14Dec'13Sep'13Jun'13Mar'13Dec'12Sep'12Jun'12Mar'12Dec'11Sep'11Jun'11Mar'11Dec'10Sep'10Jun'10Mar'10Dec'09Sep'09Jun'09Dec'08
Assets
Cash and Due from Banks

5,312

4,084

2,027

1,831

1,873

2,753

2,123

2,046

1,869

2,243

2,195

2,201

1,739

1,897

1,850

1,958

1,825

2,123

1,538

1,607

1,452

1,639

1,439

1,718

1,722

1,565

1,811

1,444

1,322

1,975

1,557

1,409

1,336

1,562

1,312

1,199

1,030

1,127

1,225

1,270

1,265

1,584

1,292

1,571

1,639

Interest-bearing deposits with banks

31,036

14,981

866

707

751

1,091

748

662

912

343

428

671

2,056

1,895

930

510

786

1,435

1,115

824

325

529

437

589

354

452

498

740

1,588

942

1,784

2,246

2,464

2,646

2,907

1,337

865

931

944

931

574

667

579

416

751

Cash equivalents

1,796

1,417

114

148

252

143

135

213

132

127

75

137

238

144

192

145

167

153

127

190

222

157

141

141

144

148

160

195

302

122

162

212

252

136

185

250

305

327

285

308

399

398

520

247

350

Trading Assets

3,863

5,733

-

-

-

391

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

Restricted cash

-

-

11

15

96

-

147

132

198

370

429

419

447

488

654

846

666

456

578

379

513

374

292

292

363

422

516

585

2

750

3

4

20

20

19

19

153

309

269

255

269

270

286

267

379

Trading securities at fair value

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

525

-

521

537

627

497

572

533

589

534

428

564

730

633

568

587

651

636

686

522

376

AFS securities at fair value

78,398

74,727

35,997

25,802

26,315

25,038

24,286

23,919

25,017

24,547

23,184

26,899

26,668

26,926

29,449

28,244

27,129

25,297

24,249

21,183

21,674

20,907

21,174

20,936

20,496

22,104

22,865

24,477

24,170

25,137

24,098

25,067

24,380

22,313

24,649

19,409

17,887

23,169

24,497

23,662

32,654

33,253

34,133

31,033

32,843

HTM securities (fair value of $ at March 31, December 31, 2019)

-

-

18,768

19,487

20,095

20,552

21,082

21,749

22,390

23,027

23,447

18,384

18,209

16,680

17,750

18,762

19,351

18,530

19,245

19,437

20,415

20,240

20,717

20,432

20,812

18,101

13,529

13,751

13,119

13,594

13,140

12,576

13,485

14,094

8,135

8,552

8,333

0

-

-

-

-

-

-

-

LHFS (including $3,655 and $5,673 at fair value, respectively)

