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FAIR VALUE MEASUREMENT - Level 3 Fair Value Rollforward (Details) - USD ($)
$ in Millions
3 Months Ended
Mar. 31, 2020
Mar. 31, 2019
Trading account assets and liabilities    
Fair value, Derivative assets (liabilities) measured on recurring basis, level 3 fair-value category reconciliation    
Balance at beginning of period, asset (liability), net $ (1,715) $ (901)
Net realized/unrealized gains (losses) included in principal transactions 613 (324)
Other 0 0
Transfers into Level 3 1,263 (205)
Transfers out of Level 3 (131) 293
Purchases 94 62
Issuances 56 (47)
Sales (30) (36)
Settlements 45 81
Balance at end of period, asset (liability), net 195 (1,077)
Unrealized gains (losses) still held 615 (274)
Trading account assets and liabilities | Interest rate contracts    
Fair value, Derivative assets (liabilities) measured on recurring basis, level 3 fair-value category reconciliation    
Balance at beginning of period, asset (liability), net 1 (154)
Net realized/unrealized gains (losses) included in principal transactions 351 (51)
Other 0 0
Transfers into Level 3 1,383 (15)
Transfers out of Level 3 (22) 27
Purchases 1 6
Issuances 56 12
Sales 13 0
Settlements (28) 59
Balance at end of period, asset (liability), net 1,755 (116)
Unrealized gains (losses) still held 314 (60)
Trading account assets and liabilities | Foreign exchange contracts    
Fair value, Derivative assets (liabilities) measured on recurring basis, level 3 fair-value category reconciliation    
Balance at beginning of period, asset (liability), net (5) (6)
Net realized/unrealized gains (losses) included in principal transactions (15) 60
Other 0 0
Transfers into Level 3 (25) (15)
Transfers out of Level 3 9 15
Purchases 44 3
Issuances 0 0
Sales (8) (4)
Settlements 2 (7)
Balance at end of period, asset (liability), net 2 46
Unrealized gains (losses) still held 19 28
Trading account assets and liabilities | Equity contracts    
Fair value, Derivative assets (liabilities) measured on recurring basis, level 3 fair-value category reconciliation    
Balance at beginning of period, asset (liability), net (1,596) (784)
Net realized/unrealized gains (losses) included in principal transactions (210) (294)
Other 0 0
Transfers into Level 3 (287) (154)
Transfers out of Level 3 224 9
Purchases 3 (1)
Issuances 0 (59)
Sales (1) 2
Settlements 31 (64)
Balance at end of period, asset (liability), net (1,836) (1,345)
Unrealized gains (losses) still held (223) (222)
Trading account assets and liabilities | Commodity contracts    
Fair value, Derivative assets (liabilities) measured on recurring basis, level 3 fair-value category reconciliation    
Balance at beginning of period, asset (liability), net (59) (18)
Net realized/unrealized gains (losses) included in principal transactions (459) 280
Other 0 0
Transfers into Level 3 38 (3)
Transfers out of Level 3 (56) 10
Purchases 46 54
Issuances 0 0
Sales (34) (34)
Settlements (18) 15
Balance at end of period, asset (liability), net (542) 304
Unrealized gains (losses) still held (441) 300
Trading account assets and liabilities | Credit derivatives    
Fair value, Derivative assets (liabilities) measured on recurring basis, level 3 fair-value category reconciliation    
Balance at beginning of period, asset (liability), net (56) 61
Net realized/unrealized gains (losses) included in principal transactions 946 (319)
Other 0 0
Transfers into Level 3 154 (18)
Transfers out of Level 3 (286) 232
Purchases 0 0
Issuances 0 0
Sales 0 0
Settlements 58 78
Balance at end of period, asset (liability), net 816 34
Unrealized gains (losses) still held 946 (320)
Interest-bearing deposits    
Fair value, liabilities measured on recurring basis, level 3 fair-value category reconciliation    
Balance at beginning of period, liability 215 495
Net realized/unrealized gains (losses) included in principal transactions, liabilities 0 0
Net realized/unrealized gains (losses) included in locations other than principal transactions, liabilities (6) (10)
