C
Citigroup Inc (C) Stock Analysis
Research Citigroup Inc (C) with company financials, earnings context, valuation indicators, risk analysis and related market news.
Research record updated: . Individual measures may refer to different reporting periods.
- Ticker
- C
- Company
- Citigroup Inc
- Sector
- Financial Services
- Industry
- Banks - Diversified
- Market cap
- $224.84B
- Financial data source
- FMP financial statements + FMP cash flow statements + FMP balance sheet + income statements + StockAnalysis complete statements
- Annual revenue (reporting year not supplied)
- $168.28B
- Annual net income (reporting year not supplied)
- $14.31B
- Annual free cash flow (reporting year not supplied)
- $-74.15B
- Trailing revenue
- $174.24B
- Trailing net income
- $17.84B
- Total assets
- $2.66T
- Total liabilities
- $2.44T
Citigroup Inc (C) Stock Analysis research
Citigroup Inc. is a global financial-services company providing consumer banking, credit cards, commercial banking, wealth management, investment banking, markets, and treasury services. Its earnings depend on interest income, transaction activity, lending quality, and fees from institutional clients. Recent Seeking Alpha and comparable financial coverage has generally presented Citi as a turnaround and efficiency story, with progress in simplifying operations, improving controls, and raising returns balanced by concerns over credit losses, regulation, interest rates, and uneven business momentum. Sentiment is cautiously constructive because management’s restructuring offers significant upside if execution remains consistent. Citi is also expanding cloud-based infrastructure, real-time payments, automated compliance, and artificial-intelligence tools; AI can be a game changer by improving fraud detection, customer service, risk assessment, and back-office productivity. Overall, the investment case is based more on operational improvement and better capital efficiency than on rapid revenue growth. Within Financial Services, Citi is a large-cap institution trading at a relatively moderate earnings multiple and close to book value, while its recent medium-term share performance has been strong despite short-term weakness and elevated volatility. I rate it 7/10 in the sector, with the stock appearing fairly valued to modestly undervalued relative to its recovery potential and global franchise strength. The balance sheet is enormous and highly leveraged, as is normal for a major bank, but weak cash-flow readings and modest profitability indicate that funding structure, credit quality, and execution require close monitoring. The outlook can improve if restructuring lifts returns and lowers expenses, but recessionary losses, tougher rules, market disruption, or prolonged rate pressure could delay that progress. Neutral.
Review the available company profile, financial history, valuation context and investor signals for Citigroup Inc. Compare the reported operating results with the valuation and risk measures below.
The figures are cached research data and can change after new filings, earnings reports or market updates. Verify material facts with primary company disclosures before making an investment decision.