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RJF Raymond James Financial

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  • 122.520
  • -0.030-0.02%
Close Apr 15 16:00 ET
25.61BMarket Cap15.33P/E (TTM)

Raymond James Financial Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Dec 31, 2023
(FY)Sep 30, 2023
(Q4)Sep 30, 2023
(Q3)Jun 30, 2023
(Q2)Mar 31, 2023
(Q1)Dec 31, 2022
(FY)Sep 30, 2022
(Q4)Sep 30, 2022
(Q3)Jun 30, 2022
(Q2)Mar 31, 2022
Assets
Cash cash equivalents and federal funds sold
23.41%13.94B
-14.40%12.55B
-14.40%12.55B
-46.52%12.21B
-48.25%13.36B
-53.05%11.29B
-20.97%14.66B
-20.97%14.66B
47.33%22.84B
63.93%25.82B
-Cash and cash equivalents
65.23%10.21B
50.74%9.31B
50.74%9.31B
40.57%8.38B
51.58%8.66B
-24.82%6.18B
-14.21%6.18B
-14.21%6.18B
-0.40%5.96B
-2.32%5.72B
-Money market investments
----
----
----
----
----
----
----
----
-1.25%631M
154.91%571M
-Restricted cash and investments
-27.07%3.73B
-61.86%3.24B
-61.86%3.24B
-76.38%3.84B
-75.95%4.7B
-66.97%5.12B
-25.26%8.48B
-25.26%8.48B
82.97%16.25B
101.89%19.53B
Receivables
1.77%3.96B
-9.14%4.13B
-9.14%4.13B
-4.97%3.98B
-5.64%4.29B
3.56%3.89B
18.77%4.55B
18.77%4.55B
9.33%4.18B
29.03%4.54B
-Accounts receivable
-9.81%2.38B
-13.94%2.53B
-13.94%2.53B
-19.97%2.36B
-18.74%2.58B
-2.94%2.64B
3.64%2.93B
3.64%2.93B
--2.95B
26.10%3.17B
-Other receivables
26.20%1.58B
-0.43%1.61B
-0.43%1.61B
31.06%1.61B
24.62%1.71B
20.62%1.25B
61.66%1.62B
61.66%1.62B
-67.86%1.23B
36.35%1.37B
Prepaid assets
38.17%257M
20.81%209M
20.81%209M
30.41%223M
69.39%249M
38.81%186M
36.22%173M
36.22%173M
--171M
--147M
Net loan
0.39%45.37B
1.17%44.91B
1.17%44.91B
3.49%44.47B
54.41%44.79B
65.89%45.19B
70.40%44.39B
70.40%44.39B
72.30%42.97B
21.54%29.01B
-Gross loan
0.55%45.85B
1.34%45.39B
1.34%45.39B
3.64%44.92B
54.10%45.21B
65.51%45.6B
69.83%44.79B
69.83%44.79B
71.60%43.35B
21.16%29.34B
-Allowance for loans and lease losses
17.40%479M
19.70%474M
19.70%474M
20.95%456M
26.52%415M
32.47%408M
23.75%396M
23.75%396M
17.08%377M
-4.93%328M
Securities and investments
-14.61%9.57B
-5.78%9.58B
-5.78%9.58B
-2.29%11.03B
14.30%11.08B
16.34%11.2B
9.58%10.17B
9.58%10.17B
21.86%11.29B
6.62%9.7B
-Trading securities
-92.45%84M
52.44%125M
52.44%125M
152.40%1.16B
109.05%993M
200.54%1.11B
-86.56%82M
-86.56%82M
-6.15%458M
-16.23%475M
-Available for sale securities
2.36%303M
7.55%299M
7.55%299M
-16.16%306M
-21.87%318M
-58.37%296M
-22.13%278M
-22.13%278M
-37.39%365M
10.00%407M
-Short term investments
-6.28%9.18B
-6.65%9.16B
-6.65%9.16B
-8.58%9.57B
10.87%9.77B
14.58%9.79B
17.99%9.81B
17.99%9.81B
27.75%10.46B
8.05%8.82B
Federal home loan bank stock
32.56%114M
29.55%114M
29.55%114M
-9.57%85M
70.83%123M
