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CIT GROUP INC Assets, Fair Value Disclosure

CIT GROUP INC Assets, Fair Value Disclosure

CIT GROUP INC had Assets, Fair Value Disclosure of $476.80 million as of 2014-09-30, per its 10-Q filed 2014-11-07.

Discontinued › Notes › Fair Value Measures and Disclosures › Fair Value Disclosures › Fair Value, Net Asset (Liability)

us-gaap:AssetsFairValueDisclosure · last filed 2014-11-07

  • 2014-09-30: Assets, Fair Value Disclosure $476.80M.
  • 2014-06-30: Assets, Fair Value Disclosure $431.30M.
  • 2014-03-31: Assets, Fair Value Disclosure $1.95B.
  • 2013-12-31: Assets, Fair Value Disclosure $1.55B.
Period endAssets, Fair Value DisclosureAssets, Fair Value Disclosure as first filed
2014-09-30$476.80M
10-Q · filed 2014-11-07
2014-06-30$431.30M
10-Q · filed 2014-08-06
2014-03-31$1.95B
8-K · filed 2014-10-09
2013-12-31$1.55B
10-Q · filed 2014-11-07
2013-09-30$1.46B
10-Q · filed 2013-11-06
2013-06-30$1.31B
10-Q · filed 2013-08-07
2013-03-31$1.48B
10-Q · filed 2013-05-09
2012-12-31$792.20M
10-Q · filed 2013-11-06
2012-09-30$819.10M
10-Q · filed 2012-11-09
2012-06-30$1.04B
10-Q · filed 2012-08-09
2011-12-31$1.04B
10-Q · filed 2012-11-09
$1.04B
10-K · filed 2012-02-29
2010-12-31$78.80M
10-K · filed 2012-02-29