PWLBtoday
Counterparty/The Northern Trust Company
Built 2026-09-14 17:10 UTCBeta
NO

The Northern Trust Company

Bank · USAA+ · LEI 6PTKHDJ8HDUF78PFWH30
Counterparty scoreBand B
70
11th percentile of 18 peers
coverage83% of the method
Rating87w 40
Capital64w 25
Liquidity14w 15
Stabilityw 10
Assets100w 5
Profit78w 5
Rating anchor and public pillars with published weights (w). Market overlay +2.5, bounded at ±10. Method
Agency ratingscompositeAA-Stable (bonds) (group)
Fitch
AA-
ST F1+
2026-03-09
S&P
AA-
ST A-1+
2021-12-13
Moody's
A2
ST P-1
2025-11-17
DBRS
AA
ST R-1(H)
2023-02-07
ESMA European Rating Platform, checked daily · ▲ positive ▼ negative ◆ watch ▶ stableRating history
CET1 ratio
11.8%
+0.2 vs prior2026-06-30
Leverage rationot yet collected
Total capital
13.9%
+0.2 vs prior2026-06-30
LCRgroup figure
107%
0.0 vs prior2026-06-30
NSFRnot yet collected
Risk-weighted assets
93.7bn
+2.1% vs prior2026-06-30
15 series held, up to 48 periods each. Click a card to open it full size with every point and its date. The grey band on a ratio is where this bank’s peer group stands today, quartile to quartile, with the median dashed — not a peer history.
Standing
Capital
Liquidity and funding
Profitability and efficiency
Asset quality
Balance sheet

Rating history

Every action the European Rating Platform holds, since 2015. The composite is the median of the agencies on the day.
1upgrade
nonet change
20162017201820192020202120222023202420252026AA-composite AA- from 2015-07-01AA-COMPOSITEFitchFitch AA- from 2015-07-01, stillAA-Fitch: stable outlook from 2015-08-14AA-S&PS&P AA- from 2015-07-01, stillAA-S&P: stable outlook from 2015-11-20AA-Moody'sMoody's A2 from 2015-07-01, stillA2Moody's: stable outlook from 2015-07-01Moody's: watch negative outlook from 2023-08-07Moody's: stable outlook from 2024-11-05A2DBRSDBRS AA(L) from 2015-07-01 to 2017-03-17AA(L)DBRS AA from 2017-03-17, stillAAAA
AAACCCpositive outlookstablenegativewent on watch

