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Call reports 2025

JPMORGAN CHASE BANK, NATIONAL ASSOCIATION — 2025

What JPMORGAN CHASE BANK, NATIONAL ASSOCIATION reported to the FFIEC in 2025, quarter by quarter.

PERIOD: 2025SOURCE: FFIEC Call ReportEvery measure source-linked

Cite: FACTANKER, https://factanker.com/entity/1f36e533-f2f9-435f-980f-b6640f3f9ede/2025

Balance sheet

What the bank holds and owes at quarter end

Measure2025Q12025Q22025Q32025Q4
Total assets3,643,099,000,0003,788,551,000,0003,813,431,000,0003,752,662,000,000
Total loans1,367,948,000,0001,427,591,000,0001,458,735,000,0001,497,490,000,000
Allowance for loan losses25,153,000,00024,909,000,00025,663,000,00025,539,000,000
Securities available for sale399,337,000,000485,353,000,000490,473,000,000507,176,000,000
Securities held to maturity265,167,000,000260,632,000,000293,516,000,000270,199,000,000
Trading assets521,502,000,000528,540,000,000590,323,000,000475,678,000,000
Total deposits2,097,135,000,0002,132,981,000,0002,116,593,000,0002,167,793,000,000
Interest-bearing deposits1,513,427,000,0001,539,663,000,0001,525,069,000,0001,581,165,000,000
Noninterest-bearing deposits583,708,000,000593,318,000,000591,524,000,000586,628,000,000
Equity capital316,613,000,000322,777,000,000331,953,000,000335,936,000,000

Income

Cumulative from the start of the year, as filed — Q1 covers January to March, Q2 January to June, Q4 the full year

Measure2025Q12025Q22025Q32025Q4
Interest income40,624,000,00081,910,000,000124,421,000,000166,696,000,000
Interest expense16,656,000,00034,047,000,00051,821,000,00068,850,000,000
Net interest income23,968,000,00047,863,000,00072,600,000,00097,846,000,000
Noninterest income16,626,000,00033,627,000,00050,308,000,00066,240,000,000
Noninterest expense21,128,000,00042,809,000,00064,642,000,00086,128,000,000
Provision for loan losses3,166,000,0005,303,000,0008,663,000,00011,045,000,000
Pretax income16,169,000,00032,497,000,00048,798,000,00063,932,000,000
Income tax3,464,000,0006,688,000,00010,571,000,00014,287,000,000
Net income12,708,000,00025,810,000,00038,227,000,00049,644,000,000

Regulatory capital

Basel measures — not reported for every quarter

Measure2025Q12025Q22025Q32025Q4
Tier 1 capital277,699,000,000282,311,000,000291,292,000,000294,807,000,000
Total capital298,442,000,000303,779,000,000313,284,000,000317,684,000,000
Risk-weighted assets1,763,680,245,0001,812,986,515,0001,856,466,050,0001,928,038,470,000