19.44%86M
22.22%88M
22.22%88M
--94M
--72M
Derivative assets
82.24%195M
40.96%265M
40.96%265M
50.66%229M
-50.27%91M
-50.00%107M
-26.27%188M
-26.27%188M
-47.77%152M
-39.80%183M
Bank owned life insurance
19.92%1.23B
17.58%1.11B
17.58%1.11B
17.53%1.13B
10.69%1.08B
1.09%1.02B
-0.84%944M
-0.84%944M
--964M
--973M
Net PPE
16.70%1.13B
14.04%1.12B
14.04%1.12B
7.93%1.06B
6.10%991M
4.30%970M
4.02%983M
4.02%983M
78.08%983M
72.01%934M
-Gross PPE
16.70%1.13B
13.05%2.19B
13.05%2.19B
7.93%1.06B
6.10%991M
4.30%970M
7.73%1.94B
7.73%1.94B
--983M
--934M
-Accumulated depreciation
----
-12.04%-1.07B
-12.04%-1.07B
----
----
----
-11.83%-955M
-11.83%-955M
----
----
Goodwill and other intangible assets
-1.55%1.91B
-1.24%1.91B
-1.24%1.91B
6.52%1.93B
74.05%1.93B
121.74%1.94B
118.93%1.93B
118.93%1.93B
109.98%1.81B
27.88%1.11B
-Goodwill
----
1.05%1.44B
1.05%1.44B
----
----
----
115.45%1.42B
115.45%1.42B
109.58%1.34B
28.62%818M
-Other intangible assets
----
-7.66%470M
-7.66%470M
----
----
----
129.28%509M
129.28%509M
111.11%475M
25.86%292M
Other assets
210.53%1.83B
-22.10%1.75B
-22.10%1.75B
278.21%677M
200.97%623M
146.44%589M
250.08%2.24B
250.08%2.24B
-89.07%179M
-87.19%207M
Total assets
4.00%80.13B
-3.20%78.36B
-3.20%78.36B
-9.85%77.63B
8.32%79.18B
12.54%77.05B
30.80%80.95B
30.80%80.95B
50.65%86.11B
30.38%73.1B
Liabilities
Total deposits
6.57%55.39B
5.53%54.2B
5.53%54.2B
7.78%53.77B
56.35%54.23B
52.47%51.98B
58.05%51.36B
58.05%51.36B
64.43%49.89B
18.56%34.69B
Federal funds purchased and securities sold under agreement to repurchase
165.98%516M
-27.68%337M
-27.68%337M
-58.58%181M
-23.06%327M
-27.61%194M
68.23%466M
68.23%466M
53.33%437M
91.44%425M
Payables
-18.33%7.7B
-44.17%7.38B
-44.17%7.38B
-62.62%7.76B
-65.47%8.45B
-54.49%9.43B
-15.79%13.21B
-15.79%13.21B
52.18%20.76B
73.68%24.46B
-Accounts payable
-25.04%5.79B
-52.41%5.45B
-52.41%5.45B
-68.33%6.04B
-69.83%6.85B
-59.75%7.73B
-18.19%11.45B
-18.19%11.45B
60.90%19.06B
81.94%22.7B
-Other payable
12.10%1.91B
9.22%1.93B
9.22%1.93B
1.11%1.73B
-9.36%1.6B
11.75%1.7B
3.94%1.77B
3.94%1.77B
-5.16%1.71B
9.58%1.76B
Trading liabilities
14.74%794M
-14.35%716M
-14.35%716M
386.08%768M
281.72%710M
304.68%692M
375.00%836M
375.00%836M
-38.76%158M
-12.26%186M
Long term debt and capital lease obligation
-1.57%3.14B
-5.71%3.14B
-5.71%3.14B
-7.43%3.14B
27.48%3.69B
10.20%3.19B
14.99%3.33B
14.99%3.33B
17.09%3.39B
-0.45%2.89B
-Long term debt
-1.57%3.14B
-5.71%3.14B
-5.71%3.14B
-7.43%3.14B
27.48%3.69B
10.20%3.19B
14.99%3.33B
14.99%3.33B
17.09%3.39B
-0.45%2.89B
Employee benefits
16.78%1.5B
7.11%1.91B
7.11%1.91B
5.99%1.7B
-7.12%1.46B
-10.29%1.28B
-2.08%1.79B
-2.08%1.79B
3.02%1.6B
14.65%1.57B
Derivative product liabilities