4,810

8,373

1,442

1,237

834

988

1,022

1,615

1,189

1,099

1,217

1,471

1,291

1,716

2,689

2,485

1,575

1,035

1,452

2,469

2,121

1,423

2,001

1,692

1,104

1,222

2,957

2,488

3,432

3,761

3,467

2,736

2,525

3,736

2,746

1,965

2,312

3,697

3,833

2,171

2,057

2,551

3,126

3,982

1,424

Loans and leases

319,229

299,842

149,413

152,586

149,057

149,013

146,690

146,183

143,017

143,701

142,794

143,645

142,605

143,322

142,423

142,226

135,096

135,951

135,515

122,301

119,906

119,884

118,689

119,523

116,528

115,917

115,625

115,794

114,196

114,603

114,140

111,075

108,161

107,469

104,703

103,385

102,575

103,567

102,181

102,548

102,344

103,656

103,901

96,352

97,245

ALLL

5,211

1,549

1,573

1,595

1,561

1,558

1,538

1,530

1,498

1,490

1,478

1,485

1,487

1,489

1,511

1,507

1,488

1,460

1,458

1,457

1,464

1,474

1,504

1,590

1,642

1,732

1,838

1,901

1,975

2,018

2,051

2,126

2,181

2,256

2,355

2,516

2,641

2,708

2,611

2,723

2,714

2,600

2,379

2,110

1,574

Loans and leases, net of ALLL

314,018

298,293

147,840

150,991

147,496

147,455

145,152

144,653

141,519

142,211

141,316

142,160

141,118

141,833

140,912

140,719

133,608

134,491

134,057

120,844

118,442

118,410

117,185

117,933

114,886

114,185

113,787

113,893

112,221

112,585

112,089

108,949

105,980

105,213

102,348

100,869

99,934

100,859

99,570

99,825

99,630

101,056

101,522

94,242

95,671

FDIC loss share receivable

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

245

299

368

-

656

831

949

1,100

1,221

1,446

1,580

1,922

1,924

2,230

2,611

3,062

3,336

-

0

Premises and equipment

3,999

3,712

2,022

2,029

2,078

2,118

2,154

2,154

2,078

2,055

2,043

2,084

2,104

2,107

2,059

2,088

2,001

2,007

2,038

1,900

1,879

1,827

1,842

1,857

1,854

1,869

1,876

1,893

1,880

1,888

1,940

1,816

1,822

1,855

1,864

1,846

1,830

1,840

1,831

1,835

1,798

1,583

1,591

1,577

1,580

Goodwill

23,927

24,154

9,832

9,830

9,818

9,818

9,832

9,617

9,617

9,618

9,618

9,618

9,618

9,638

9,627

9,621

8,559

8,548

8,498

7,141

6,950

6,869

6,869

6,868

6,824

6,814

6,823

6,824

6,823

6,804

6,718

6,428

6,077

6,078

6,016

6,016

6,014

6,008

6,013

6,067

6,055

6,053

6,183

5,491

5,483

CDI and other intangible assets

3,168

3,142

678

712

726

758

789

647

679

711

745

782

818

854

892

946

656

686

700

514

530

505

527

552

546

569

595

620

647

673

718

683

422

444

433

457

483

508

535

569

601

640

645

497

542

MSRs (including $2,150 and $2,618 at fair value, respectively)

2,150

2,630

-

-

-

1,122

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

Servicing Asset at Fair Value, Amount

-

-

919

970

1,036

-

1,179

1,143

1,119

1,056

1,044

1,052

1,088

1,052

828

785

860

880

848

912

764

844

943

954

1,008

1,047

956

892

735

627

563

578

696

563

573

879

928

830

585

665

875

832

639

615

370

Other assets (including $5,129 and $3,310 at fair value, respectively)

