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Fair Value Measurement - Changes in Level 3 Recurring Measurements (Details) - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Net derivative receivables:      
Beginning balance $ (4,894) $ (4,993) $ (4,489)
Total realized/unrealized gains/(losses) 6,726 502 1,908
Purchases 1,893 1,662 2,121
Sales (3,467) (3,620) (2,884)
Settlements 587 1,031 (446)
Transfers into level 3 89 445 (1,505)
Transfers (out of) level 3 (261) 79 302
Ending balance 673 (4,894) (4,993)
Change in unrealized gains/(losses) related to financial instruments held $ 4,765 $ (145) $ 42
Fair Value, Net Derivative Asset (Liability), Recurring Basis, Still Held, Unrealized Gain (Loss), Statement of Income or Comprehensive Income [Extensible Enumeration] Principal Transactions Revenue, Net Principal Transactions Revenue, Net Principal Transactions Revenue, Net
Level 3 Rollforward Supplemental Data [Abstract]      
Level 3 assets as a percentage of total firm assets at fair value 2.00% 2.00% 1.00%
Level 3 liabilities as a percentage of total firm liabilities at fair value 8.00% 10.00% 9.00%
Deposits      
Liabilities:      
Beginning balance $ 2,317 $ 2,913 $ 3,360
Total realized/unrealized (gains)/losses (292) (80) 165
Purchases 0 0 0
Sales 0 0 0
Issuances 531 431 671
Settlements (114) (467) (605)
Transfers into level 3 0 2 265
Transfers (out of) level 3 (280) (482) (943)
Ending balance 2,162 2,317 2,913
Change in unrealized (gains)/losses related to financials instruments held (76) (77) 455
Short-term borrowings      
Liabilities:      
Beginning balance 2,481 2,420 1,674
Total realized/unrealized (gains)/losses (358) (1,391) (338)
Purchases 0 0 0
Sales 0 0 0
Issuances 3,963 6,823 5,140
Settlements (4,685) (5,308) (4,115)
Transfers into level 3 15 9 105
Transfers (out of) level 3 (15) (72) (46)
Ending balance 1,401 2,481 2,420
Change in unrealized (gains)/losses related to financials instruments held 90 (83) 143
Total debt and equity instruments      
Liabilities:      
Beginning balance 30 51 41
Total realized/unrealized (gains)/losses (31) (8) (2)
Purchases (41) (101) (126)
Sales 77 38 14
Issuances 0 0 0
Settlements 0 0 (4)
Transfers into level 3 57 64 136
Transfers (out of) level 3 (8) (14) (8)
Ending balance 84 30 51
Change in unrealized (gains)/losses related to financials instruments held 101 (157) (1)
Accounts payable and other liabilities      
Liabilities:      
Beginning balance 69 68 45
Total realized/unrealized (gains)/losses (16) 8 33
Purchases (37) 0 (87)
Sales 42 1 37
Issuances 0 0 0
Settlements 0 0 0
Transfers into level 3 1 0 47
Transfers (out of) level 3 (6) (8) (7)
Ending balance 53 69 68
Change in unrealized (gains)/losses related to financials instruments held (16) 8 28
Long-term debt      
Liabilities:      
Beginning balance 24,374 23,397 23,339
Total realized/unrealized (gains)/losses (3,869) 369 40
Purchases 0 0 0
Sales 0 0 0
Issuances 12,714 13,505 9,883
Settlements (8,876) (12,191) (9,833)
Transfers into level 3 793 103 1,250
Transfers (out of) level 3 (1,044) (809) (1,282)
Ending balance 24,092 24,374 23,397
Change in unrealized (gains)/losses related to financials instruments held (3,447) 87 1,920
DVA for fair value option elected liabilities      
Level 3 Rollforward Supplemental Data [Abstract]      
Unrealized (gains)/losses on liabilities recorded in OCI (529) 258 221
Interest rate      
Net derivative receivables:      
Beginning balance (16) 258 (332)