-31.42%310M
-7.55%490M
-7.55%490M
3.69%393M
29.52%351M
94.83%452M
132.46%530M
132.46%530M
44.11%379M
-16.36%271M
Total liabilities
3.17%69.35B
-4.68%68.17B
-4.68%68.17B
-11.63%67.71B
7.32%69.21B
12.39%67.22B
33.46%71.52B
33.46%71.52B
55.59%76.62B
33.17%64.49B
Shareholders'equity
Share capital
-33.61%81M
-33.61%81M
-33.61%81M
-33.61%81M
6,000.00%122M
6,000.00%122M
6,000.00%122M
6,000.00%122M
6,000.00%122M
0.00%2M
-common stock
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
-Preferred stock
-34.17%79M
-34.17%79M
-34.17%79M
-34.17%79M
--120M
--120M
--120M
--120M
--120M
--0
Paid-in capital
6.15%3.16B
5.22%3.14B
5.22%3.14B
5.12%3.1B
45.01%3.04B
44.77%2.98B
43.06%2.99B
43.06%2.99B
43.11%2.95B
3.21%2.09B
Retained earnings
14.64%10.61B
15.49%10.21B
15.49%10.21B
16.42%9.87B
16.16%9.59B
15.63%9.25B
15.85%8.84B
15.85%8.84B
16.83%8.48B
17.88%8.26B
Less: Treasury stock
47.44%2.37B
48.94%2.25B
48.94%2.25B
55.04%2.26B
43.68%1.95B
16.82%1.6B
5.22%1.51B
5.22%1.51B
0.76%1.46B
-3.13%1.36B
Gains losses not affecting retained earnings
22.22%-693M
1.12%-971M
1.12%-971M
-46.18%-842M
-105.14%-798M
-924.14%-891M
-2,295.12%-982M
-2,295.12%-982M
-5,660.00%-576M
-923.68%-389M
Total stockholders'equity
9.48%10.79B
7.99%10.21B
7.99%10.21B
4.56%9.95B
16.19%10B
14.60%9.86B
14.71%9.46B
14.71%9.46B
21.01%9.52B
13.30%8.6B
Non controlling interests
65.38%-9M
-3.85%-27M
-3.85%-27M
-17.39%-27M
-471.43%-26M
-150.00%-26M
-144.83%-26M
-144.83%-26M
-141.82%-23M
-84.44%7M
Total equity
9.67%10.78B
8.00%10.19B
8.00%10.19B
4.53%9.92B
15.80%9.97B
13.62%9.83B
13.60%9.43B
13.60%9.43B
19.88%9.49B
12.73%8.61B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Dec 31, 2023(FY)Sep 30, 2023(Q4)Sep 30, 2023(Q3)Jun 30, 2023(Q2)Mar 31, 2023(Q1)Dec 31, 2022(FY)Sep 30, 2022(Q4)Sep 30, 2022(Q3)Jun 30, 2022(Q2)Mar 31, 2022
Assets
Cash cash equivalents and federal funds sold 23.41%13.94B-14.40%12.55B-14.40%12.55B-46.52%12.21B-48.25%13.36B-53.05%11.29B-20.97%14.66B-20.97%14.66B47.33%22.84B63.93%25.82B
-Cash and cash equivalents 65.23%10.21B50.74%9.31B50.74%9.31B40.57%8.38B51.58%8.66B-24.82%6.18B-14.21%6.18B-14.21%6.18B-0.40%5.96B-2.32%5.72B
-Money market investments ---------------------------------1.25%631M154.91%571M
-Restricted cash and investments -27.07%3.73B-61.86%3.24B-61.86%3.24B-76.38%3.84B-75.95%4.7B-66.97%5.12B-25.26%8.48B-25.26%8.48B82.97%16.25B101.89%19.53B
Receivables 1.77%3.96B-9.14%4.13B-9.14%4.13B-4.97%3.98B-5.64%4.29B3.56%3.89B18.77%4.55B18.77%4.55B9.33%4.18B29.03%4.54B
-Accounts receivable -9.81%2.38B-13.94%2.53B-13.94%2.53B-19.97%2.36B-18.74%2.58B-2.94%2.64B3.64%2.93B3.64%2.93B--2.95B26.10%3.17B
