Investing

Paydowns and maturities of HTM securities

Citigroup Paydowns and maturities of HTM securities increased by 61.3% to $11.93B in Q1 2026 compared to the prior quarter. Year-over-year, this metric declined by 55.7%, from $26.94B to $11.93B. Over 2 years (FY 2023 to FY 2025), Paydowns and maturities of HTM securities shows an upward trend with a 112.3% CAGR.

Analysis

StatementCash Flow Statement
SectionInvesting
CategoryLiquidity
SignalContext dependent
VolatilityStable
First reportedQ1 2021
Last reportedQ1 2026May 7, 2026

How to read this metric

Higher inflows indicate a maturing portfolio, providing cash for reinvestment, whereas lower inflows suggest a longer-duration portfolio profile.

Detailed definition

This metric tracks the cash inflows resulting from the scheduled repayment of principal or the maturity of debt securiti...

Peer comparison

Standard for banks and insurance companies with significant bond portfolios.

Metric ID: wfc_htm_paydowns_and_maturities

Historical Data

18 periods
 Q2 '21Q3 '21Q1 '22Q2 '22Q3 '22Q1 '23Q2 '23Q3 '23Q4 '23Q1 '24Q2 '24Q3 '24Q4 '24Q1 '25Q2 '25Q3 '25Q4 '25Q1 '26
Value$7.21B$4.66B$2.78B$3.05B$4.09B$1.98B$2.39B$2.59B$5.88B$4.61B$5.63B$7.09B$10.39B$26.94B$14.39B$9.13B$7.39B$11.93B
QoQ Change-35.4%-40.4%+9.8%+34.3%-51.7%+21.0%+8.1%+127.5%-21.6%+22.1%+25.9%+46.5%+159.3%-46.6%-36.5%-19.1%+61.3%
YoY Change-57.7%-12.1%-28.8%-21.5%-36.8%+133.3%+135.5%+174.3%+76.6%+484.0%+155.5%+28.8%-28.8%-55.7%
Range$1.98B$26.94B
CAGR+12.6%
Avg YoY Growth+67.6%
Median YoY Growth+8.3%

Frequently Asked Questions

What is Citigroup's paydowns and maturities of htm securities?
Citigroup (C) reported paydowns and maturities of htm securities of $11.93B in Q1 2026.
How has Citigroup's paydowns and maturities of htm securities changed year-over-year?
Citigroup's paydowns and maturities of htm securities decreased by 55.7% year-over-year, from $26.94B to $11.93B.
What is the long-term trend for Citigroup's paydowns and maturities of htm securities?
Over 2 years (2023 to 2025), Citigroup's paydowns and maturities of htm securities has grown at a 112.3% compound annual growth rate (CAGR), from $12.84B to $57.86B.
What does paydowns and maturities of htm securities mean?
Cash collected from the principal repayment of debt securities held until they mature.