Every move since 2015

  • 2017-03-17DBRS upgrade AA(L) → AA · 1 notch

Every rating held today

AgencyTypeRatingOutlookDate
DBRSissuer credit · long-termAA2023-02-07
DBRSissuer credit · short-termR-1(H)2023-02-07
Fitchissuer default · long-termAA-stable2026-03-09
Fitchissuer default · short-termF1+2026-03-09
Moody'scounterparty · long-termA12025-11-17
Moody'sdeposit · long-termAa2stable2025-11-17
Moody'sissuer credit · long-termA2stable2025-11-17
Moody'scounterparty · short-termP-12025-11-17
Moody'sdeposit · short-termP-12025-11-17
S&Pissuer credit · long-termAA-stable2021-12-13
S&Pissuer credit · short-termA-1+2021-12-13
Source: ESMA European Rating Platform, checked daily, with agency attribution.
Share price, 12 months · Northern TrustUSD
107.84132.94158.04183.1425-09: 129.7725-09: 127.4325-09: 129.4225-09: 132.2225-09: 129.5125-09: 134.6025-10: 132.2125-10: 124.7225-10: 124.5725-10: 125.4825-10: 127.3425-11: 127.6825-11: 129.9625-11: 128.9125-11: 126.0125-11: 129.9325-12: 130.4325-12: 133.4925-12: 138.5225-12: 138.3325-12: 140.7025-12: 136.5926-01: 142.6226-01: 145.2526-01: 143.3026-01: 149.6526-01: 149.4326-02: 147.4826-02: 146.5026-02: 147.5226-02: 141.4126-03: 145.2326-03: 138.5926-03: 137.3026-03: 134.8726-03: 140.3726-03: 136.2326-04: 143.3226-04: 152.2326-04: 156.7726-04: 167.8326-04: 166.9026-05: 161.2426-05: 160.4126-05: 164.3026-05: 165.9626-05: 167.9426-06: 169.7926-06: 169.1126-06: 174.3426-06: 172.1126-06: 175.9726-07: 175.6026-07: 179.9226-07: 186.6426-07: 182.7826-07: 180.5226-07: 182.5126-08: 184.3826-08: 187.7826-08: 191.4726-08: 183.9026-08: 186.2726-09: 183.9826-09: 184.69184.6925-0925-1025-1226-0226-0426-0626-09
Northern Trust is the listed company; this entity has no equity of its own, and the group price does not enter its score.
30-day realised volatility · Northern Trust17.2%
Drawdown from 52-week high · Northern Trust-2.9%
Market signal Stable (bonds) (group)
Last price · Northern Trust2026-09-14
Bond yields vs peers, 31-day+6 bp (4 bonds, 2026-09-14)
CDS levels, bond yields and agency ratings feed the private market overlay and are never shown as levels; only the direction and the change against peers are public.
Every event held for this name, newest first: rating actions, Pillar 3 documents and filtered headlines. Severity is rules-based — read the source.
2026-03-09
Fitch maintained under stable outlook: Long Term Issuer Default Rating
ESMA European Rating Platform
info
2026-03-09
Fitch affirmation: Long Term Issuer Default Rating AA-
ESMA European Rating Platform
info
2026-03-09
Fitch affirmation: Short Term Issuer Default Rating F1+
ESMA European Rating Platform
info
2025-11-17
Moody's affirmation: Counterparty Risk Rating A1
ESMA European Rating Platform
info
2025-11-17
Moody's affirmation: Counterparty Risk Rating P-1
ESMA European Rating Platform
info
2025-11-17
Moody's affirmation: Deposit Rating P-1
ESMA European Rating Platform
info
2025-11-17
Moody's affirmation: Issuer Rating A2
ESMA European Rating Platform
info
2025-11-17
Moody's maintained under stable outlook: Issuer Rating
ESMA European Rating Platform
info
2025-11-17
Moody's affirmation: Deposit Rating Aa2
ESMA European Rating Platform
info
2025-11-17
Moody's maintained under stable outlook: Deposit Rating
ESMA European Rating Platform
info

Documents and feeds

FDIC Call Reports · public API
1 document · 14 metrics · 2016-09-30 to 2026-06-30
Latest source
Firm's Pillar 3 disclosures (group) · read from the PDF
10 documents · 1 metrics · 2024-03-31 to 2026-06-30
Latest source

Latest value of every metric held

MetricValueReference dateSourceConfidence
CET1 capital ratio11.832026-06-30FDIC Call Reports · public API1.00
Total deposits (currency millions)148,110.312026-06-30FDIC Call Reports · public API1.00
Cost-to-income or efficiency ratio70.322026-06-30FDIC Call Reports · public API1.00
Held-to-maturity securities fair value minus amortised cost (currency millions; negative = unrealised loss)-1,138.512026-06-30FDIC Call Reports · public API1.00
Net interest margin1.672026-06-30FDIC Call Reports · public API1.00
Non-performing or noncurrent loan ratio0.232026-06-30FDIC Call Reports · public API1.00
Return on assets1.472026-06-30FDIC Call Reports · public API1.00
Return on equity22.342026-06-30FDIC Call Reports · public API1.00
Risk-weighted assets (currency millions)93,697.082026-06-30FDIC Call Reports · public API1.00
Tier 1 leverage ratio (US definition, average assets)6.842026-06-30FDIC Call Reports · public API1.00
Tier 1 capital ratio11.832026-06-30FDIC Call Reports · public API1.00
Total assets (currency millions)178,566.492026-06-30FDIC Call Reports · public API1.00
Total capital ratio13.902026-06-30FDIC Call Reports · public API1.00
Estimated uninsured deposits (currency millions)43,657.432026-06-30FDIC Call Reports · public API1.00
Liquidity coverage ratio107.002026-06-30Firm's Pillar 3 disclosures (group) · read from the PDF0.92 group figure