Comerica incorporated (CMA)
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'09
ASSETS
Cash and due from banks

848

973

1,229

1,029

1,063

1,390

945

1,424

1,173

1,438

1,351

1,372

1,176

1,249

1,292

1,172

977

1,157

1,101

1,148

1,170

1,026

1,039

1,226

1,186

1,140

1,384

1,016

877

1,395

933

1,076

984

982

981

987

875

668

863

816

769

774

799

948

Federal funds sold

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

0

31

0

100

-

-

10

0

-

-

0

-

-

-

-

-

-

-

Federal funds sold and securities purchased under agreements to resell

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

100

-

-

-

-

650

Interest-bearing deposits with banks

4,007

4,845

2,888

2,552

2,418

3,171

4,894

4,236

5,663

4,407

4,853

4,259

7,143

5,969

6,748

2,938

2,025

4,990

6,099

4,817

4,792

5,045

6,748

2,668

4,434

5,311

5,704

2,878

4,720

3,039

3,005

3,065

2,966

2,574

4,217

2,479

3,570

1,415

3,031

3,409

3,860

4,843

2,219

3,542

Other short-term investments

138

155

146

140

136

134

136

134

133

96

92

90

92

92

92

100

94

113

107

119

101

99

112

109

105

112

106

119

115

125

146

170

180

149

137

124

154

141

115

134

165

138

142

129

Available-for-sale Securities

13,041

12,398

12,429

12,338

12,212

12,045

11,862

11,915

11,971

10,938

10,998

10,944

10,830

10,787

10,789

10,712

10,607

10,519

8,749

8,267

8,214

8,116

9,468

9,534

9,487

9,307

9,488

9,631

10,286

10,297

10,569

9,940

10,061

10,104

9,732

7,537

7,406

7,560

6,816

7,188

7,346

7,416

8,882

7,757

Debt Securities, Held-to-maturity

-

-

-

-

-

-

0

0

0

1,266

1,344

1,430

1,508

1,582

1,695

1,807

1,907

1,981

1,863

1,952

1,871

1,935

-

-

-

0

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

Commercial loans

34,249

31,473

32,890

33,326

32,007

31,976

30,889

31,530

30,909

31,060

31,062

31,449

30,215

30,994

31,152

32,360

31,562

31,659

31,777

32,723

32,091

31,520

30,759

30,986

29,774

28,815

27,897

29,186

28,508

29,513

27,460

27,016

25,640

24,996

23,113

22,052

21,360

22,145

21,432

21,151

20,756

21,690

22,546

24,922

Real estate construction loans

3,756

3,455

3,377

3,292

3,291

3,077

3,158

3,257

3,114

2,961

3,018

2,857

2,930

2,869

2,743

2,553

2,290

2,001

1,874

1,795

1,917

1,955

1,992

1,939

1,847

1,762

1,552

1,479

1,396

1,240

1,392

1,377

1,442

1,533

1,648

1,728

2,023

2,253

2,444

2,774

3,202

3,461

3,870

4,152

Commercial mortgage loans

9,698

9,559

9,234

9,217

8,989

9,106

9,019

9,124

9,272

9,159

8,985

8,974

9,021

8,931

9,013

9,038

8,982

8,977

8,787

8,674

8,558

8,604

8,603

8,747

8,801

8,787

8,785

9,007

9,317

9,472

9,559

9,830

10,079

10,264

10,539

9,579

9,697

9,767

10,180

10,318

10,358

10,457

10,380

10,400

Lease financing

584

588

578

575

535

507

471

458

464

468

475

472

550

572

648

684

731

724

751

786

792

805

805

822

849

845

829

843

853

859

837

858

872

905

927

949

958

1,009

1,053

1,084

1,120

1,139

1,197

1,234

International loans

1,035

1,009

1,055

1,024

1,040

1,013

1,090

993

964

983

1,159

1,145

1,106

1,258

1,303

1,365

1,455

1,368

1,382

1,420

1,433

1,496

1,429

1,352

1,250

1,327

