bf/NYSE:WFC_icon.png

NYSE:WFC-PL

Wells Fargo & Company

  • Stock

USD

Last Close

86.04

06/11 21:36

Market Cap

208.20B

Beta: 1.12

Volume Today

18.71M

Avg: 9.64K

PE Ratio

9.96

PFCF: 7.99

Dividend Yield

2.77%

Payout:24.02%

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
23.61B
-
23.28B
1.41%
22.05B
5.29%
22.46B
1.88%
22.88B
1.85%
20.04B
12.39%
3.59B
82.11%
23.24B
548.02%
12.88B
44.56%
19.03B
47.72%
depreciation and amortization
2.52B
-
3.29B
30.74%
4.97B
51.16%
5.41B
8.77%
5.59B
3.46%
7.08B
26.50%
8.74B
23.48%
7.89B
9.68%
6.83B
13.41%
6.27B
8.21%
deferred income tax
2.76B
-
2.05B
25.74%
3.63B
76.79%
3.41B
5.85%
2.20B
35.65%
6.39B
190.81%
18.45B
188.78%
-1.29B
107.00%
1.07B
183.20%
-50M
104.65%
stock based compensation
1.91B
-
1.96B
2.41%
1.95B
0.66%
2.05B
5.19%
2.25B
10.22%
2.27B
0.84%
1.77B
22.34%
-5.34B
402.55%
978M
118.30%
6.25B
539.06%
change in working capital
18.15B
-
35.79B
97.14%
51.49B
43.89%
32.64B
36.62%
44.52B
36.40%
22.41B
49.67%
23.62B
5.44%
33.81B
43.10%
30.07B
11.06%
5.28B
82.44%
accounts receivables
-372M
-
-623M
67.47%
inventory
7.22B
-
-10.99B
252.24%
accounts payables
119M
-
160M
34.45%
other working capital
11.19B
-
47.24B
322.35%
51.49B
9.00%
32.64B
36.62%
44.52B
36.40%
22.41B
49.67%
23.62B
5.44%
33.81B
43.10%
30.07B
11.06%
5.28B
82.44%
other non cash items
-31.42B
-
-51.59B
64.18%
-83.91B
62.65%
-47.24B
43.70%
-41.37B
12.44%
-51.45B
24.39%
-54.11B
5.16%
-69.82B
29.04%
-24.79B
64.50%
3.58B
114.43%
net cash provided by operating activities
17.53B
-
14.77B
15.73%
169M
98.86%
18.72B
10,978.11%
36.07B
92.68%
6.73B
81.34%
2.05B
69.52%
-11.53B
661.92%
27.05B
334.69%
40.36B
49.21%
investments in property plant and equipment
-91.78B
-
-73.39B
20.04%
-32.07B
56.30%
-13.81B
56.94%
-5.29B
61.71%
513M
109.70%
acquisitions net
-174M
-
-3M
98.28%
-30.58B
1,019,366.67%
-320M
98.95%
-10M
96.88%
-513M
5,030%
purchases of investments
-94.91B
-
-107.55B
13.33%
-148.89B
38.43%
-106.69B
28.34%
-66.50B
37.67%
-72.53B
9.07%
-146.98B
102.65%
-189.36B
28.83%
-49.45B
73.89%
-36.09B
27.02%
sales maturities of investments
51.67B
-
68.13B
31.84%
82.62B
21.27%
103.08B
24.76%
61.22B
40.61%
75.75B
23.74%
175.64B
131.85%
178.11B
1.41%
68.68B
61.44%
50.14B
26.99%
other investing activites
6.81B
-
5.58B
18.01%
6.80B
21.92%
4.49B
34.01%
2.82B
37.11%
-32.86B
1,263.90%
93.89B
385.76%
3.63B
96.14%
-61.71B
1,800.83%
1.99B
103.23%
net cash used for investing activites
-128.38B
-
-107.23B
16.47%
-122.12B
13.88%
-13.26B
89.15%
-7.75B
41.50%
-29.63B
282.14%
122.55B
513.60%
-7.62B
106.22%
-42.48B
457.50%
16.04B
137.77%
debt repayment
-15.83B
-
-27.33B
72.68%
-34.46B
26.08%
-80.80B
134.47%
-40.56B
49.80%
-61.00B
50.37%
-65.35B
7.13%
-47.13B
27.87%
-19.59B
58.44%
-22.89B
16.84%
common stock issued
1.84B
-
1.73B
6.20%
1.42B
18.02%
1.21B
14.42%
632M
47.81%
380M
39.87%
571M
50.26%
61.02B
10,587.04%
63.40B
-
common stock repurchased
-9.41B
-
-8.70B
7.62%
-8.12B
6.68%
-9.91B
22.08%
-22.78B
129.95%
-26.08B
14.48%
-7.02B
73.10%
-21.14B
201.25%
-6.03B
71.46%
-13.58B
125.03%
dividends paid
-8.14B
-
-8.83B
8.39%
-9.04B
2.40%
-9.11B
0.79%
-9.31B
2.25%
-9.59B
2.95%
-6.14B
35.95%
-3.63B
40.95%
-5.29B
45.93%
-5.93B
12.03%
other financing activites
142.05B
-
135.13B
4.87%
173.77B
28.59%
87.69B
49.54%
1.05B
98.80%
87.15B
8,192.29%
76.69B
12.00%
-361M
100.47%
-28.73B
7,859.00%
-509M
98.23%
net cash used provided by financing activities
110.50B
-
92.00B
16.74%
123.57B
34.31%
-10.92B
108.84%
-70.98B
549.99%
-9.14B
87.13%
-1.24B
86.39%
-11.24B
804.10%
-59.65B
430.74%
20.49B
134.36%
effect of forex changes on cash
8.09B
-
net change in cash
-348M
-
-460M
32.18%
1.62B
451.74%
-5.45B
437.02%
-42.66B
682.32%
-32.04B
24.90%
123.36B
485.06%
-30.38B
124.63%
-75.07B
147.10%
76.89B
202.43%
cash at beginning of period
19.92B
-
19.57B
1.75%
19.11B
2.35%
221.40B
1,058.50%
215.95B
2.46%
173.29B
19.75%
141.25B
18.49%
264.61B
87.34%
234.23B
11.48%
159.16B
32.05%
cash at end of period
19.57B
-
19.11B
2.35%
20.73B
8.47%
215.95B
941.76%
173.29B
19.75%
141.25B
18.49%
264.61B
87.34%
234.23B
11.48%
159.16B
32.05%
236.05B
48.31%
operating cash flow
17.53B
-
14.77B
15.73%
169M
98.86%
18.72B
10,978.11%
36.07B
92.68%
6.73B
81.34%
2.05B
69.52%
-11.53B
661.92%
27.05B
334.69%
40.36B
49.21%
capital expenditure
-91.78B
-
-73.39B
20.04%
-32.07B
56.30%
-13.81B
56.94%
-5.29B
61.71%
513M
109.70%
free cash flow
-74.25B
-
-58.62B
21.06%
-31.90B
45.58%
4.91B
115.40%
30.79B
526.60%
7.24B
76.47%
2.05B
71.68%
-11.53B
661.92%
27.05B
334.69%
40.36B
49.21%

All numbers in USD (except ratios and percentages)