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Wall Street banks stockpile funds for possible recession, show resilience

14 Tháng Giêng 2023
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NEW YORK (Reuters) - Wall Street's biggest banks stockpiled more rainy-day funds to prepare for a possible recession ahead and reported weak investment banking results, but said consumers remained healthy and higher rates boosted profits.

The outlook for big U.S. banks has been clouded by the Russia-Ukraine conflict and fading economic stimulus measures. Higher borrowing costs as the U.S. Federal Reserve hikes rates have also softened demand for mortgages and car loans.

There were notes of caution about the economic situation.

“The U.S. economy currently remains strong with consumers still spending excess cash and businesses healthy," said Chief Executive Officer Jamie Dimon, although he said he didn't yet know "the ultimate effect of the headwinds coming." The bank flagged a modest deterioration in its macroeconomic outlook, "reflecting a mild recession in the central case".

JPMorgan Chase & Co (NYSE:JPM), Bank of America Corp (NYSE:BAC), Citigroup Inc (NYSE:C) and Wells Fargo (NYSE:WFC) & Co reported profits ranging from up 6% to down 50%. Strength in trading helped offset a slump in investment banking, while interest rate hikes by the U.S. Federal Reserve helped income.

“Today’s bank earnings were solid, with net interest income driving earnings, credit reserves significantly increasing year-over-year, and investment banking fees remaining low – all largely reflecting the interest rate and economic environment," said Peter Torrente, KPMG US National Sector Leader for Banking and Capital Markets.

JPM profit beat estimates, rising 6% on trading strength and said it would resume share buybacks. Bank of America reported a 2% rise in profits as higher rates boosted income. However, Citigroup Inc reported a 21% fall in profits with investment banking taking a hit. Wells Fargo reported profit fell 50% as it racked up $3 billion in costs.

"We ended the year on a strong note, growing earnings year over year in the fourth quarter in an increasingly slowing economic environment," Bank of America's Chief Executive Brian Moynihan said in a statement, describing 2022 as one of the best years for the bank.

Shares were lower in premarket trading. JPMorgan fell nearly 3%, Wells was down 4%, Bank of America was down 3%, Citi was around flat.

The four banks set aside a total of around $4 billion funds to prepare for soured loans: JPM set aside $1.4 billion, Wells Fargo $957 million, Bank of America set aside $1.1 billion and Citi set aside $640 million.

Morgan Stanley (NYSE:MS) and Goldman Sachs (NYSE:GS) follow next week.

Banks have been hit by a slump in mergers, acquisitions and initial public offerings. Global investment banking revenue sank to $15.3 billion in the fourth quarter, down more than 50% from a year-earlier quarter, according to data from Dealogic.

JPMorgan's investment banking unit's poor run continued in the quarter, with revenues down 57% as corporate executives battened down the hatches to prepare for a potential recession instead of spending on deals. Bank of America's investment banking fees more than halved in the quarter.

JPM's trading revenue, however, gained from market volatility as investors repositioned bets to navigate a high interest rate environment.

Meanwhile, consumer businesses were a key focus in banks' results. Household accounts have been propped up for much of the pandemic by a strong job market and government stimulus, and while consumers are generally in good financial shape, more are starting to fall behind on payments.

"The consumer still remains in pretty good shape," said Bank of America's Chief Financial Officer Alastair Borthwick. "There's a lot of pent-up demand," especially for travel, he said. 

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    EUR/USD 1.0789 ↑ Sell  
    GBP/USD 1.2060 ↑ Sell  
    USD/JPY 131.74 Neutral  
    AUD/USD 0.6936 Neutral  
    USD/CAD 1.3400 ↑ Sell  
    EUR/JPY 142.13 ↑ Buy  
    EUR/CHF 0.9984 Sell  
    Gold 1,887.85 ↑ Sell  
    Silver 22.512 ↑ Buy  
    Copper 4.0598 ↑ Sell  
    Crude Oil WTI 73.93 Neutral  
    Brent Oil 80.66 Neutral  
    Natural Gas 2.436 ↑ Sell  
    US Coffee C 173.63 Buy  
    Euro Stoxx 50 4,257.98 ↑ Buy  
    S&P 500 4,136.48 ↑ Buy  
    DAX 15,476.43 ↑ Buy  
    FTSE 100 7,901.80 ↑ Buy  
    Hang Seng 21,201.00 ↑ Sell  
    Small Cap 2000 1,985.53 ↑ Sell  
    IBEX 35 9,225.60 Neutral  
    BASF 54.040 ↑ Buy  
    Bayer 56.68 Neutral  
    Allianz 220.75 ↑ Buy  
    Adidas 161.06 ↑ Buy  
    Lufthansa 9.902 ↑ Sell  
    Siemens AG 145.02 ↑ Sell  
    Deutsche Bank AG 11.530 Buy  
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