1,286

1,209

1,269

1,293

1,277

1,224

1,256

1,170

1,046

1,162

1,326

1,132

1,182

1,226

1,306

1,252

1,355

1,523

Residential mortgage loans

1,821

1,845

1,906

1,924

1,949

1,970

1,947

1,954

2,003

1,988

1,999

1,976

1,944

1,942

1,874

1,856

1,874

1,870

1,880

1,865

1,859

1,831

1,797

1,775

1,751

1,697

1,650

1,611

1,568

1,527

1,495

1,469

1,485

1,526

1,643

1,491

1,550

1,619

1,586

1,606

1,631

1,651

1,679

1,759

Consumer loans

2,315

2,440

2,451

2,443

2,491

2,514

2,436

2,476

2,514

2,554

2,511

2,535

2,537

2,522

2,541

2,524

2,483

2,485

2,491

2,478

2,422

2,382

2,323

2,261

2,217

2,237

2,152

2,124

2,156

2,153

2,174

2,218

2,238

2,285

2,309

2,232

2,262

2,311

2,403

2,443

2,472

2,511

2,544

2,562

Loans and Leases Receivable, Net of Deferred Income

53,458

50,369

51,491

51,801

50,302

50,163

49,010

49,792

49,240

49,173

49,209

49,408

48,303

49,088

49,274

50,380

49,377

49,084

48,942

49,741

49,072

48,593

47,708

47,882

46,489

45,470

44,151

45,459

45,067

46,057

44,194

43,992

43,012

42,679

41,225

39,193

39,176

40,236

40,280

40,602

40,845

42,161

43,571

46,552

Less allowance for loan losses

916

637

652

657

647

671

664

677

698

712

712

705

708

730

727

729

724

634

622

618

601

594

592

591

594

598

604

613

617

629

647

667

704

726

767

806

849

901

957

967

987

985

953

880

Loans and Leases Receivable, Net Amount

52,542

49,732

50,839

51,144

49,655

49,492

48,346

49,115

48,542

48,461

48,497

48,703

47,595

48,358

48,547

49,651

48,653

48,450

48,320

49,123

48,471

47,999

47,116

47,291

45,895

44,872

43,547

44,846

44,450

45,428

43,547

43,325

42,308

41,953

40,458

38,387

38,327

39,335

39,323

39,635

39,858

41,176

42,618

45,672

Premises and equipment

454

457

467

470

474

475

472

467

468

466

467

484

488

501

528

544

541

550

541

541

531

532

524

562

583

594

604

604

618

622

625

667

670

675

685

641

637

630

639

634

637

644

657

667

Customers' liability on acceptances outstanding

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

13

24

21

11

12

7

Accrued income and other assets

5,307

4,842

4,850

4,864

4,732

4,111

4,793

4,696

4,385

4,495

4,415

4,165

4,144

4,440

4,433

4,356

4,203

4,117

4,232

3,978

4,186

4,434

3,880

3,935

3,991

3,888

3,837

3,822

3,819

4,063

4,489

4,407

5,414

4,571

4,678

3,986

4,048

3,918

4,104

4,045

4,450

4,247

4,261

4,258

Total assets

76,337

73,402

72,848

72,537

70,690

70,818

71,448

71,987

72,335

71,567

72,017

71,447

72,976

72,978

74,124

71,280

69,007

71,877

71,012

69,945

69,336

69,186

68,887

65,325

65,681

65,224

64,670

62,947

64,885

65,069

63,314

62,650

62,593

61,008

60,888

54,141

55,017

53,667

55,004

55,885

57,106

59,249

59,590

63,630

LIABILITIES AND SHAREHOLDERS' EQUITY
Noninterest-bearing Deposit Liabilities

27,646

27,382

27,134

27,001

26,242

28,690

29,301

30,316

30,961

32,071

32,391

31,210

31,892

31,540

31,776

28,559

28,025

30,839

28,697

28,167

27,394

27,224

27,490

24,774

23,955

23,875

23,896

21,870

22,777

23,279

21,753

21,330

20,741

19,764

19,116

16,344

16,357

15,538

15,763

15,769

15,290

15,871

13,888

