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Fifth Third Bank FITB Cash Flow Statement

Q1 '26Q4 '25Q3 '25Q2 '25Q1 '25
$165M-68.0%$731M+17.9%$649M+13.3%$628M+4.5%$515M-1.0%
$199M+47.4%$142M+14.5%$139M+13.0%$138M+15.0%$135M+5.5%
$145M+98.6%$28M-9.7%$27M-18.2%$35M-2.8%$73M+14.1%
$13M+160%$97M+51.6%$56M+460%-$18M-155%$5M+114%
-$620M-15.0%-$1M-101%-$83M-152%-$539M-349%
-$1.11B-190%$929M$1.05B-43.8%$1.31B+92.3%$1.23B+219%
$146M+24.8%$164M+13.1%$160M+41.6%$143M+57.1%$117M+80.0%
$740M$0
$6.33B+344%$1.95B-14.5%$2.14B+29.9%$2.62B+45.7%$1.43B+2.1%
$4M0.0%$4M+33.3%$2M-33.3%$7M+133%$4M+100%
$5.41B+8,181%-$857M-175%-$3.36B-191%$2.44B+90.8%-$67M+70.7%
$308M+3.7%$297M+2.8%$285M-10.9%$284M+1.4%$297M+3.5%
$0-100%$300M+50.0%$225M
$2.09B+110%$17M+467%$38M-94.9%$30M-97.0%$998M-33.2%
$2.43B+181%$104M-96.0%$898M+591%$113M-20.4%$867M-63.9%
-$3.72B-218%-$3.79B-97.3%-$1.17B-133%
$585M+11,800%$598M+398%-$71M-119%-$37M-$5M+98.6%
$12M+20.0%$10M-16.7%$9M-25.0%$12M+9.1%$10M+11.1%
-$9M-80.0%$0$15M-11.8%$18M+500%-$5M-142%
$9M-30.8%$20M+400%$17M-15.0%$22M+214%$13M+333%
$566M+175%-$84M-$755M-385%
$196M+165%$22M$2M$17M-81.1%$74M+429%
$38M-24.0%$30M$39M-56.7%$50M+66.7%$50M+725%
$1.81B+98.7%$1.56B+27.6%$1.39B+4.5%$1.34B+29.9%$912M+27.7%
$1.29B+22.9%$1.49B+26.7%$1.45B+7.7%$1.19B+47.8%$1.05B+41.4%
$0-100%$0-100%$0-100%$0-100%
$388M+107%$187M
$3.46B+33.5%$0-100%$1.14B+168%$475M+70.3%$2.59B+593%
-$12.66B-488%$1.66B+136%$4.17B-$1.92B-9.5%-$2.16B-384%
$1.79B$0
$21M+75.0%$5M-44.4%$7M+16.7%$14M+75.0%$12M+9.1%
$1.57B+71.4%$2.43B+33.1%$1.9B+37.7%$2.25B+64.4%$913M-26.3%
$1.97B+106%$236M-30.4%$2.36B+1,434%$1.41B+524%$956M+1,394%
$90M+13.9%$102M-10.5%$66M-44.5%$94M+44.6%$79M-34.7%
-$3.39B-93.9%$5.25B+583%$2.36B-$1.3B+54.0%-$1.75B-359%
$87.5M$87.5M$87.5M$87.5M
-$76M-35.7%-$7M-16.7%-$6M+14.3%-$5M+50.0%-$56M-33.3%
-$60M-361%$67M+112%-$14M+97.1%$23M-58.9%
$750M-25.0%$0-100%$2.2B$1.5B+200%$1B
$300M$4.4B$500M-66.7%$3.6B$0
-$1.25B-212%$765M$886M-49.3%$1.16B+97.8%$1.12B+248%
-$1.25B-212%$765M$886M-49.3%$1.16B+97.8%$1.12B+248%

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Questions, answered.

How much cash does Fifth Third Bank generate?
Fifth Third Bank (FITB) generated $2.2B in operating cash flow over the trailing twelve months.
What is Fifth Third Bank's free cash flow?
After $613.0M of capital expenditures, Fifth Third Bank's free cash flow was $1.6B over the trailing twelve months, down 58.6% year over year.
Where does Fifth Third Bank's cash flow data come from?
Every line is extracted from Fifth Third Bank's SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.