Transfers into Level 3, liabilities 278 1
Transfers out of Level 3, liabilities 0 (4)
Purchases, liability 0 0
Issuance, liability 0 674
Sales, liability 0 0
Settlements, liability (8) (129)
Balance at end of period, liability 491 1,047
Unrealized gains (losses) still held, liabilities 0 (157)
Securities loaned and sold under agreements to repurchase    
Fair value, liabilities measured on recurring basis, level 3 fair-value category reconciliation    
Balance at beginning of period, liability 757 983
Net realized/unrealized gains (losses) included in principal transactions, liabilities 27 4
Net realized/unrealized gains (losses) included in locations other than principal transactions, liabilities 0 0
Transfers into Level 3, liabilities 0 (1)
Transfers out of Level 3, liabilities 0 4
Purchases, liability 0 0
Issuance, liability 0 0
Sales, liability 0 1
Settlements, liability 0 58
Balance at end of period, liability 730 1,041
Unrealized gains (losses) still held, liabilities (33) (2)
Trading account liabilities | Securities sold, not yet purchased    
Fair value, liabilities measured on recurring basis, level 3 fair-value category reconciliation    
Balance at beginning of period, liability 48 586
Net realized/unrealized gains (losses) included in principal transactions, liabilities (101) 124
Net realized/unrealized gains (losses) included in locations other than principal transactions, liabilities 0 0
Transfers into Level 3, liabilities 1,208 1
Transfers out of Level 3, liabilities (10) (441)
Purchases, liability 0 0
Issuance, liability 9 0
Sales, liability 0 0
Settlements, liability (22) (7)
Balance at end of period, liability 1,334 15
Unrealized gains (losses) still held, liabilities (240) 13
Trading account liabilities | Other trading liabilities    
Fair value, liabilities measured on recurring basis, level 3 fair-value category reconciliation    
Balance at beginning of period, liability 0 0
Net realized/unrealized gains (losses) included in principal transactions, liabilities 0 0
Net realized/unrealized gains (losses) included in locations other than principal transactions, liabilities 0 0
Transfers into Level 3, liabilities 0 0
Transfers out of Level 3, liabilities 0 0
Purchases, liability 0 0
Issuance, liability 0 0
Sales, liability 0 0
Settlements, liability 0 0
Balance at end of period, liability 0 0
Unrealized gains (losses) still held, liabilities 0 0
Short-term borrowings    
Fair value, liabilities measured on recurring basis, level 3 fair-value category reconciliation    
Balance at beginning of period, liability 13 37
Net realized/unrealized gains (losses) included in principal transactions, liabilities 10 23
Net realized/unrealized gains (losses) included in locations other than principal transactions, liabilities 0 0
Transfers into Level 3, liabilities 11 9
Transfers out of Level 3, liabilities 0 (6)
Purchases, liability 0 0
Issuance, liability 38 153
Sales, liability 0 0
Settlements, liability 0 0
Balance at end of period, liability 52 170
Unrealized gains (losses) still held, liabilities 10 18
Long-term debt    
Fair value, liabilities measured on recurring basis, level 3 fair-value category reconciliation    
Balance at beginning of period, liability 17,169 12,570
Net realized/unrealized gains (losses) included in principal transactions, liabilities 1,951 (407)
Net realized/unrealized gains (losses) included in locations other than principal transactions, liabilities 0 0
Transfers into Level 3, liabilities 2,051 877
Transfers out of Level 3, liabilities (1,491) (1,601)
Purchases, liability 0 0
Issuance, liability 3,340 5,950
Sales, liability 0 (3)
Settlements, liability (983) (4,466)
Balance at end of period, liability 18,135 13,734
Unrealized gains (losses) still held, liabilities 1,167 (1,001)
Other financial liabilities    
Fair value, liabilities measured on recurring basis, level 3 fair-value category reconciliation    
Balance at beginning of period, liability 0 0
Net realized/unrealized gains (losses) included in principal transactions, liabilities 0 0