33,752

31,832

16,234

17,113

16,313

13,470

14,236

14,131

14,010

14,235

14,599

15,314

15,107

14,046

14,790

14,750

15,222

14,306

14,364

13,617

13,941

13,110

13,455

14,048

14,013

14,512

13,911

14,097

13,601

15,144

14,554

14,461

13,755

14,285

14,841

14,502

14,655

14,921

15,151

14,708

14,261

13,179

10,790

11,938

10,607

Total assets

506,229

473,078

236,750

230,872

227,683

225,697

222,885

222,681

220,729

221,642

220,340

221,192

220,501

219,276

222,622

221,859

212,405

209,947

208,809

191,017

189,228

186,834

187,022

188,012

184,651

183,010

181,050

182,735

180,837

184,499

182,021

178,529

174,752

174,579

167,677

159,310

157,039

157,081

157,230

155,083

163,700

165,764

165,328

152,398

152,015

Liabilities
Noninterest-bearing deposits

97,618

92,405

-

-

-

53,025

-

-

-

-

54,049

53,343

53,262

50,697

51,000

49,180

47,258

45,695

44,700

42,234

41,414

38,786

38,576

37,398

36,322

34,972

34,486

33,760

33,236

32,452

30,810

28,664

27,410

25,684

24,557

22,507

21,864

20,637

20,607

19,767

19,022

18,945

18,673

16,054

13,649

Interest-bearing deposits

252,561

242,322

-

-

-

108,174

-

-

-

-

102,086

103,625

108,071

109,537

108,915

110,058

103,242

103,429

103,127

90,549

89,815

90,254

-

-

-

92,503

92,998

97,319

98,116

100,623

99,208

97,395

96,747

99,255

93,010

85,557

85,049

86,576

-

-

-

96,020

-

-

-

Interest-bearing deposits less time deposits $100,000 and greater

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

79,389

77,923

77,962

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

Time deposits $100,000 and greater

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

12,930

16,265

13,192

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

Interest checking

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

2,225

3,760

3,504

-

3,621

3,181

2,576

Other client deposits

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

52,795

49,989

51,897

-

48,878

43,632

39,413

Client certificates of deposit

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

23,772

27,599

29,686

-

32,553

25,472

27,937

Other interest-bearing deposits

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

7,020

3,336

9,614

-

10,785

13,825

15,038

Deposits

-

-

162,280

159,521

159,766

-

154,556

159,475

158,196

157,371

156,135

156,968

161,333

160,234

159,915

159,238

150,500

149,124

147,827

132,783

131,229

129,040

130,895

131,586

127,476

127,475

127,484

131,079

131,352

133,075

130,018

126,059

124,157

124,939

117,567

108,064

106,913

107,213

106,419

104,451

113,723

114,965

114,510

102,164

98,613

Short-term borrowings

12,696

18,218

10,405

10,344

6,305

5,178

9,652

3,576

4,321

4,938

7,916

6,142

2,019

1,406

4,064

1,472

4,130

3,593

2,581

3,883

3,130

3,717

3,385

3,979

3,285

4,138

4,813

3,192

3,239

2,864

3,093

3,196

3,436

3,566

3,953

4,842

5,186

5,673

5,820

6,080

7,020

8,106

8,357

12,631

10,788

Long-term debt

65,662

41,339

25,520

22,640

24,729

23,709

23,236

24,081

23,410

23,648

20,863

21,738

21,635

21,965

22,776

24,435

22,823

23,769

24,883

23,271

23,437

23,312

22,355

21,927

23,384

21,493

20,402

19,362

18,316

19,114

19,221

22,561

22,768

21,803

22,153

23,380

22,591

21,730

22,111

22,086

21,428

21,376

21,317

18,110

18,032

Other liabilities (including $1,849 and $1,440 at fair value, respectively)

11,631

12,236

6,242

6,603

6,000

5,433

5,434

5,717

5,140

5,990

5,573

5,995

5,489

5,745

5,776

6,971

6,713

6,121

6,254

5,948

6,694

6,388

6,073

6,555

6,950

7,095

6,257

7,106

6,701

8,223

9,157

7,787

6,509

6,791

6,463

5,975

5,679

5,967

6,093

5,726

5,001

5,076

5,002

4,701

8,501

Total liabilities

440,168

406,520

204,447

199,108

196,800

195,519

192,878

192,849

191,067

191,947

190,487

190,843

190,476

189,350

192,531

192,116

184,166

182,607

181,545

165,885

164,490

162,457

162,708

164,047

161,095

160,201

158,956

160,739

159,608

163,276

161,489

159,603

156,870

157,099

150,136

142,261

140,369

140,583

140,443

138,343

147,172

149,523

149,186

137,606

135,934

Commitments and contingencies (Note 13)

-

-

-

-

-

-

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

-

-

-

-

-

-

-

Shareholders' Equity
Preferred stock, $5 par value, liquidation preference of $25,000 per share

