In billions of dollars, except per share amounts, ratios and direct staff 2018 2017 2016 $ 33.8 $ 32,8 $ 31.6 Global Consumer Banking Net Revenues Institutional Clients Group Net Revenues Corporate/Other Net Revenues Total Net Revenues 37.0 36.5 339 2.1 3.1 5.2 72.9 $ 72.4 $ 70.8 $ $ 18.0 $ 15.8 $ 149 6.68 5.33 4.72 6.69 5.37 4.74 $ 1,917 $ 1,842 $ 1,792 929 1,013 960 Net Income Diluted EPS - Net Income Diluted EPS - Income from Continuing Operations Assets Deposits Citigroup Stockholders' Equity Basel II Ratios - Full Implementation Common Equity Tier 1 Capital Tier 1 Capital Total Capital Supplementary Leverage 196 201 225 11.9% 12.4% 12.6% 13.5% 14.196 14.296 16.2% 16.3% 16.2% 6.4% 6.7% 7.296 Return on Assets 0.94% 0.84% 0.8296 $ 75.05 $ 70.62 $ 74.26 Book Value per Share Tangible Book Value per Share Common Shares Outstanding millions) 60,16 64.57 63.79 2,369 2,570 Total Payout Ratio 2,772 7796 1099 11796 Market Capitalization $ 123 $ 191 S 165 Direct Staff (thousands) 204 209 219 Totals may not de la rondine Provide a detailed two-year comparison explaining the reason for changes in the accounts on the income statement and how they affect the overall company. Include the actual Income statement so I can see where you are getting your analysis and information from 31 Income Statement Analysis - Income Statement Analysis Summary: Provide a detailed two-year comparison explaining the reason for cha company. Include the actual Income statement so I can see where yo In billions of dollars, except per share amounts, ratios and direct staff 2018 2017 2016 $ 33.8 $ 32,8 $ 31.6 Global Consumer Banking Net Revenues Institutional Clients Group Net Revenues Corporate/Other Net Revenues Total Net Revenues 37.0 36.5 339 2.1 3.1 5.2 72.9 $ 72.4 $ 70.8 $ $ 18.0 $ 15.8 $ 149 6.68 5.33 4.72 6.69 5.37 4.74 $ 1,917 $ 1,842 $ 1,792 929 1,013 960 Net Income Diluted EPS - Net Income Diluted EPS - Income from Continuing Operations Assets Deposits Citigroup Stockholders' Equity Basel II Ratios - Full Implementation Common Equity Tier 1 Capital Tier 1 Capital Total Capital Supplementary Leverage 196 201 225 11.9% 12.4% 12.6% 13.5% 14.196 14.296 16.2% 16.3% 16.2% 6.4% 6.7% 7.296 Return on Assets 0.94% 0.84% 0.8296 $ 75.05 $ 70.62 $ 74.26 Book Value per Share Tangible Book Value per Share Common Shares Outstanding millions) 60,16 64.57 63.79 2,369 2,570 Total Payout Ratio 2,772 7796 1099 11796 Market Capitalization $ 123 $ 191 S 165 Direct Staff (thousands) 204 209 219 Totals may not de la rondine Provide a detailed two-year comparison explaining the reason for changes in the accounts on the income statement and how they affect the overall company. Include the actual Income statement so I can see where you are getting your analysis and information from 31 Income Statement Analysis - Income Statement Analysis Summary: Provide a detailed two-year comparison explaining the reason for cha company. Include the actual Income statement so I can see where yo