Annual report pursuant to Section 13 and 15(d)

Consolidated Balance Sheets

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Consolidated Balance Sheets (USD $)
In Millions, unless otherwise specified
Dec. 31, 2012
Dec. 31, 2011
ASSETS    
Cash and cash equivalents $ 12,911 $ 13,733
Cash and securities segregated for regulatory purposes or deposited with clearing organizations 14,031 11,757
Securities financing transactions    
Receivables under resale agreements (includes $93,715 in 2012 and $85,652 in 2011 measured at fair value in accordance with the fair value option election) 148,817 143,491
Receivables under securities borrowed transactions (includes $961 in 2012 and $259 in 2011 measured at fair value in accordance with the fair value option election) 60,992 58,109
Total securities financing transactions 209,809 201,600
Trading assets, at fair value (includes securities pledged as collateral that can be sold or repledged of $36,268 in 2012 and $34,932 in 2011)    
Derivative contracts 24,851 35,091
Equities and convertible debentures 40,618 25,619
Non-U.S. governments and agencies 37,845 30,239
Corporate debt and preferred stock 18,337 17,305
Mortgages, mortgage-backed, and asset-backed 10,613 8,254
U.S. Government and agencies 54,564 43,003
Municipals, money markets, physical commodities and other 12,480 13,044
Total trading assets at fair value 199,308 172,555
Investment securities (includes $162 in 2012 and $244 in 2011 measured at fair value in accordance with the fair value option election) 5,903 6,684
Securities received as collateral, at fair value 16,013 13,716
Receivables from Bank of America 45,830 59,945
Other receivables    
Customers (net of allowance for doubtful accounts of $9 in 2012 and $15 in 2011) (includes $271 in 2012 and $0 in 2011 measured at fair value in accordance with the fair value option election) 20,265 20,512
Brokers and dealers 21,792 8,691
Interest and other 9,244 9,130
Total other receivable 51,301 38,333
Loans, notes, and mortgages (net of allowances for loan losses of $57 in 2012 and $72 in 2011) (includes $3,077 in 2012 and $2,322 in 2011 measured at fair value in accordance with the fair value option election) 19,545 20,574
Equipment and facilities, net 1,031 1,385
Goodwill and intangible assets 9,782 10,079
Other assets 17,464 15,155
Total Assets 602,928 565,516
LIABILITIES    
Payables under repurchase agreements (includes $42,639 in 2012 and $34,235 in 2011 measured at fair value in accordance with the fair value option election) 219,710 173,767
Payables under securities loaned transactions 18,305 11,460
Total securities financing transactions 238,015 185,227
Short-term borrowings (includes $3,283 in 2012 and $5,908 in 2011 measured at fair value in accordance with the fair value option election) 3,376 6,051
Deposits 12,873 12,364
Trading liabilities, at fair value    
Derivative contracts 20,568 26,239
Equities and convertible debentures 18,957 12,223
Non-U.S. governments and agencies 19,707 16,554
Corporate debt and preferred stock 8,026 7,084
U.S. Government and agencies 20,186 16,976
Municipals, money markets and other 562 645
Total Trading liabilities 88,006 79,721
Obligation to return securities received as collateral, at fair value 16,013 13,716
Payables to Bank of America 8,752 31,731
Other payables    
Customers 52,053 40,153
Brokers and dealers 4,748 8,667
Interest and other (includes $57 in 2012 and $173 in 2011 measured at fair value in accordance with the fair value option election) 18,634 18,128
Total other payables 75,435 66,948
Long-term borrowings (includes $30,875 in 2012 and $30,325 in 2011 measured at fair value in accordance with the fair value option election) 92,249 106,929
Junior subordinated notes (related to trust preferred securities) 3,809 3,789
Total Liabilities 538,528 506,476
COMMITMENTS AND CONTINGENCIES      
STOCKHOLDER'S EQUITY    
Common stock (par value $1.331/3 per share; authorized: 3,000,000,000 shares; issued: 2012 and 2011 — 1,000 shares)      
Paid-in capital 56,127 50,765
Accumulated other comprehensive loss (net of tax) (527) (235)
Retained earnings 8,800 8,510
Total Stockholder's Equity 64,400 59,040
Total Liabilities and Stockholder's Equity 602,928 565,516
Consolidated VIE
   
Trading assets, at fair value (includes securities pledged as collateral that can be sold or repledged of $36,268 in 2012 and $34,932 in 2011)    
Trading assets, excluding derivative contracts 7,847 8,800
Investment securities (includes $162 in 2012 and $244 in 2011 measured at fair value in accordance with the fair value option election) 41 162
Other receivables    
Loans, notes, and mortgages (net of allowances for loan losses of $57 in 2012 and $72 in 2011) (includes $3,077 in 2012 and $2,322 in 2011 measured at fair value in accordance with the fair value option election) 206 94
Other assets 764 3,022
Total Assets 8,858 12,078
LIABILITIES    
Short-term borrowings (includes $3,283 in 2012 and $5,908 in 2011 measured at fair value in accordance with the fair value option election) 2,940 4,939
Trading liabilities, at fair value    
Derivative contracts 19 4
Payables to Bank of America 1,157 0
Other payables    
Interest and other (includes $57 in 2012 and $173 in 2011 measured at fair value in accordance with the fair value option election) 14 186
Long-term borrowings (includes $30,875 in 2012 and $30,325 in 2011 measured at fair value in accordance with the fair value option election) 6,292 6,595
Total Liabilities $ 10,422 $ 11,724