Quarterly report pursuant to Section 13 or 15(d)

Condensed Consolidated Balance Sheets

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Condensed Consolidated Balance Sheets (USD $)
In Millions, unless otherwise specified
Mar. 31, 2012
Dec. 31, 2011
Mar. 31, 2011
ASSETS      
Cash and cash equivalents $ 10,789 $ 13,731 $ 14,399
Cash and securities segregated for regulatory purposes or deposited with clearing organizations 14,453 11,757  
Securities financing transactions      
Receivables under resale agreements (includes $90,998 in 2012 and $85,652 in 2011 measured at fair value in accordance with the fair value option election) 147,975 143,491  
Receivables under securities borrowed transactions (includes $533 in 2012 and $259 in 2011 measured at fair value in accordance with the fair value option election) 67,367 58,109  
Total securities financing transactions 215,342 201,600  
Trading assets, at fair value (includes securities pledged as collateral that can be sold or repledged of $45,355 in 2012 and $34,932 in 2011):      
Derivative Contracts 29,214 35,013  
Equities and convertible debentures 34,345 25,619  
Non-U.S. governments and agencies 38,009 30,239  
Corporate debt and preferred stock 18,649 17,305  
Mortgages, mortgage-backed, and asset-backed 9,162 8,254  
U.S. Government and agencies 51,742 43,003  
Municipals, money markets, physical commodities and other 13,368 13,044  
Total trading assets at fair value 194,489 172,477  
Investment securities (includes $209 in 2012 and $244 in 2011 measured at fair value in accordance with the fair valu option election) 6,675 6,684  
Securities received as collateral, at fair value 17,615 13,716  
Receivables from Bank of America 42,837 50,972  
Other receivables      
Customers (net of allowance for doubtful accounts of $15 in 2012 and $15 in 2011) 22,566 20,512  
Brokers and dealers 9,804 8,691  
Interest and other 9,190 9,130  
Total other receivable 41,560 38,333  
Loans, notes, and mortgages (net of allwances for loan loasses of $75 in 2012 and $72 in 2011) (includes $2,774 in 2012 and $2,322 in 2011 measured at fair value in accordance with the fair value option election) 20,429 20,574  
Equipment and facilities, net 1,383 1,385  
Goodwill and intangible assets 10,014 10,079  
Other assets 15,266 15,155  
Total Assets 590,852 556,463  
LIABILITIES      
Payables under repurchase agreements (includes $54,434 in 2012 and $34,235 in 2011 measured at fair value in accordance with the fair value option election) 214,096 173,767  
Payables under securities loaned transactions 15,459 11,460  
Total securities financing transactions 229,555 185,227  
Short-term borrowings (includes $5,732 in 2012 and $5,908 in 2011 measured at fair value in accordance with the fair value option election) 5,918 6,051  
Deposits 12,538 12,364  
Trading liabilities, at fair value      
Derivative contracts 24,664 26,239  
Equities and convertible debentures 17,913 12,223  
Non-U.S. governments and agencies 18,414 16,554  
Corporate debt and preferred stock 8,659 7,084  
U.S. Government and agencies 17,874 16,976  
Municipals, money markets and other 465 645  
Total Trading liabilities 87,989 79,721  
Obligation to return securities received as collateral, at fair value 17,615 13,716  
Payables to Bank of America 13,134 31,779  
Other payables      
Customers 43,362 40,153  
Brokers and dealers 8,088 8,667  
Interest and other (includes $123 in 2012 and $173 in 2011 measured at fair value in accordance with the fair value option election) 17,587 18,099  
Total other payables 69,037 66,919  
Long-term borrowings (includes $32,569 in 2012 and $30,325 in 2011 measured at fair value in accordance with the fair value option election) 102,082 107,118  
Junior subordinated notes (related to trust preferred securities) 3,606 3,600  
Total Liabilities 541,474 506,495  
COMMITMENTS AND CONTINGENCIES        
STOCKHOLDER'S EQUITY      
Common stock (par value $1.33-1/3 per share; authorized: 3,000,000,000 shares; issued: 2012 and 2011 - 1,000 shares)        
Paid-in capital 42,953 41,967  
Accumulated other comprehensive loss (net of tax) (183) (235)  
Retained earnings 6,608 8,236  
Total Stockholder's Equity 49,378 49,968  
Total Liabilities and Stockholder's Equity 590,852 556,463  
Consolidated VIE
     
Trading assets, at fair value (includes securities pledged as collateral that can be sold or repledged of $45,355 in 2012 and $34,932 in 2011):      
Trading assets 8,947 8,800  
Investment securities (includes $209 in 2012 and $244 in 2011 measured at fair value in accordance with the fair valu option election) 76 162  
Other receivables      
Loans, notes, and mortgages (net of allwances for loan loasses of $75 in 2012 and $72 in 2011) (includes $2,774 in 2012 and $2,322 in 2011 measured at fair value in accordance with the fair value option election) 69 94  
Other assets 1,352 3,022  
Total Assets 10,444 12,078  
LIABILITIES      
Short-term borrowings (includes $5,732 in 2012 and $5,908 in 2011 measured at fair value in accordance with the fair value option election) 4,700 4,939  
Trading liabilities, at fair value      
Derivative contracts 4 4  
Other payables      
Interest and other (includes $123 in 2012 and $173 in 2011 measured at fair value in accordance with the fair value option election) 173 186  
Long-term borrowings (includes $32,569 in 2012 and $30,325 in 2011 measured at fair value in accordance with the fair value option election) 7,028 6,595  
Total Liabilities $ 11,905 $ 11,724