Net realized/unrealized gains (losses) included in locations other than principal transactions, liabilities 0 0
Transfers into Level 3, liabilities 0 0
Transfers out of Level 3, liabilities 0 0
Purchases, liability 0 0
Issuance, liability 2 0
Sales, liability 0 0
Settlements, liability (2) 0
Balance at end of period, liability 0 0
Unrealized gains (losses) still held, liabilities 0 0
Securities borrowed and purchased under agreements to resell    
Fair value, assets measured on recurring basis, level 3 fair-value category reconciliation    
Balance at beginning of period, asset 303 115
Net realized/unrealized gains (losses) included in principal transactions (20) (4)
Net realized/unrealized gains (losses) included in locations other than principal transactions, assets 0 0
Transfers into Level 3 0 (4)
Transfers out of Level 3, assets 0 3
Purchases, assets 66 45
Issuance, assets 0 0
Sales, assets 0 0
Settlements, assets (49) (89)
Balance at end of period, asset 300 66
Unrealized gains (losses) still held, assets 3 (2)
Trading non-derivative assets    
Fair value, assets measured on recurring basis, level 3 fair-value category reconciliation    
Balance at beginning of period, asset 2,455 3,548
Net realized/unrealized gains (losses) included in principal transactions 160 60
Net realized/unrealized gains (losses) included in locations other than principal transactions, assets 0 0
Transfers into Level 3 402 58
Transfers out of Level 3, assets (148) (177)
Purchases, assets 1,273 784
Issuance, assets 8 (29)
Sales, assets (821) (695)
Settlements, assets (10) (5)
Balance at end of period, asset 3,319 3,544
Unrealized gains (losses) still held, assets 197 12
Trading non-derivative assets | U.S. government-sponsored agency guaranteed    
Fair value, assets measured on recurring basis, level 3 fair-value category reconciliation    
Balance at beginning of period, asset 10 156
Net realized/unrealized gains (losses) included in principal transactions (75) 0
Net realized/unrealized gains (losses) included in locations other than principal transactions, assets 0 0
Transfers into Level 3 12 0
Transfers out of Level 3, assets (3) (25)
Purchases, assets 141 48
Issuance, assets 0 0
Sales, assets 0 (25)
Settlements, assets 0 0
Balance at end of period, asset 85 154
Unrealized gains (losses) still held, assets 4 3
Trading non-derivative assets | Residential mortgages    
Fair value, assets measured on recurring basis, level 3 fair-value category reconciliation    
Balance at beginning of period, asset 123 268
Net realized/unrealized gains (losses) included in principal transactions (8) 1
Net realized/unrealized gains (losses) included in locations other than principal transactions, assets 0 0
Transfers into Level 3 60 5
Transfers out of Level 3, assets (4) (31)
Purchases, assets 178 69
Issuance, assets 0 0
Sales, assets (45) (184)
Settlements, assets 0 0
Balance at end of period, asset 304 128
Unrealized gains (losses) still held, assets (11) 10
Trading non-derivative assets | Commercial and other    
Fair value, assets measured on recurring basis, level 3 fair-value category reconciliation    
Balance at beginning of period, asset 61 77
Net realized/unrealized gains (losses) included in principal transactions 0 2
Net realized/unrealized gains (losses) included in locations other than principal transactions, assets 0 0
Transfers into Level 3 3 2
Transfers out of Level 3, assets (3) (1)
Purchases, assets 27 24
Issuance, assets 0 0
Sales, assets (44) (35)
Settlements, assets 0 0
Balance at end of period, asset 44 69
Unrealized gains (losses) still held, assets (1) 1
Trading non-derivative assets | Mortgage-backed securities    
Fair value, assets measured on recurring basis, level 3 fair-value category reconciliation    
Balance at beginning of period, asset 194 501
Net realized/unrealized gains (losses) included in principal transactions (83) 3
Net realized/unrealized gains (losses) included in locations other than principal transactions, assets 0 0
