Annual report pursuant to Section 13 and 15(d)

Consolidated Balance Sheet

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Consolidated Balance Sheet - USD ($)
$ in Millions
Dec. 31, 2022
Dec. 31, 2021
Assets    
Cash and due from banks $ 30,334 $ 29,222
Interest-bearing deposits with the Federal Reserve, non-U.S. central banks and other banks 199,869 318,999
Cash and cash equivalents 230,203 348,221
Time deposits placed and other short-term investments 7,259 7,144
Federal funds sold and securities borrowed or purchased under agreements to resell (includes $146,999 and $150,665 measured at fair value) 267,574 250,720
Trading account assets (includes $115,505 and $103,434 pledged as collateral) 296,108 247,080
Derivative assets 48,642 35,344
Debt securities:    
Carried at fair value 229,994 308,073
Held-to-maturity, at cost (fair value – $524,267 and $665,890) 632,825 674,554
Total debt securities 862,819 982,627
Loans and leases (includes $5,771 and $7,819 measured at fair value) 1,045,747 979,124
Allowance for loan and lease losses (12,682) (12,387)
Loans and leases, net of allowance 1,033,065 966,737
Premises and equipment, net 11,510 10,833
Goodwill 69,022 69,022
Loans held-for-sale (includes $1,115 and $4,455 measured at fair value) 6,871 15,635
Customer and other receivables 67,543 72,263
Other assets (includes $9,594 and $12,144 measured at fair value) 150,759 163,869
Total assets 3,051,375 3,169,495
Deposits in U.S. offices:    
Noninterest-bearing 640,745 784,189
Interest-bearing (includes $311 and $408 measured at fair value) 1,182,590 1,165,914
Deposits in non-U.S. offices:    
Noninterest-bearing 20,480 27,457
Interest-bearing 86,526 86,886
Total deposits 1,930,341 2,064,446
Federal funds purchased and securities loaned or sold under agreements to repurchase (includes $151,708 and $139,641 measured at fair value) 195,635 192,329
Trading account liabilities 80,399 100,690
Derivative liabilities 44,816 37,675
Short-term borrowings (includes $832 and $4,279 measured at fair value) 26,932 23,753
Accrued expenses and other liabilities (includes $9,752 and $11,489 measured at fair value and $1,540 and $1,456 of reserve for unfunded lending commitments) 224,073 200,419
Long-term debt (includes $33,070 and $29,708 measured at fair value) 275,982 280,117
Total liabilities 2,778,178 2,899,429
Commitments and contingencies (Note 6 – Securitizations and Other Variable Interest Entities and Note 12 – Commitments and Contingencies)
Shareholders’ equity    
Preferred stock, $0.01 par value; authorized – 100,000,000 shares; issued and outstanding – 4,088,101 and 3,939,686 shares 28,397 24,708
Common stock and additional paid-in capital, $0.01  par value; authorized – 12,800,000,000 shares; issued and outstanding – 7,996,777,943 and 8,077,831,463 shares 58,953 62,398
Retained earnings 207,003 188,064
Accumulated other comprehensive income (loss) (21,156) (5,104)
Total shareholders’ equity 273,197 270,066
Total liabilities and shareholders’ equity 3,051,375 3,169,495
Consolidated VIEs    
Assets    
Trading account assets (includes $115,505 and $103,434 pledged as collateral) 2,816 5,004
Debt securities:    
Loans and leases (includes $5,771 and $7,819 measured at fair value) 16,738 17,135
Allowance for loan and lease losses (797) (958)
Loans and leases, net of allowance 15,941 16,177
Other assets (includes $9,594 and $12,144 measured at fair value) 116 189
Total assets 18,873 21,370
Deposits in non-U.S. offices:    
Short-term borrowings (includes $832 and $4,279 measured at fair value) 42 247
Long-term debt (includes $33,070 and $29,708 measured at fair value) 4,581 3,587
All other liabilities (includes $13 and $7 of non-recourse liabilities) 13 7
Total liabilities $ 4,636 $ 3,841