Bank of America Beats Expectations with 18% EPS Surge in Q1 2025
Bank of America reported stronger-than-expected financial results for the first quarter of 2025, posting a net income of approximately $7.4 billion, an 11% increase year-over-year. Diluted earnings per share (EPS) reached $0.90, up 18% from the same quarter last year and well above analyst estimates of $0.76.
Total revenue came in at $27.4 billion, marking a 6% year-over-year increase. This growth was driven by a significant 10% rise in noninterest income, which totaled $12.9 billion, alongside a modest improvement in net interest income, which stood at $14.4 billion.
The bank maintained a stable provision for credit losses of $1.5 billion—unchanged from the prior quarter, though up 12% from Q1 2024. The Common Equity Tier 1 (CET1) capital ratio remained strong at 11.8%, well above the regulatory minimum of 10.7%.
In its consumer banking division, the bank continued expanding its customer base, opening approximately 250,000 new checking accounts and issuing over 1 million new credit cards during the quarter. Trading operations saw a record quarter, generating $5.7 billion in revenue—the highest level in over a decade.
Bank of America also enhanced its liquidity position, with average Global Liquidity Sources (GLS) reaching $942 billion. Additionally, the bank returned capital to shareholders with $2 billion in dividends and $4.5 billion in share repurchases.
About Bank of America
Bank of America is one of the largest and most prominent financial institutions in the United States and globally, offering a wide range of financial services including consumer banking, asset management, investment banking, and corporate financial services. The bank serves millions of clients worldwide and holds a central position in the global banking landscape.
CEO Commentary
Brian Moynihan, Chairman and CEO of Bank of America, commented on the results: “The strong first-quarter performance in 2025 demonstrates the power of our business model and our ability to deliver consistent results even in challenging environments. We continue to focus on responsible growth, prudent risk management, and creating long-term value for our clients and shareholders.”
Takeaways and Strategic Implications
These results underscore Bank of America’s ability to maintain high and stable profitability despite a volatile global macroeconomic backdrop. The growth in noninterest income reflects successful expansion in trading and asset management, enabling the bank to offset headwinds from lower interest rates.
Stable credit loss provisions indicate sound credit risk management, even amid growing loan volumes. The bank’s solid capital position and ample liquidity reinforce its capacity to weather financial pressures, maintaining its appeal to investors.
Ongoing share repurchases and dividend increases reflect management’s confidence in the bank’s financial strength and its capacity to generate shareholder value over the long term.
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* This article, in whole or in part, does not contain any promise of investment returns, nor does it constitute professional advice to make investments in any particular field.

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