Transfers into Level 3 75 7
Transfers out of Level 3, assets (10) (57)
Purchases, assets 346 141
Issuance, assets 0 0
Sales, assets (89) (244)
Settlements, assets 0 0
Balance at end of period, asset 433 351
Unrealized gains (losses) still held, assets (8) 14
Trading non-derivative assets | U.S. Treasury and federal agency securities    
Fair value, assets measured on recurring basis, level 3 fair-value category reconciliation    
Balance at beginning of period, asset 0 1
Net realized/unrealized gains (losses) included in principal transactions 0 0
Net realized/unrealized gains (losses) included in locations other than principal transactions, assets 0 0
Transfers into Level 3 0 0
Transfers out of Level 3, assets 0 0
Purchases, assets 0 0
Issuance, assets 0 0
Sales, assets 0 0
Settlements, assets 0 (1)
Balance at end of period, asset 0 0
Unrealized gains (losses) still held, assets 0 0
Trading non-derivative assets | State and municipal securities    
Fair value, assets measured on recurring basis, level 3 fair-value category reconciliation    
Balance at beginning of period, asset 64 200
Net realized/unrealized gains (losses) included in principal transactions 2 (1)
Net realized/unrealized gains (losses) included in locations other than principal transactions, assets 0 0
Transfers into Level 3 10 0
Transfers out of Level 3, assets (2) (19)
Purchases, assets 21 1
Issuance, assets 0 0
Sales, assets (3) (3)
Settlements, assets 0 0
Balance at end of period, asset 92 178
Unrealized gains (losses) still held, assets 0 0
Trading non-derivative assets | Foreign government    
Fair value, assets measured on recurring basis, level 3 fair-value category reconciliation    
Balance at beginning of period, asset 52 31
Net realized/unrealized gains (losses) included in principal transactions (85) (1)
Net realized/unrealized gains (losses) included in locations other than principal transactions, assets 0 0
Transfers into Level 3 0 9
Transfers out of Level 3, assets 0 0
Purchases, assets 86 3
Issuance, assets 0 0
Sales, assets (14) (3)
Settlements, assets 0 0
Balance at end of period, asset 39 39
Unrealized gains (losses) still held, assets 70 1
Trading non-derivative assets | Corporate    
Fair value, assets measured on recurring basis, level 3 fair-value category reconciliation    
Balance at beginning of period, asset 313 360
Net realized/unrealized gains (losses) included in principal transactions 302 90
Net realized/unrealized gains (losses) included in locations other than principal transactions, assets 0 0
Transfers into Level 3 22 21
Transfers out of Level 3, assets 8 (26)
Purchases, assets 215 69
Issuance, assets 0 (33)
Sales, assets (448) (103)
Settlements, assets 0 0
Balance at end of period, asset 412 378
Unrealized gains (losses) still held, assets 246 (35)
Trading non-derivative assets | Marketable equity securities    
Fair value, assets measured on recurring basis, level 3 fair-value category reconciliation    
Balance at beginning of period, asset 100 153
Net realized/unrealized gains (losses) included in principal transactions 0 (10)
Net realized/unrealized gains (losses) included in locations other than principal transactions, assets 0 0
Transfers into Level 3 28 1
Transfers out of Level 3, assets (3) (11)
Purchases, assets 32 9
Issuance, assets 0 0
Sales, assets (14) (15)
Settlements, assets 0 0
Balance at end of period, asset 143 127
Unrealized gains (losses) still held, assets 1 14
Trading non-derivative assets | Asset-backed securities    
Fair value, assets measured on recurring basis, level 3 fair-value category reconciliation    
Balance at beginning of period, asset 1,177 1,484
Net realized/unrealized gains (losses) included in principal transactions (169) (26)
Net realized/unrealized gains (losses) included in locations other than principal transactions, assets 0 0
Transfers into Level 3 239 7
Transfers out of Level 3, assets (4) (32)
Purchases, assets 468 221
Issuance, assets 0 0
Sales, assets (150) (225)
Settlements, assets 0 0
