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Deposits (Tables)
12 Months Ended
Dec. 31, 2022
Deposits [Abstract]  
Noninterest-bearing and interest-bearing deposits
At December 31, 2022 and 2021, noninterest-bearing and interest-bearing deposits were as follows.
December 31, (in millions)20222021
U.S. offices
Noninterest-bearing (included $26,363 and $8,115 at fair value)(a)
$644,902 $711,525 (b)
Interest-bearing (included $586 and $629 at fair value)(a)
1,276,346 1,359,932 (b)
Total deposits in U.S. offices1,921,248 2,071,457 
Non-U.S. offices
Noninterest-bearing (included $1,398 and $2,420 at fair value)(a)
27,005 26,229 
Interest-bearing (included $273 and $169 at fair value)(a)
391,926 364,617 
Total deposits in non-U.S. offices418,931 390,846 
Total deposits$2,340,179 $2,462,303 
(a)Includes structured notes classified as deposits for which the fair value option has been elected. Refer to Note 3 for further discussion.
(b)Prior-period amounts have been revised to conform with the current presentation.
Time deposits $250,000 or more
At December 31, 2022 and 2021, time deposits in denominations that met or exceeded the insured limit were as follows.
December 31, (in millions)20222021
U.S. offices $64,622 $38,970 
Non-U.S. offices(a)
77,907 54,535 
Total$142,529 $93,505 
(a)Represents all time deposits in non-U.S. offices as these deposits typically exceed the insured limit.
Time deposits, by maturity
At December 31, 2022, the remaining maturities of interest-bearing time deposits were as follows.
December 31, 2022
(in millions)
   
U.S.Non-U.S.Total
2023$75,606 $75,088 $150,694 
20241,335 358 1,693 
2025300 17 317 
2026178 30 208 
2027131 897 1,028 
After 5 years572 109 681 
Total$78,122 $76,499 $154,621