13,558

Money market and interest-bearing checking deposits

24,475

24,527

23,992

22,195

22,889

22,560

22,449

22,544

22,355

21,500

20,869

20,952

22,177

22,556

22,436

22,539

22,872

23,532

23,948

23,786

23,727

23,954

23,523

22,555

22,485

22,332

21,697

21,677

21,540

21,273

20,407

20,008

20,502

20,311

20,237

18,033

17,888

17,622

17,288

16,062

16,009

14,450

13,556

12,352

Money market and NOW deposits

24,475

24,527

23,992

22,195

22,889

22,560

22,449

22,544

22,355

21,500

20,869

20,952

-

22,556

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

20,502

-

-

-

17,888

17,622

17,288

16,062

16,009

14,450

13,556

12,352

Savings deposits

2,258

2,184

2,156

2,162

2,175

2,172

2,192

2,227

2,233

2,152

2,147

2,158

2,138

2,064

2,052

2,022

2,006

1,898

1,853

1,841

1,817

1,752

1,753

1,731

1,742

1,673

1,645

1,677

1,652

1,606

1,589

1,629

1,586

1,524

1,771

1,462

1,457

1,397

1,363

1,407

1,462

1,342

1,331

1,348

Customer certificates of deposit

2,958

2,978

2,853

2,441

2,776

2,131

2,051

2,089

2,071

2,165

2,342

2,438

2,597

2,806

2,967

3,230

3,401

3,552

4,126

4,367

4,497

4,421

4,698

4,962

5,099

5,063

5,180

5,594

5,753

5,531

5,742

6,045

6,145

5,808

5,980

5,551

5,672

5,482

5,723

5,893

5,979

6,413

7,466

8,524

Other time deposits

0

133

647

1,726

-

0

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

0

-

-

-

45

-

-

-

-

165

814

1,047

2,801

4,593

Foreign office time deposits

29

91

27

12

9

8

13

34

15

15

70

23

59

19

30

24

47

32

144

99

135

135

117

148

469

349

491

437

395

502

486

376

332

348

303

368

499

432

494

484

412

542

572

616

Total interest-bearing deposits

29,720

29,913

29,675

28,536

27,849

26,871

26,705

26,894

26,674

25,832

25,428

25,571

26,971

27,445

27,485

27,815

28,326

29,014

30,071

30,093

30,176

30,262

30,091

29,396

29,795

29,417

29,013

29,385

29,340

28,912

28,224

28,058

28,565

27,991

28,336

25,414

25,516

24,933

24,868

24,011

24,676

23,794

25,726

27,433

Deposits

57,366

57,295

56,809

55,537

54,091

55,561

56,006

57,210

57,635

57,903

57,819

56,781

58,863

58,985

59,261

56,374

56,351

59,853

58,768

58,260

57,570

57,486

57,581

54,170

53,750

53,292

52,909

51,255

52,117

52,191

49,977

49,388

49,306

47,755

47,452

41,758

41,873

40,471

40,631

39,780

39,966

39,665

39,614

40,991

Short-term borrowings

2,263

71

51

1,733

935

44

84

58

48

10

509

541

41

25

12

12

514

23

109

56

80

116

202

176

160

253

226

131

58

110

63

83

82

70

164

67

61

130

179

200

489

462

425

490

Acceptances outstanding

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

13

24

21

11

12

7

Accrued expenses and other liabilities

1,872

1,440

1,477

1,386

1,407

1,243

1,154

1,057

1,058

1,069

1,018

997

989

1,012

1,234

1,279

1,389

1,383

1,413

1,265

1,500

1,507

1,002

990

954

986

1,001

1,049

1,023

1,106

1,450

1,409

1,301

1,371

1,312

1,072

1,090

1,135

1,085

1,048

1,047

1,022

1,252

1,478

Long-term Debt

7,434

7,269

7,311

6,558

6,848

6,463

6,418

5,583

5,594

4,622

4,637

5,143

5,153

5,160

5,890

5,921

3,109

3,058

3,100

2,841

2,686

2,675

2,669

2,620

