Quarterly report pursuant to Section 13 or 15(d)

Consolidated Balance Sheet

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Consolidated Balance Sheet - USD ($)
$ in Millions
Mar. 31, 2023
Dec. 31, 2022
Assets    
Cash and due from banks $ 29,327 $ 30,334
Interest-bearing deposits with the Federal Reserve, non-U.S. central banks and other banks 346,891 199,869
Cash and cash equivalents 376,218 230,203
Time deposits placed and other short-term investments 11,637 7,259
Federal funds sold and securities borrowed or purchased under agreements to resell (includes $163,505 and $146,999 measured at fair value) 298,078 267,574
Trading account assets (includes $141,314 and $115,505 pledged as collateral) 314,978 296,108
Derivative assets 40,947 48,642
Debt securities:    
Carried at fair value 172,510 229,994
Held-to-maturity, at cost (fair value – $525,452 and $524,267) 624,495 632,825
Total debt securities 797,005 862,819
Loans and leases (includes $4,397 and $5,771 measured at fair value) 1,046,406 1,045,747
Allowance for loan and lease losses (12,514) (12,682)
Loans and leases, net of allowance 1,033,892 1,033,065
Premises and equipment, net 11,708 11,510
Goodwill 69,022 69,022
Loans held-for-sale (includes $1,386 and $1,115 measured at fair value) 6,809 6,871
Customer and other receivables 79,902 67,543
Other assets (includes $12,551 and $9,594 measured at fair value) 154,461 150,759
Total assets 3,194,657 3,051,375
Deposits in U.S. offices:    
Noninterest-bearing 617,922 640,745
Interest-bearing (includes $378 and $311 measured at fair value) 1,183,106 1,182,590
Deposits in non-U.S. offices:    
Noninterest-bearing 17,686 20,480
Interest-bearing 91,688 86,526
Total deposits 1,910,402 1,930,341
Federal funds purchased and securities loaned or sold under agreements to repurchase (includes $234,338 and $151,708 measured at fair value) 314,380 195,635
Trading account liabilities 92,452 80,399
Derivative liabilities 40,169 44,816
Short-term borrowings (includes $1,805 and $832 measured at fair value) 56,564 26,932
Accrued expenses and other liabilities (includes $13,659 and $9,752 measured at fair value and $1,437 and $1,540 of reserve for unfunded lending commitments) 216,621 224,073
Long-term debt (includes $39,413 and $33,070 measured at fair value) 283,873 275,982
Total liabilities 2,914,461 2,778,178
Commitments and contingencies (Note 6 – Securitizations and Other Variable Interest Entities) and (Note 10 – Commitments and Contingencies)
Shareholders’ equity    
Preferred stock, $0.01 par value; authorized – 100,000,000 shares; issued and outstanding – 4,088,099 and 4,088,101 shares 28,397 28,397
Common stock and additional paid-in capital, $0.01  par value; authorized – 12,800,000,000 shares; issued and outstanding – 7,972,438,148 and 7,996,777,943 shares 57,264 58,953
Retained earnings 213,062 207,003
Accumulated other comprehensive income (loss) (18,527) (21,156)
Total shareholders’ equity 280,196 273,197
Total liabilities and shareholders’ equity 3,194,657 3,051,375
Consolidated VIEs    
Assets    
Trading account assets (includes $141,314 and $115,505 pledged as collateral) 4,276 2,816
Debt securities:    
Loans and leases (includes $4,397 and $5,771 measured at fair value) 15,754 16,738
Allowance for loan and lease losses (797) (797)
Loans and leases, net of allowance 14,957 15,941
Other assets (includes $12,551 and $9,594 measured at fair value) 129 116
Total assets 19,362 18,873
Deposits in non-U.S. offices:    
Short-term borrowings (includes $1,805 and $832 measured at fair value) 1,339 42
Long-term debt (includes $39,413 and $33,070 measured at fair value) 4,883 4,581
All other liabilities (includes $7 and $13 of non-recourse liabilities) 7 12
Total liabilities $ 6,229 $ 4,635