Total realized/unrealized gains/(losses) 187 1,789 2,682
Purchases 325 116 308
Sales (483) (192) (148)
Settlements 329 (2,011) (2,228)
Transfers into level 3 732 112 (332)
Transfers (out of) level 3 (373) (88) 308
Ending balance 701 (16) 258
Change in unrealized gains/(losses) related to financial instruments held 332 282 325
Credit      
Net derivative receivables:      
Beginning balance 74 (224) (139)
Total realized/unrealized gains/(losses) 226 130 (212)
Purchases 17 6 73
Sales (9) (12) (154)
Settlements (271) 146 181
Transfers into level 3 5 34 59
Transfers (out of) level 3 (29) (6) (32)
Ending balance 13 74 (224)
Change in unrealized gains/(losses) related to financial instruments held 170 141 (110)
Foreign exchange      
Net derivative receivables:      
Beginning balance (419) (434) (607)
Total realized/unrealized gains/(losses) 726 (209) 49
Purchases 215 110 49
Sales (114) (110) (24)
Settlements 83 222 83
Transfers into level 3 3 (12) 13
Transfers (out of) level 3 (5) 14 3
Ending balance 489 (419) (434)
Change in unrealized gains/(losses) related to financial instruments held 459 13 116
Equity      
Net derivative receivables:      
Beginning balance (3,626) (3,862) (3,395)
Total realized/unrealized gains/(losses) 5,016 (480) (65)
Purchases 1,226 1,285 1,664
Sales (2,530) (2,813) (2,317)
Settlements 96 1,758 1,162
Transfers into level 3 (656) 315 (935)
Transfers (out of) level 3 90 171 24
Ending balance (384) (3,626) (3,862)
Change in unrealized gains/(losses) related to financial instruments held 3,435 (155) (556)
Commodity      
Net derivative receivables:      
Beginning balance (907) (731) (16)
Total realized/unrealized gains/(losses) 571 (728) (546)
Purchases 110 145 27
Sales (331) (493) (241)
Settlements 350 916 356
Transfers into level 3 5 (4) (310)
Transfers (out of) level 3 56 (12) (1)
Ending balance (146) (907) (731)
Change in unrealized gains/(losses) related to financial instruments held 369 (426) 267
Federal funds sold and securities purchased under resale agreements      
Assets:      
Fair value, beginning balance 0 0 0
Total realized/unrealized gains/(losses) 0 0 0
Purchases 1 0 0
Sales (1) 0 0
Settlements (1) 0 0
Transfers into level 3 1 0 0
Transfers (out of) level 3 0 0 0
Fair value, ending balance 0 0 0
Change in unrealized gains/(losses) related to financial instruments held 0 0 0
Total mortgage-backed securities      
Assets:      
Fair value, beginning balance 303 480 824
Total realized/unrealized gains/(losses) 30 (23) (170)
Purchases 680 59 150
Sales (131) (98) (154)
Settlements (96) (132) (166)
Transfers into level 3 7 19 2
Transfers (out of) level 3 (22) (2) (6)
Fair value, ending balance 771 303 480
Change in unrealized gains/(losses) related to financial instruments held 29 (36) (151)
Mortgage-backed securities, U.S. GSEs and government agencies      
Assets:      
Fair value, beginning balance 265 449 797
Total realized/unrealized gains/(losses) 31 (28) (172)
Purchases 673 21 134
Sales (125) (67) (149)
Settlements (84) (110) (161)
Transfers into level 3 4 1 0
Transfers (out of) level 3 (5) (1) 0
Fair value, ending balance 759 265 449
Change in unrealized gains/(losses) related to financial instruments held 29 (31) (150)
Mortgage-backed securities, Residential - nonagency      
Assets:      
Fair value, beginning balance 28 28 23
Total realized/unrealized gains/(losses) (1) 0 2
Purchases 7 26 15
Sales (5) (24) (5)
Settlements (12) (5) (4)
Transfers into level 3 0 4 0
Transfers (out of) level 3 (12) (1) (3)
