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Preferred Stock (Tables)
12 Months Ended
Dec. 31, 2022
Stockholders' Equity Note [Abstract]  
Schedule of stock by class
The following is a summary of JPMorgan Chase’s non-cumulative preferred stock outstanding as of December 31, 2022 and 2021, and the quarterly dividend declarations for the years ended December 31, 2022, 2021 and 2020.
Shares(a)
Carrying value
 (in millions)
Issue dateContractual rate
in effect at
December 31, 2022
Earliest redemption date(b)
Floating annualized
rate(c)
Dividend declared per share(d)
December 31,December 31,Year ended December 31,
2022202120222021202220212020
Fixed-rate:
Series Y — $ $— 2/12/2015 %3/1/2020NA$ $— $153.13 
Series AA
 —  — 6/4/2015 9/1/2020NA 305.00 610.00 
Series BB
 —  — 7/29/2015 9/1/2020NA 307.50 615.00 
Series DD
169,625 169,625 1,696 1,696 9/21/20185.750 12/1/2023NA575.00 575.00 575.00 
Series EE
185,000 185,000 1,850 1,850 1/24/20196.000 3/1/2024NA600.00 600.00 600.00 
Series GG
90,000 90,000 900 900 11/7/20194.750 12/1/2024NA475.00 475.00 506.67 
(e)
Series JJ150,000 150,000 1,500 1,500 3/17/20214.550 6/1/2026NA455.00 321.03 NA
(e)
Series LL185,000 185,000 1,850 1,850 5/20/20214.625 6/1/2026NA462.52 245.39 NA
(e)
Series MM200,000 200,000 2,000 2,000 7/29/20214.200 9/1/2026NA420.00 142.33 NA
(e)
Fixed-to-floating-rate:
Series I
 293,375 $ $2,934 4/23/2008 4/30/2018
LIBOR + 3.47%
$375.03 $370.38 $428.03 
Series Q
150,000 150,000 1,500 1,500 4/23/20135.150 5/1/2023
LIBOR + 3.25
515.00 515.00 515.00 
Series R
150,000 150,000 1,500 1,500 7/29/20136.000 8/1/2023
LIBOR + 3.30
600.00 600.00 600.00 
Series S200,000 200,000 2,000 2,000 1/22/20146.750 2/1/2024
LIBOR + 3.78
675.00 675.00 675.00 
Series U
100,000 100,000 1,000 1,000 3/10/20146.125 4/30/2024
LIBOR + 3.33
612.50 612.50 612.50 
Series V 250,000  2,500 6/9/2014 7/1/2019
LIBOR + 3.32
340.91 353.65 436.85 
Series X
160,000 160,000 1,600 1,600 9/23/20146.100 10/1/2024
LIBOR + 3.33
610.00 610.00 610.00 
Series Z
 200,000  2,000 4/21/2015 5/1/2020
LIBOR + 3.80
 401.44 453.52 

Series CC
125,750 125,750 1,258 1,258 10/20/2017
LIBOR + 2.58
11/1/2022
LIBOR + 2.58
526.27 462.50 462.50 
(f)
Series FF
225,000 225,000 2,250 2,250 7/31/20195.000 8/1/2024
SOFR + 3.38
500.00 500.00 500.00 
Series HH300,000 300,000 3,000 3,000 1/23/20204.600 2/1/2025
SOFR + 3.125
460.00 460.00 470.22 
(e)
Series II150,000 150,000 1,500 1,500 2/24/20204.000 4/1/2025
SOFR + 2.745
400.00 400.00 341.11 
(e)
Series KK200,000 200,000 2,000 2,000 5/12/20213.650 6/1/2026
CMT + 2.85
365.00 201.76 NA
(e)
Total preferred stock2,740,375 3,483,750 $27,404 $34,838 
(a)Represented by depositary shares.
(b)Fixed-to-floating rate notes convert to a floating rate at the earliest redemption date.
(c)Floating annualized rate includes three-month LIBOR, three-month term SOFR or five-year Constant Maturity Treasury ("CMT") rate, as applicable, plus the spreads noted above.
(d)Dividends on preferred stock are discretionary and non-cumulative. When declared, dividends are declared quarterly. Dividends are payable quarterly on fixed-rate preferred stock. Dividends are payable semiannually on fixed-to-floating-rate preferred stock while at a fixed rate, and payable quarterly after converting to a floating rate.
(e)The initial dividend declared is prorated based on the number of days outstanding for the period. Dividends were declared quarterly thereafter at the contractual rate.
(f)The dividend rate for Series CC preferred stock became floating and payable quarterly starting on November 1, 2022; prior to which the dividend rate was fixed at 4.625% or $231.25 per share payable semiannually.
Common shares issued (reissuances from treasury) by JPMorgan Chase during the years ended December 31, 2022, 2021 and 2020 were as follows.
Year ended December 31,
(in millions)
202220212020
Total issued – balance at January 1
4,104.9 4,104.9 4,104.9 
Treasury – balance at January 1(1,160.8)(1,055.5)(1,020.9)
Repurchase(23.1)(119.7)(50.0)
Reissuance:
Employee benefits and compensation plans
12.0 13.5 14.2 
Employee stock purchase plans
1.2 0.9 1.2 
Total reissuance13.2 14.4 15.4 
Total treasury – balance at December 31
(1,170.7)(1,160.8)(1,055.5)
Outstanding at December 312,934.2 2,944.1 3,049.4