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Financial Statements for jpmorgan chase & co (JPM)

Currency in
Millions of US Dollars
As of:Dec 31
2010
Reclassified
Dec 31
2011
Reclassified
Dec 31
2012
Reclassified
Dec 31
2013
4 Year
Trend
NET INCOME17,370.018,976.021,284.017,923.0
Depreciation & Amortization4,029.04,257.04,190.04,669.0
Amortization of Goodwill and Intangible Assets936.0848.0957.0637.0
DEPRECIATION & AMORTIZATION, TOTAL4,965.05,105.05,147.05,306.0
(Gain) Loss on Sale of Investment-2,965.0-1,593.0-2,110.0-667.0
Other Operating Activities5,266.07,850.0-2,483.05,966.0
Change in Trading Asset Securities-72,082.036,443.0-5,379.089,110.0
Net (Inc.) Dec. in Loans Originated/Sold3,070.01,531.0-824.0-2,362.0
Provision for Credit Losses16,639.07,574.03,385.0225.0
Change in Accounts Receivable443.08,655.01,732.0-2,340.0
Change in Accounts Payable17,325.035,203.0-13,069.0-5,743.0
Change in Other Working Capital2,966.0-26,487.014,851.0-1,684.0
CASH FROM OPERATIONS-3,752.095,932.025,079.0107,953.0
Cash Acquisitions-4,910.0-----149.0
Divestitures--102.088.0--
Investments in Marketable & Equity Securities73,485.0-110,414.0-31,631.0-185,711.0
Net (Increase) Decrease in Loans Originated/Sold3,070.01,531.0-824.0-2,362.0
CASH FROM INVESTING54,002.0-170,752.0-119,825.0-150,501.0
Short-Term Debt Issued15,202.07,230.09,315.02,784.0
Long-Term Debt Issued57,607.056,009.0113,162.083,546.0
TOTAL DEBT ISSUED72,809.063,239.0122,477.086,330.0
Short Term Debt Repaid-6,869.0------
Long Term Debt Repaid-99,043.0-145,194.0-96,473.0-129,797.0
TOTAL DEBT REPAID-105,912.0-145,194.0-96,473.0-129,797.0
Repurchase of Common Stock-2,999.0-8,863.0-1,653.0-4,789.0
Common and/or Preferred Dividends Paid-1,486.0-3,895.0-5,194.0-6,056.0
TOTAL DIVIDEND PAID-1,486.0-3,895.0-5,194.0-6,056.0
Other Financing Activities-1,640.0-1,001.066.0-913.0
CASH FROM FINANCING-49,217.0107,706.087,707.028,324.0
Foreign Exchange Rate Adjustments328.0-851.01,160.0272.0
NET CHANGE IN CASH1,361.032,035.0-5,879.0-13,952.0
 

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Industry Analysis

JPM

Industry Average

Valuation JPM Industry Range
Price/Earnings 11.5x
Price/Sales 2.5x
Price/Book 1.1x
Price/Cash Flow 10.5x
TEV/Sales NM Not Meaningful
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