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COLLATERALIZED AGREEMENTS AND FINANCINGS (Tables)
12 Months Ended
Sep. 30, 2024
Offsetting [Abstract]  
Schedule of Offsetting Transactions, Assets For financial statement purposes, we do not offset our reverse repurchase agreements, repurchase agreements, securities borrowed, and securities loaned because the conditions for netting as specified by GAAP are not met. Although not offset on the Consolidated Statements of Financial Condition, these transactions are included in the following table.
Collateralized agreementsCollateralized financings
$ in millionsReverse repurchase agreementsSecurities borrowedTotalRepurchase agreementsSecurities loanedTotal
September 30, 2024
Gross amounts of recognized assets/liabilities$413 $336 $749 $402 $536 $938 
Gross amounts offset on the Consolidated Statements of Financial Condition      
Net amounts included in the Consolidated Statements of Financial Condition413 336 749 402 536 938 
Gross amounts not offset on the Consolidated Statements of Financial Condition(413)(326)(739)(402)(522)(924)
Net amounts$ $10 $10 $ $14 $14 
September 30, 2023
Gross amounts of recognized assets/liabilities$187 $231 $418 $157 $180 $337 
Gross amounts offset on the Consolidated Statements of Financial Condition— — — — — — 
Net amounts included in the Consolidated Statements of Financial Condition187 231 418 157 180 337 
Gross amounts not offset on the Consolidated Statements of Financial Condition(187)(224)(411)(157)(173)(330)
Net amounts$— $$$— $$
Schedule of Offsetting Transactions, Liabilities For financial statement purposes, we do not offset our reverse repurchase agreements, repurchase agreements, securities borrowed, and securities loaned because the conditions for netting as specified by GAAP are not met. Although not offset on the Consolidated Statements of Financial Condition, these transactions are included in the following table.
Collateralized agreementsCollateralized financings
$ in millionsReverse repurchase agreementsSecurities borrowedTotalRepurchase agreementsSecurities loanedTotal
September 30, 2024
Gross amounts of recognized assets/liabilities$413 $336 $749 $402 $536 $938 
Gross amounts offset on the Consolidated Statements of Financial Condition      
Net amounts included in the Consolidated Statements of Financial Condition413 336 749 402 536 938 
Gross amounts not offset on the Consolidated Statements of Financial Condition(413)(326)(739)(402)(522)(924)
Net amounts$ $10 $10 $ $14 $14 
September 30, 2023
Gross amounts of recognized assets/liabilities$187 $231 $418 $157 $180 $337 
Gross amounts offset on the Consolidated Statements of Financial Condition— — — — — — 
Net amounts included in the Consolidated Statements of Financial Condition187 231 418 157 180 337 
Gross amounts not offset on the Consolidated Statements of Financial Condition(187)(224)(411)(157)(173)(330)
Net amounts$— $$$— $$
Remaining Contractual Maturity of Repurchase Agreements and Securities Lending Transactions Accounted for as Secured Borrowings
The following table presents our repurchase agreements and securities lending transactions accounted for as secured borrowings by type of collateral. Such secured borrowings have no stated maturity and are generally overnight and continuous.
September 30,
$ in millions20242023
Repurchase agreements:
Government and agency obligations$206 $122 
Agency MBS and agency CMOs196 35 
Total repurchase agreements
402 157 
Securities loaned:
Equity securities536 180 
Total collateralized financings$938 $337 
Collateral
The following table presents financial instruments at fair value that we received as collateral, were not included on our Consolidated Statements of Financial Condition, and that were available to be delivered or repledged, along with the balances of such instruments that were delivered or repledged, to satisfy one of our purposes previously described.
September 30,
$ in millions20242023
Collateral we received that was available to be delivered or repledged$3,800 $3,267 
Collateral that we delivered or repledged $1,653 $730 
Encumbered Assets The following table presents information about our assets that have been pledged for such purposes.
September 30,
$ in millions20242023
Had the right to deliver or repledge$1,281 $1,091 
Did not have the right to deliver or repledge$66 $63 
The following table presents information about our assets that have been pledged with the FHLB or FRB.
September 30,
$ in millions20242023
Assets pledged with the FHLB or FRB:
Available-for-sale securities$3,979 $3,897 
Bank loans11,794 10,166 
Total assets pledged with the FHLB or FRB$15,773 $14,063