Balance at end of period, asset 1,561 1,429
Unrealized gains (losses) still held, assets (307) 38
Trading non-derivative assets | Other    
Fair value, assets measured on recurring basis, level 3 fair-value category reconciliation    
Balance at beginning of period, asset 555 818
Net realized/unrealized gains (losses) included in principal transactions 193 5
Net realized/unrealized gains (losses) included in locations other than principal transactions, assets 0 0
Transfers into Level 3 28 13
Transfers out of Level 3, assets (137) (32)
Purchases, assets 105 340
Issuance, assets 8 4
Sales, assets (103) (102)
Settlements, assets (10) (4)
Balance at end of period, asset 639 1,042
Unrealized gains (losses) still held, assets 195 (20)
Investments    
Fair value, assets measured on recurring basis, level 3 fair-value category reconciliation    
Balance at beginning of period, asset 1,259 1,737
Net realized/unrealized gains (losses) included in principal transactions 0 0
Net realized/unrealized gains (losses) included in locations other than principal transactions, assets (96) 68
Transfers into Level 3 214 97
Transfers out of Level 3, assets 1 (94)
Purchases, assets 299 778
Issuance, assets 0 0
Sales, assets (100) (181)
Settlements, assets (10) (21)
Balance at end of period, asset 1,567 2,384
Unrealized gains (losses) still held, assets (67) 26
Investments | U.S. government-sponsored agency guaranteed    
Fair value, assets measured on recurring basis, level 3 fair-value category reconciliation    
Balance at beginning of period, asset 32 32
Net realized/unrealized gains (losses) included in principal transactions 0 0
Net realized/unrealized gains (losses) included in locations other than principal transactions, assets 14 0
Transfers into Level 3 0 0
Transfers out of Level 3, assets 1 0
Purchases, assets 0 0
Issuance, assets 0 0
Sales, assets 0 0
Settlements, assets 0 0
Balance at end of period, asset 47 32
Unrealized gains (losses) still held, assets 34 (2)
Investments | Residential mortgages    
Fair value, assets measured on recurring basis, level 3 fair-value category reconciliation    
Balance at beginning of period, asset 0 0
Net realized/unrealized gains (losses) included in principal transactions 0 0
Net realized/unrealized gains (losses) included in locations other than principal transactions, assets 0 0
Transfers into Level 3 0 0
Transfers out of Level 3, assets 0 0
Purchases, assets 0 0
Issuance, assets 0 0
Sales, assets 0 0
Settlements, assets 0 0
Balance at end of period, asset 0 0
Unrealized gains (losses) still held, assets 0 0
Investments | Commercial and other    
Fair value, assets measured on recurring basis, level 3 fair-value category reconciliation    
Balance at beginning of period, asset 0 0
Net realized/unrealized gains (losses) included in principal transactions 0 0
Net realized/unrealized gains (losses) included in locations other than principal transactions, assets 0 0
Transfers into Level 3 0 0
Transfers out of Level 3, assets 0 0
Purchases, assets 0 0
Issuance, assets 0 0
Sales, assets 0 0
Settlements, assets 0 0
Balance at end of period, asset 0 0
Unrealized gains (losses) still held, assets 0 0
Investments | Mortgage-backed securities    
Fair value, assets measured on recurring basis, level 3 fair-value category reconciliation    
Balance at beginning of period, asset 32 32
Net realized/unrealized gains (losses) included in principal transactions 0 0
Net realized/unrealized gains (losses) included in locations other than principal transactions, assets 14 0
Transfers into Level 3 0 0
Transfers out of Level 3, assets 1 0
Purchases, assets 0 0
Issuance, assets 0 0
Sales, assets 0 0
Settlements, assets 0 0
Balance at end of period, asset 47 32
Unrealized gains (losses) still held, assets 34 (2)
Investments | U.S. Treasury and federal agency securities    
Fair value, assets measured on recurring basis, level 3 fair-value category reconciliation    
Balance at beginning of period, asset 0 0
Net realized/unrealized gains (losses) included in principal transactions 0 0