-Other receivables 26.20%1.58B-0.43%1.61B-0.43%1.61B31.06%1.61B24.62%1.71B20.62%1.25B61.66%1.62B61.66%1.62B-67.86%1.23B36.35%1.37B
Prepaid assets 38.17%257M20.81%209M20.81%209M30.41%223M69.39%249M38.81%186M36.22%173M36.22%173M--171M--147M
Net loan 0.39%45.37B1.17%44.91B1.17%44.91B3.49%44.47B54.41%44.79B65.89%45.19B70.40%44.39B70.40%44.39B72.30%42.97B21.54%29.01B
-Gross loan 0.55%45.85B1.34%45.39B1.34%45.39B3.64%44.92B54.10%45.21B65.51%45.6B69.83%44.79B69.83%44.79B71.60%43.35B21.16%29.34B
-Allowance for loans and lease losses 17.40%479M19.70%474M19.70%474M20.95%456M26.52%415M32.47%408M23.75%396M23.75%396M17.08%377M-4.93%328M
Securities and investments -14.61%9.57B-5.78%9.58B-5.78%9.58B-2.29%11.03B14.30%11.08B16.34%11.2B9.58%10.17B9.58%10.17B21.86%11.29B6.62%9.7B
-Trading securities -92.45%84M52.44%125M52.44%125M152.40%1.16B109.05%993M200.54%1.11B-86.56%82M-86.56%82M-6.15%458M-16.23%475M
-Available for sale securities 2.36%303M7.55%299M7.55%299M-16.16%306M-21.87%318M-58.37%296M-22.13%278M-22.13%278M-37.39%365M10.00%407M
-Short term investments -6.28%9.18B-6.65%9.16B-6.65%9.16B-8.58%9.57B10.87%9.77B14.58%9.79B17.99%9.81B17.99%9.81B27.75%10.46B8.05%8.82B
Federal home loan bank stock 32.56%114M29.55%114M29.55%114M-9.57%85M70.83%123M19.44%86M22.22%88M22.22%88M--94M--72M
Derivative assets 82.24%195M40.96%265M40.96%265M50.66%229M-50.27%91M-50.00%107M-26.27%188M-26.27%188M-47.77%152M-39.80%183M
Bank owned life insurance 19.92%1.23B17.58%1.11B17.58%1.11B17.53%1.13B10.69%1.08B1.09%1.02B-0.84%944M-0.84%944M--964M--973M
Net PPE 16.70%1.13B14.04%1.12B14.04%1.12B7.93%1.06B6.10%991M4.30%970M4.02%983M4.02%983M78.08%983M72.01%934M
-Gross PPE 16.70%1.13B13.05%2.19B13.05%2.19B7.93%1.06B6.10%991M4.30%970M7.73%1.94B7.73%1.94B--983M--934M
-Accumulated depreciation -----12.04%-1.07B-12.04%-1.07B-------------11.83%-955M-11.83%-955M--------
Goodwill and other intangible assets -1.55%1.91B-1.24%1.91B-1.24%1.91B6.52%1.93B74.05%1.93B121.74%1.94B118.93%1.93B118.93%1.93B109.98%1.81B27.88%1.11B
-Goodwill ----1.05%1.44B1.05%1.44B------------115.45%1.42B115.45%1.42B109.58%1.34B28.62%818M
-Other intangible assets -----7.66%470M-7.66%470M------------129.28%509M129.28%509M111.11%475M25.86%292M
Other assets 210.53%1.83B-22.10%1.75B-22.10%1.75B278.21%677M200.97%623M146.44%589M250.08%2.24B250.08%2.24B-89.07%179M-87.19%207M
Total assets 4.00%80.13B-3.20%78.36B-3.20%78.36B-9.85%77.63B8.32%79.18B12.54%77.05B30.80%80.95B30.80%80.95B50.65%86.11B30.38%73.1B
Liabilities
Total deposits 6.57%55.39B5.53%54.2B5.53%54.2B7.78%53.77B56.35%54.23B52.47%51.98B58.05%51.36B58.05%51.36B64.43%49.89B18.56%34.69B