Fair value, ending balance 5 28 28
Change in unrealized gains/(losses) related to financial instruments held 0 (3) (1)
Mortgage-backed securities, Commercial - nonagency      
Assets:      
Fair value, beginning balance 10 3 4
Total realized/unrealized gains/(losses) 0 5 0
Purchases 0 12 1
Sales (1) (7) 0
Settlements 0 (17) (1)
Transfers into level 3 3 14 2
Transfers (out of) level 3 (5) 0 (3)
Fair value, ending balance 7 10 3
Change in unrealized gains/(losses) related to financial instruments held 0 (2) 0
Total debt and equity instruments      
Assets:      
Fair value, beginning balance 2,279 2,623 2,685
Total realized/unrealized gains/(losses) (1,082) (33) (52)
Purchases 2,762 2,503 2,810
Sales (1,653) (1,855) (1,514)
Settlements (654) (531) (1,099)
Transfers into level 3 2,445 1,000 1,754
Transfers (out of) level 3 (1,188) (1,428) (1,961)
Fair value, ending balance 2,909 2,279 2,623
Change in unrealized gains/(losses) related to financial instruments held (992) (388) (23)
Total debt instruments      
Assets:      
Fair value, beginning balance 1,457 2,098 2,257
Total realized/unrealized gains/(losses) (138) (30) (248)
Purchases 2,249 1,892 2,169
Sales (1,276) (1,687) (1,129)
Settlements (431) (433) (601)
Transfers into level 3 1,378 831 1,213
Transfers (out of) level 3 (1,061) (1,214) (1,563)
Fair value, ending balance 2,178 1,457 2,098
Change in unrealized gains/(losses) related to financial instruments held (197) (84) (209)
Obligations of U.S. states and municipalities      
Assets:      
Fair value, beginning balance 7 8 10
Total realized/unrealized gains/(losses) 0 0 0
Purchases 0 0 0
Sales 0 0 (1)
Settlements 0 (1) (1)
Transfers into level 3 0 0 0
Transfers (out of) level 3 0 0 0
Fair value, ending balance 7 7 8
Change in unrealized gains/(losses) related to financial instruments held 0 0 0
Non-U.S. government debt securities      
Assets:      
Fair value, beginning balance 81 182 155
Total realized/unrealized gains/(losses) (92) (14) 21
Purchases 494 359 281
Sales (338) (332) (245)
Settlements (4) (7) (7)
Transfers into level 3 84 0 0
Transfers (out of) level 3 (70) (107) (23)
Fair value, ending balance 155 81 182
Change in unrealized gains/(losses) related to financial instruments held (153) (10) 11
Corporate debt securities      
Assets:      
Fair value, beginning balance 332 507 558
Total realized/unrealized gains/(losses) (30) (23) (23)
Purchases 404 404 582
Sales (178) (489) (205)
Settlements (100) (4) (236)
Transfers into level 3 357 162 411
Transfers (out of) level 3 (322) (225) (580)
Fair value, ending balance 463 332 507
Change in unrealized gains/(losses) related to financial instruments held (48) (16) (25)
Loans      
Assets:      
Fair value, beginning balance 708 893 673
Total realized/unrealized gains/(losses) (51) 2 (73)
Purchases 652 994 1,112
Sales (605) (669) (484)
Settlements (230) (287) (182)
Transfers into level 3 925 648 791
Transfers (out of) level 3 (640) (873) (944)
Fair value, ending balance 759 708 893
Change in unrealized gains/(losses) related to financial instruments held (26) (20) (40)
Asset-backed securities      
Assets:      
Fair value, beginning balance 26 28 37
Total realized/unrealized gains/(losses) 5 28 (3)
Purchases 19 76 44
Sales (24) (99) (40)
Settlements (1) (2) (9)
Transfers into level 3 5 2 9
Transfers (out of) level 3 (7) (7) (10)
Fair value, ending balance 23 26 28
Change in unrealized gains/(losses) related to financial instruments held 1 (2) (4)
