Balance Sheet for CIT Group Inc (DEL) (CIT)

$ 35.68   1.27 (+3.69%) Volume: 962.6k 4:00 PM EST 2-Dec-2020
After Hours:  $ 35.97   0.29 (+0.81%) Volume: 12.63k 6:52 PM EST 2-Dec-2020
Statement: View:
Assets [+] in Millions of Dollars
12/2019 12/2018 12/2017 12/2016 12/2015
Cash and Due from Banks 2,686 1,796 1,719 3,958 6,956
Restrictable Cash - - - - -
Fed Funds Sold/Securities Purchased 950 400 150 - -
Interest-Bearing Dep at Other Banks - - - 2,473 696
Investment Securities, Net 6,642 6,548 6,718 4,711 3,128
Loans 1,783 1,672 1,638 1,780 1,442
Unearned Premiums - - - - -
Allowances for Loan and Lease Loss 483 490 431 433 347
Net Loans 30,516 30,306 28,683 29,103 30,172
Premise and Equipment 7,675 7,131 6,913 7,677 7,048
Due from Customers Acceptance - - - - -
Trading Account Securities - - - - -
Other Receivables 182 194 446 639 1,906
Accrued Interest - - - - -
Deferred Acquisition Cost - - - - -
Accrued Investment Income - - - - -
Separate Account Business Liability - - - - -
Time Deposit Placed - - - - -
Intangible Assets 436 459 483 826 1,229
Other Assets 480 432 614 926 874
Total Assets 50,833 48,537 49,279 64,170 67,392
Liabilities [+] in Millions of Dollars
12/2019 12/2018 12/2017 12/2016 12/2015
Non-Interest Bearing Deposits 1,593 1,686 1,352 1,256 863
Interesting Bearing Deposits 33,546 29,554 28,217 31,049 32,006
Short Term Debt - - - - -
Other Liabilities 1,781 2,096 1,942 2,108 1,765
Bankers Acceptance Outstanding - - - - -
Fed. Funds Purchased/Securities Sold - - - - -
Accrued Taxes 167 107 204 251 215
Accrued Interest Payables 260 199 291 432 416
Other Payables 658 653 671 762 811
Capital Lease Obligations - - - - -
Claims and Claim Expense - - - - -
Future Policy Benefits - - - - -
Unearned Premiums - - - - -
Policy Holder Funds - - - - -
Participating Policyholder Equity - - - - -
Separate Accounts Business - - - - -
Minority Interest - - - 0 0
Long Term Debt 6,716 8,119 8,974 14,936 16,350
Total Liabilities - - - - -
Preferred Shareholder's Equity 525 325 325 - -
Common Shareholder's Equity 5,814 5,622 6,995 10,003 10,945
Common Par 2 2 2 2 2
Additional Paid in Capital 6,854 6,811 8,798 8,766 8,718
Cumulative Translation Adjustments - - - - -
Retained Earnings 2,308 1,924 1,906 1,553 2,524
Treasury Stock 3,297 2,937 3,625 178 157
Other Equity Adjustments (52) (178) (86) (140) (142)
Foreign Currency Adjustments - - - - -
Net Unrealized Loss/Gain on Investments - - - - -
Net Unrealized Loss/Gain on Foreign Currency - - - - -
Net Other Unearned Losses/Gains - - - - -
Total Equities 6,339 5,947 7,320 10,003 10,945
Shares Outstanding - Common Class Only 95 101 131 202 201
Total Preferred Shares Outstanding 8 - - - -
Total Ordinary Shares 95 101 131 202 201
Treasury Shares 67 60 76 4 3
Basic Weighted Shares Outstanding 97 118 162 202 186
Diluted Weighted Shares Outstanding 97 119 164 202 186