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CONSOLIDATED BALANCE SHEETS (Unaudited) - USD ($)
$ in Thousands
Jun. 30, 2024
Dec. 31, 2023
Assets    
Cash and cash equivalents $ 5,262,448 $ 4,149,838
Investments:    
Trading investments at fair value (cost of $45,171 and $43,412, respectively) 60,473 54,481
Available-for-sale investments at fair value (cost of $2,428,037 and $2,563,984, respectively) 2,283,262 2,411,622
Other investments 107,064 91,567
Total investments 2,450,799 2,557,670
Loans held for investment (net of allowance for losses of $1,269,652 and $1,339,772, respectively) 18,915,333 20,306,357
Restricted cash 142,230 149,669
Other interest-earning assets 6,362 9,229
Accrued interest receivable 1,391,081 1,379,904
Premises and equipment, net 126,440 129,501
Goodwill and acquired intangible assets, net 66,102 68,711
Income taxes receivable, net 351,126 366,247
Other assets 56,923 52,342
Total assets 28,768,844 29,169,468
Liabilities    
Deposits 20,744,030 21,653,188
Long-term borrowings 5,403,012 5,227,512
Other liabilities 338,564 407,971
Total liabilities 26,485,606 27,288,671
Commitments and contingencies
Equity    
Series B: 2.5 million and 2.5 million shares issued, respectively, at stated value of $100 per share 251,070 251,070
Common stock, par value $0.20 per share, 1.125 billion shares authorized: 440.3 million and 438.2 million shares issued, respectively 88,056 87,647
Additional paid-in capital 1,173,735 1,148,689
Accumulated other comprehensive loss (net of tax benefit of ($25,378) and ($24,176), respectively) (78,809) (75,104)
Retained earnings 4,107,980 3,624,859
Total SLM Corporation stockholders’ equity before treasury stock 5,542,032 5,037,161
Less: Common stock held in treasury at cost: 222.8 million and 217.9 million shares, respectively (3,258,794) (3,156,364)
Total equity 2,283,238 1,880,797
Total liabilities and equity $ 28,768,844 $ 29,169,468