Equity securities      
Assets:      
Fair value, beginning balance 662 476 196
Total realized/unrealized gains/(losses) (1,036) (77) (137)
Purchases 473 378 412
Sales (377) (168) (376)
Settlements (2) 0 (1)
Transfers into level 3 1,066 164 535
Transfers (out of) level 3 (121) (111) (153)
Fair value, ending balance 665 662 476
Change in unrealized gains/(losses) related to financial instruments held (840) (335) (82)
Physical commodities      
Assets:      
Fair value, beginning balance 0 0 0
Total realized/unrealized gains/(losses) (1) 0 0
Purchases 3 0 0
Sales 0 0 0
Settlements 0 0 0
Transfers into level 3 0 0 0
Transfers (out of) level 3 0 0 0
Fair value, ending balance 2 0 0
Change in unrealized gains/(losses) related to financial instruments held (1) 0 0
Other      
Assets:      
Fair value, beginning balance 160 49 232
Total realized/unrealized gains/(losses) 93 74 333
Purchases 37 233 229
Sales 0 0 (9)
Settlements (221) (98) (497)
Transfers into level 3 1 5 6
Transfers (out of) level 3 (6) (103) (245)
Fair value, ending balance 64 160 49
Change in unrealized gains/(losses) related to financial instruments held 46 31 268
Total available-for-sale securities      
Assets:      
Fair value, beginning balance 161 0 1
Total realized/unrealized gains/(losses) 5 (1) 0
Purchases 88 162 0
Sales 0 0 0
Settlements (15) 0 (1)
Transfers into level 3 0 0 0
Transfers (out of) level 3 0 0 0
Fair value, ending balance 239 161 0
Change in unrealized gains/(losses) related to financial instruments held 5 (1) 0
Mortgage-backed securities      
Assets:      
Fair value, beginning balance 0 0 1
Total realized/unrealized gains/(losses) 0 0 0
Purchases 0 0 0
Sales 0 0 0
Settlements 0 0 (1)
Transfers into level 3 0 0 0
Transfers (out of) level 3 0 0 0
Fair value, ending balance 0 0 0
Change in unrealized gains/(losses) related to financial instruments held 0 0 0
Corporate debt securities      
Assets:      
Fair value, beginning balance 161 0 0
Total realized/unrealized gains/(losses) 5 (1) 0
Purchases 88 162 0
Sales 0 0 0
Settlements (15) 0 0
Transfers into level 3 0 0 0
Transfers (out of) level 3 0 0 0
Fair value, ending balance 239 161 0
Change in unrealized gains/(losses) related to financial instruments held 5 (1) 0
Loans      
Assets:      
Fair value, beginning balance 1,933 2,305 516
Total realized/unrealized gains/(losses) (158) (87) (243)
Purchases 568 612 962
Sales (261) (439) (84)
Settlements (886) (965) (733)
Transfers into level 3 1,053 1,301 2,571
Transfers (out of) level 3 (831) (794) (684)
Fair value, ending balance 1,418 1,933 2,305
Change in unrealized gains/(losses) related to financial instruments held (76) (59) (18)
Mortgage servicing rights      
Assets:      
Fair value, beginning balance 5,494 3,276 4,699
Total realized/unrealized gains/(losses) 2,039 98 (1,540)
Purchases 2,198 3,022 1,192
Sales (822) (114) (176)
Settlements (936) (788) (899)
Transfers into level 3 0 0 0
Transfers (out of) level 3 0 0 0
Fair value, ending balance 7,973 5,494 3,276
Change in unrealized gains/(losses) related to financial instruments held 2,039 98 (1,540)
Other assets      
Assets:      
Fair value, beginning balance 306 538 917
Total realized/unrealized gains/(losses) 194 16 (63)
Purchases 50 9 75
Sales (38) (17) (104)
Settlements (103) (239) (320)
Transfers into level 3 2 0 40
Transfers (out of) level 3 (6) (1) (7)
Fair value, ending balance 405 306 538
Change in unrealized gains/(losses) related to financial instruments held $ 191 $ 11 $ (3)