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Capital One Financial Corporation (Parent Company Only) - Statements of Cash Flows (Details) - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
Operating activities:      
Net income $ 4,750 $ 4,887 $ 7,360
Adjustments to reconcile net income to net cash from operating activities:      
Net cash from operating activities 18,159 20,575 13,809
Investing activities:      
Net cash used in investing activities (26,410) (21,920) (29,738)
Common stock:      
Net proceeds from issuances 323 299 276
Dividends paid (932) (931) (950)
Preferred stock:      
Dividends paid (228) (228) (228)
Purchases of treasury stock (734) (718) (4,948)
Proceeds from share-based payment activities 4 10 19
Net cash from financing activities 8,167 13,844 25,131
Changes in cash, cash equivalents and restricted cash for securitization investors (84) 12,499 9,202
Cash, cash equivalents and restricted cash for securitization investors, beginning of the period 43,755 31,256 22,054
Cash, cash equivalents and restricted cash for securitization investors, end of the period 43,671 43,755 31,256
Parent Company      
Operating activities:      
Net income 4,750 4,887 7,360
Adjustments to reconcile net income to net cash from operating activities:      
Equity in undistributed earnings of subsidiaries (3,706) (1,936) (3,250)
Other operating activities 496 623 (2,429)
Net cash from operating activities 1,540 3,574 1,681
Investing activities:      
Proceeds from paydowns and maturities of securities available for sale 33 103 96
Purchases of securities available for sale 0 (69) (10)
Changes in loans to subsidiaries (2,597) 371 1,139
Net cash used in investing activities (2,564) 405 1,225
Financing activities:      
Issuance of senior and subordinated notes 3,985 8,219 9,271
Maturities and paydowns of senior and subordinated notes (4,411) (6,989) (1,250)
Common stock:      
Net proceeds from issuances 323 299 276
Dividends paid (932) (931) (950)
Preferred stock:      
Dividends paid (228) (228) (228)
Purchases of treasury stock (734) (718) (4,948)
Proceeds from share-based payment activities 4 10 19
Net cash from financing activities (1,993) (338) 2,190
Changes in cash, cash equivalents and restricted cash for securitization investors (3,017) 3,641 5,096
Cash, cash equivalents and restricted cash for securitization investors, beginning of the period 25,647 22,006 16,910
Cash, cash equivalents and restricted cash for securitization investors, end of the period $ 22,630 $ 25,647 $ 22,006