Federal funds purchased and securities sold under agreement to repurchase 165.98%516M-27.68%337M-27.68%337M-58.58%181M-23.06%327M-27.61%194M68.23%466M68.23%466M53.33%437M91.44%425M
Payables -18.33%7.7B-44.17%7.38B-44.17%7.38B-62.62%7.76B-65.47%8.45B-54.49%9.43B-15.79%13.21B-15.79%13.21B52.18%20.76B73.68%24.46B
-Accounts payable -25.04%5.79B-52.41%5.45B-52.41%5.45B-68.33%6.04B-69.83%6.85B-59.75%7.73B-18.19%11.45B-18.19%11.45B60.90%19.06B81.94%22.7B
-Other payable 12.10%1.91B9.22%1.93B9.22%1.93B1.11%1.73B-9.36%1.6B11.75%1.7B3.94%1.77B3.94%1.77B-5.16%1.71B9.58%1.76B
Trading liabilities 14.74%794M-14.35%716M-14.35%716M386.08%768M281.72%710M304.68%692M375.00%836M375.00%836M-38.76%158M-12.26%186M
Long term debt and capital lease obligation -1.57%3.14B-5.71%3.14B-5.71%3.14B-7.43%3.14B27.48%3.69B10.20%3.19B14.99%3.33B14.99%3.33B17.09%3.39B-0.45%2.89B
-Long term debt -1.57%3.14B-5.71%3.14B-5.71%3.14B-7.43%3.14B27.48%3.69B10.20%3.19B14.99%3.33B14.99%3.33B17.09%3.39B-0.45%2.89B
Employee benefits 16.78%1.5B7.11%1.91B7.11%1.91B5.99%1.7B-7.12%1.46B-10.29%1.28B-2.08%1.79B-2.08%1.79B3.02%1.6B14.65%1.57B
Derivative product liabilities -31.42%310M-7.55%490M-7.55%490M3.69%393M29.52%351M94.83%452M132.46%530M132.46%530M44.11%379M-16.36%271M
Total liabilities 3.17%69.35B-4.68%68.17B-4.68%68.17B-11.63%67.71B7.32%69.21B12.39%67.22B33.46%71.52B33.46%71.52B55.59%76.62B33.17%64.49B
Shareholders'equity
Share capital -33.61%81M-33.61%81M-33.61%81M-33.61%81M6,000.00%122M6,000.00%122M6,000.00%122M6,000.00%122M6,000.00%122M0.00%2M
-common stock 0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M
-Preferred stock -34.17%79M-34.17%79M-34.17%79M-34.17%79M--120M--120M--120M--120M--120M--0
Paid-in capital 6.15%3.16B5.22%3.14B5.22%3.14B5.12%3.1B45.01%3.04B44.77%2.98B43.06%2.99B43.06%2.99B43.11%2.95B3.21%2.09B
Retained earnings 14.64%10.61B15.49%10.21B15.49%10.21B16.42%9.87B16.16%9.59B15.63%9.25B15.85%8.84B15.85%8.84B16.83%8.48B17.88%8.26B
Less: Treasury stock 47.44%2.37B48.94%2.25B48.94%2.25B55.04%2.26B43.68%1.95B16.82%1.6B5.22%1.51B5.22%1.51B0.76%1.46B-3.13%1.36B
Gains losses not affecting retained earnings 22.22%-693M1.12%-971M1.12%-971M-46.18%-842M-105.14%-798M-924.14%-891M-2,295.12%-982M-2,295.12%-982M-5,660.00%-576M-923.68%-389M
Total stockholders'equity 9.48%10.79B7.99%10.21B7.99%10.21B4.56%9.95B16.19%10B14.60%9.86B14.71%9.46B14.71%9.46B21.01%9.52B13.30%8.6B
Non controlling interests 65.38%-9M-3.85%-27M-3.85%-27M-17.39%-27M-471.43%-26M-150.00%-26M-144.83%-26M-144.83%-26M-141.82%-23M-84.44%7M
Total equity 9.67%10.78B8.00%10.19B8.00%10.19B4.53%9.92B15.80%9.97B13.62%9.83B13.60%9.43B13.60%9.43B19.88%9.49B12.73%8.61B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

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