Quarterly report pursuant to Section 13 or 15(d)

Condensed Consolidated Balance Sheets (Unaudited)

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Condensed Consolidated Balance Sheets (Unaudited) (USD $)
In Millions
Sep. 30, 2011
Dec. 31, 2010
ASSETS    
Cash and cash equivalents $ 13,301 $ 17,220
Cash and securities segregated for regulatory purposes or deposited with clearing organizations 13,172 12,424
Securities financing transactions    
Receivables under resale agreements (includes $89,119 in 2011 and $74,255 in 2010 measured at fair value in accordance with the fair value option election) 175,640 138,219
Receivables under securities borrowed transactions (includes $1,543 in 2011 and $1,672 in 2010 measured at fair value in accordance with the fair value option election) 61,362 60,458
Total securities financing transactions 237,002 198,677
Trading assets, at fair value (includes securities pledged as collateral that can be sold or repledged of $42,251 in 2011 and $33,933 in 2010):    
Derivative contracts 39,233 39,371
Equities and convertible debentures 25,066 34,204
Non-U.S. governments and agencies 28,345 22,248
Corporate debt and preferred stock 20,272 27,703
Mortgages, mortgage-backed, and asset-backed 7,240 10,994
U.S. Government and agencies 43,566 41,378
Municipals, money markets, physical commodities and other 15,089 14,759
Total trading assets at fair value 178,811 190,657
Investment securities (includes $201 in 2011 and $310 in 2010 measured at fair value in accordance with the fair value option election) 8,031 17,769
Securities received as collateral, at fair value 12,558 20,363
Receivables from Bank of America 55,658 60,655
Other receivables    
Customers (net of allowance for doubtful accounts of $15 in 2011 and $8 in 2010) 23,253 22,080
Brokers and dealers 10,378 16,483
Interest and other 12,504 10,633
Total other receivable 46,135 49,196
Loans, notes, and mortgages (net of allowances for loan losses of $90 in 2011 and $170 in 2010) (includes $2,399 in 2011 and $3,190 in 2010 measured at fair value in accordance with the fair value option election) 21,916 25,803
Equipment and facilities, net 1,471 1,712
Goodwill and intangible assets 9,482 9,714
Other assets 17,745 17,436
Total Assets 615,282 621,626
LIABILITIES    
Payables under repurchase agreements (includes $36,943 in 2011 and $37,394 in 2010 measured at fair value in accordance with the fair value option election) 203,220 183,758
Payables under securities loaned transactions 14,795 15,251
Total securities financing transactions 218,015 199,009
Short-term borrowings (includes $5,527 in 2011 and $6,472 in 2010 measured at fair value in accordance with the fair value option election) 7,104 15,248
Deposits 12,277 12,826
Trading liabilities, at fair value    
Derivative contracts 29,538 32,197
Equities and convertible debentures 16,602 14,026
Non-U.S. governments and agencies 16,702 15,705
Corporate debt and preferred stock 9,655 9,500
U.S. Government and agencies 16,677 24,747
Municipals, money markets and other 473 571
Total Trading liabilities 89,647 96,746
Obligation to return securities received as collateral, at fair value 12,558 20,363
Payables to Bank of America 33,587 23,021
Other payables    
Customers 42,430 39,045
Brokers and dealers 11,211 12,895
Interest and other (includes $189 in 2011 and $165 in 2010 measured at fair value in accordance with the fair value option election) 19,888 19,900
Total other payables 73,529 71,840
Long-term borrowings (includes $31,021 in 2011 and $39,214 in 2010 measured at fair value in accordance with the fair value option election) 114,917 128,851
Junior subordinated notes (related to trust preferred securities) 3,594 3,576
Total Liabilities 565,228 571,480
COMMITMENTS AND CONTINGENCIES    
STOCKHOLDER'S EQUITY    
Common stock (par value $1.33-1/3 per share; authorized: 3,000,000,000 shares; issued: 1,000 shares)    
Paid-in capital 41,257 40,416
Accumulated other comprehensive loss (net of tax) (284) (254)
Retained earnings 9,081 9,984
Total Stockholder's Equity 50,054 50,146
Total Liabilities and Stockholder's Equity 615,282 621,626
Consolidated VIE
   
Trading assets, at fair value (includes securities pledged as collateral that can be sold or repledged of $42,251 in 2011 and $33,933 in 2010):    
Trading assets, excluding derivative contracts 8,766 10,838
Derivative contracts 0 41
Investment securities (includes $201 in 2011 and $310 in 2010 measured at fair value in accordance with the fair value option election) 264 309
Other receivables    
Loans, notes, and mortgages (net of allowances for loan losses of $90 in 2011 and $170 in 2010) (includes $2,399 in 2011 and $3,190 in 2010 measured at fair value in accordance with the fair value option election) 108 221
Other assets 1,511 1,597
Total Assets 10,649 13,006
LIABILITIES    
Short-term borrowings (includes $5,527 in 2011 and $6,472 in 2010 measured at fair value in accordance with the fair value option election) 5,314 4,642
Trading liabilities, at fair value    
Derivative contracts 4 1
Payables to Bank of America 13 2
Other payables    
Interest and other (includes $189 in 2011 and $165 in 2010 measured at fair value in accordance with the fair value option election) 180 53
Long-term borrowings (includes $31,021 in 2011 and $39,214 in 2010 measured at fair value in accordance with the fair value option election) 5,617 6,674
Total Liabilities $ 11,128 $ 11,372