Annual report pursuant to Section 13 and 15(d)

Securities Financing Agreements, Short-term Borrowings, Collateral and Restricted Cash - Securities Financing Agreements (Details)

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Securities Financing Agreements, Short-term Borrowings, Collateral and Restricted Cash - Securities Financing Agreements (Details) - USD ($)
$ in Millions
Dec. 31, 2023
Dec. 31, 2022
Securities borrowed or purchased under agreements to resell    
Gross Assets/Liabilities $ 703,641 $ 597,847
Amounts Offset (423,017) (330,273)
Net Balance Sheet Amount 280,624 267,574
Financial Instruments (257,541) (240,120)
Net Assets/Liabilities 23,083 27,454
Securities loaned or sold under agreements to repurchase    
Gross Liabilities 706,904 525,908
Amounts Offset (423,017) (330,273)
Net Balance Sheet Amount 283,887 195,635
Financial Instruments (272,285) (183,265)
Net Liabilities 11,602 12,370
Other    
Gross Liabilities 10,066 8,427
Amounts Offset 0 0
Net Balance Sheet Amount 10,066 8,427
Financial Instruments (10,066) (8,427)
Net Liabilities 0 0
Total Securities Financing Agreements Liability    
Gross Liabilities 716,970 534,335
Amounts Offset (423,017) (330,273)
Net Balance Sheet Amount 293,953 204,062
Financial Instruments (282,351) (191,692)
Net Liabilities 11,602 12,370
Loans and leases repurchase activity $ 8,700 $ 8,700