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Fair Value Measurement - Level 3 Analysis (Details) - USD ($)
$ in Millions
3 Months Ended 6 Months Ended
Jun. 30, 2015
Jun. 30, 2014
Jun. 30, 2015
Jun. 30, 2014
Dec. 31, 2014
Level 3 Analysis - Supplemental Data [Abstract]          
Percentage of level 3 assets in total Firm assets 1.70%   1.70%    
Derivatives, total realized/unrealized gains/(losses) $ 1,416 $ (426) $ 1,946 $ (799)  
Liability          
Level 3 Analysis - Supplemental Data [Abstract]          
Liabilities, total realized/unrealized gains/(losses)   (456)      
Trading assets, debt and equity instruments          
Level 3 Analysis - Supplemental Data [Abstract]          
Assets, total realized/unrealized gains/(losses)       $ 1,600  
Derivative asset          
Level 3 Analysis - Supplemental Data [Abstract]          
Derivatives, total realized/unrealized gains/(losses) 1,400   2,000    
Total assets          
Level 3 Analysis - Supplemental Data [Abstract]          
Assets, total realized/unrealized gains/(losses)   $ 521      
Recurring          
Level 3 Analysis - Supplemental Data [Abstract]          
Assets fair value 690,278   690,278   $ 747,731
Recurring | Level 3          
Level 3 Analysis - Supplemental Data [Abstract]          
Assets fair value 40,636   40,636   $ 49,252
Increase (decrease) in level 3 assets (5,400)   (8,600)    
Recurring | Level 3 | Trading assets, debt and equity instruments          
Level 3 Analysis - Supplemental Data [Abstract]          
Increase (decrease) in level 3 assets $ (3,200)   $ (6,500)