4,599

5,102

3,057

3,053

3,053

3,053

3,053

3,053

3,053

3,053

3,053

3,053

3,053

3,053

3,053

3,053

3,054

2,603

2,603

2,603

2,603

2,603

2,603

2,603

2,603

2,603

2,603

2,603

2,116

2,116

1,679

559

-

0

-

-

-

-

-

-

-

-

-

-

-

Preferred stock, liquidation preference of $1,000,000 per share

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

0

0

-

0

0

3,082

Common stock, $5 par value

6,737

6,711

3,832

3,830

3,830

3,817

3,853

3,872

3,899

3,910

3,945

4,040

4,057

4,047

4,057

4,073

3,912

3,902

3,901

3,667

3,616

3,603

3,601

3,598

3,592

3,533

3,525

3,515

3,507

3,499

3,498

3,494

3,492

3,486

3,486

3,484

3,481

3,472

3,468

3,464

3,459

3,449

3,437

3,240

2,796

Additional paid-in capital

35,584

35,609

6,931

6,889

6,843

6,849

7,221

7,364

7,593

7,893

8,192

8,966

9,063

9,104

9,233

9,311

8,360

8,365

8,344

6,667

6,524

6,517

6,494

6,451

6,385

6,172

6,112

6,042

5,975

5,973

5,950

5,914

5,880

5,873

5,856

5,830

5,794

5,776

5,753

5,720

5,677

5,620

5,563

4,828

3,510

Retained earnings

18,076

19,806

19,440

19,050

18,518

18,118

17,673

17,197

16,712

16,259

15,656

15,321

14,933

14,809

14,459

14,104

13,791

13,464

13,172

12,891

12,632

12,317

11,982

11,634

11,382

11,044

10,669

10,564

10,178

10,129

9,761

9,433

9,064

8,772

8,493

8,241

8,042

7,935

7,833

7,729

7,624

7,539

7,458

7,409

7,381

AOCI, net of deferred income taxes

898

-844

-1,026

-1,119

-1,421

-1,715

-1,852

-1,706

-1,645

-1,467

-1,036

-1,073

-1,125

-1,132

-750

-837

-917

-1,028

-796

-748

-733

-751

-442

-406

-500

-593

-860

-784

-612

-559

-409

-541

-616

-713

-356

-574

-706

-747

-335

-237

-292

-417

-364

-730

-732

Noncontrolling interests

167

174

69

61

60

56

59

52

50

47

43

42

44

45

39

39

39

34

40

52

96

88

76

85

94

50

45

56

65

65

53

67

62

62

62

68

59

62

68

64

60

50

48

45

44

Total shareholders' equity

66,061

66,558

32,303

31,764

30,883

30,178

30,007

29,832

29,662

29,695

29,853

30,349

30,025

29,926

30,091

29,743

28,239

27,340

27,264

25,132

24,738

24,377

24,314

23,965

23,556

22,809

22,094

21,996

21,229

21,223

20,532

18,926

17,882

17,480

17,541

17,049

16,670

16,498

16,787

16,740

16,528

16,241

16,142

14,792

16,081

Total liabilities and shareholders' equity

506,229

473,078

236,750

230,872

227,683

225,697

222,885

222,681

220,729

221,642

220,340

221,192

220,501

219,276

222,622

221,859

212,405

209,947

208,809

191,017

189,228

186,834

187,022

188,012

184,651

183,010

181,050

182,735

180,837

184,499

182,021

178,529

174,752

174,579

167,677

159,310

157,039

157,081

157,230

155,083

163,700

165,764

165,328

152,398

152,015

Common shares outstanding

1,347

1,342

766

766

765

763

770

774

779

782

788

808

811

809

811

814

782

780

780

733

723

720

720

719

718

706

704

702

701

699

699

698

698

697

697

696

696

694

693

692

691

689

687

-

559

Common shares authorized

2,000

2,000

2,000

2,000

2,000

2,000

2,000

2,000

2,000

2,000

2,000

2,000

2,000

2,000

2,000

2,000

2,000

2,000

2,000

2,000

2,000

2,000

2,000

2,000

2,000

2,000

2,000

2,000

2,000

2,000

2,000

2,000

2,000

2,000

2,000

2,000

2,000

2,000

2,000

2,000

1,000

1,000

1,000

-

1,000

Preferred shares outstanding

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

-

0

-

-

-

-

-

-

-

-

0

-

0

Preferred shares authorized

5

5

5

5

5

5

5

5

5

5

5

5

5

5

5

5

5

5

5

5

5

5

5

5

5

5

5

5

5

5

5

5

5

5

5

5

5

5

5

5

5

5

5

-

5