3,534

3,543

3,565

3,601

4,699

4,720

4,740

4,742

4,919

4,944

5,009

5,206

6,116

6,138

7,239

9,041

9,915

11,060

11,252

13,571

Total liabilities

68,935

66,075

65,648

65,214

63,281

63,311

63,662

63,908

64,335

63,604

63,983

63,462

65,046

65,182

66,397

63,586

61,363

64,317

63,390

62,422

61,836

61,784

61,454

57,956

58,398

58,074

57,701

56,036

57,897

58,127

56,230

55,622

55,608

54,140

53,937

48,103

49,140

47,874

49,147

50,093

51,438

52,220

52,555

56,537

Fixed rate cumulative perpetual preferred stock, series F, no par value, $1,000 liquidation value per share: Authorized - 2,250,000 shares at 12/31/09, Issued - 2,250,000 shares at 12/31/09

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

2,151

2,145

2,140

Common stock - $5 par value: Authorized - 325,000,000 shares; Issued - 228,164,824 shares

1,141

1,141

1,141

1,141

1,141

1,141

1,141

1,141

1,141

1,141

1,141

1,141

1,141

1,141

1,141

1,141

1,141

1,141

1,141

1,141

1,141

1,141

1,141

1,141

1,141

1,141

1,141

1,141

1,141

1,141

1,141

1,141

1,141

1,141

1,141

1,019

1,019

1,019

1,019

1,019

1,019

894

894

894

Capital surplus

2,168

2,174

2,172

2,168

2,159

2,148

2,144

2,144

2,134

2,122

2,112

2,110

2,106

2,135

2,174

2,165

2,158

2,173

2,165

2,158

2,188

2,188

2,183

2,175

2,182

2,179

2,171

2,160

2,157

2,162

2,153

2,144

2,154

2,170

2,162

1,472

1,464

1,481

1,473

1,467

1,468

740

738

731

Accumulated Other Comprehensive Income (Loss), Net of Tax

174

-235

-336

-382

-513

-609

-611

-589

-553

-451

-359

-361

-379

-383

-292

-295

-328

-429

-345

-396

-370

-412

-317

-304

-325

-391

-541

-538

-410

-413

-253

-301

-326

-356

-230

-308

-382

-389

-238

-240

-303

-336

-361

-342

Retained earnings

9,389

9,538

9,369

9,176

8,979

8,781

8,587

8,374

8,110

7,887

7,746

7,580

7,431

7,331

7,262

7,157

7,097

7,084

7,007

6,908

6,841

6,744

6,631

6,520

6,414

6,318

6,239

6,127

6,020

5,931

5,831

5,744

5,630

5,546

5,471

5,395

5,317

5,247

5,171

5,124

5,064

5,161

5,205

5,257

Less cost of common stock in treasury - 89,127,359 shares at 3/31/20 and 86,069,234 shares at 12/31/19

5,470

5,291

5,146

4,780

4,357

3,954

3,475

2,991

2,832

2,736

2,606

2,485

2,369

2,428

2,558

2,474

2,424

2,409

2,346

2,288

2,300

2,259

2,205

2,163

2,129

2,097

2,041

1,979

1,920

1,879

1,788

1,700

1,614

1,633

1,593

1,540

1,541

1,565

1,568

1,578

1,580

1,581

1,586

1,587

Stockholders' Equity, Including Portion Attributable to Noncontrolling Interest

7,402

7,327

7,200

7,323

7,409

7,507

7,786

8,079

8,000

7,963

8,034

7,985

7,930

7,796

7,727

7,694

7,644

7,560

7,622

7,523

7,500

7,402

7,433

7,369

7,283

7,150

6,969

6,911

6,988

6,942

7,084

7,028

6,985

6,868

6,951

6,038

5,877

5,793

5,857

5,792

5,668

7,029

7,035

7,093

Total liabilities and shareholders' equity

76,337

73,402

72,848

72,537

70,690

70,818

71,448

71,987

72,335

71,567

72,017

71,447

72,976

72,978

74,124

71,280

69,007

71,877

71,012

69,945

69,336

69,186

68,887

65,325

65,681

65,224

64,670

62,947

64,885

65,069

63,314

62,650

62,593

61,008

60,888

54,141

55,017

53,667

55,004

55,885

57,106

59,249

59,590

63,630