Net realized/unrealized gains (losses) included in locations other than principal transactions, assets 0 0
Transfers into Level 3 0 0
Transfers out of Level 3, assets 0 0
Purchases, assets 0 0
Issuance, assets 0 0
Sales, assets 0 0
Settlements, assets 0 0
Balance at end of period, asset 0 0
Unrealized gains (losses) still held, assets 0 0
Investments | State and municipal securities    
Fair value, assets measured on recurring basis, level 3 fair-value category reconciliation    
Balance at beginning of period, asset 623 708
Net realized/unrealized gains (losses) included in principal transactions 0 0
Net realized/unrealized gains (losses) included in locations other than principal transactions, assets (31) 52
Transfers into Level 3 138 3
Transfers out of Level 3, assets 0 0
Purchases, assets 0 185
Issuance, assets 0 0
Sales, assets (43) (38)
Settlements, assets 0 0
Balance at end of period, asset 687 910
Unrealized gains (losses) still held, assets (9) 44
Investments | Foreign government    
Fair value, assets measured on recurring basis, level 3 fair-value category reconciliation    
Balance at beginning of period, asset 96 68
Net realized/unrealized gains (losses) included in principal transactions 0 0
Net realized/unrealized gains (losses) included in locations other than principal transactions, assets (2) (4)
Transfers into Level 3 27 0
Transfers out of Level 3, assets 0 0
Purchases, assets 147 39
Issuance, assets 0 0
Sales, assets (43) (32)
Settlements, assets 0 0
Balance at end of period, asset 225 71
Unrealized gains (losses) still held, assets (16) (1)
Investments | Corporate    
Fair value, assets measured on recurring basis, level 3 fair-value category reconciliation    
Balance at beginning of period, asset 45 156
Net realized/unrealized gains (losses) included in principal transactions 0 0
Net realized/unrealized gains (losses) included in locations other than principal transactions, assets (8) 0
Transfers into Level 3 49 0
Transfers out of Level 3, assets 0 (94)
Purchases, assets 152 0
Issuance, assets 0 0
Sales, assets 0 (2)
Settlements, assets 0 0
Balance at end of period, asset 238 60
Unrealized gains (losses) still held, assets 0 0
Investments | Marketable equity securities    
Fair value, assets measured on recurring basis, level 3 fair-value category reconciliation    
Balance at beginning of period, asset 0 0
Net realized/unrealized gains (losses) included in principal transactions 0 0
Net realized/unrealized gains (losses) included in locations other than principal transactions, assets 0 0
Transfers into Level 3 0 0
Transfers out of Level 3, assets 0 0
Purchases, assets 0 0
Issuance, assets 0 0
Sales, assets 0 0
Settlements, assets 0 0
Balance at end of period, asset 0 0
Unrealized gains (losses) still held, assets 0 0
Investments | Asset-backed securities    
Fair value, assets measured on recurring basis, level 3 fair-value category reconciliation    
Balance at beginning of period, asset 22 187
Net realized/unrealized gains (losses) included in principal transactions 0 0
Net realized/unrealized gains (losses) included in locations other than principal transactions, assets 5 (2)
Transfers into Level 3 0 94
Transfers out of Level 3, assets 0 0
Purchases, assets 0 550
Issuance, assets 0 0
Sales, assets (11) (23)
Settlements, assets 0 0
Balance at end of period, asset 16 806
Unrealized gains (losses) still held, assets 0 (4)
Investments | Other    
Fair value, assets measured on recurring basis, level 3 fair-value category reconciliation    
Balance at beginning of period, asset 0 0
Net realized/unrealized gains (losses) included in principal transactions 0 0
Net realized/unrealized gains (losses) included in locations other than principal transactions, assets 0 0
Transfers into Level 3 0 0
Transfers out of Level 3, assets 0 0
Purchases, assets 0 0
Issuance, assets 0 0
Sales, assets 0 0
Settlements, assets 0 0
Balance at end of period, asset 0 0
Unrealized gains (losses) still held, assets 0 0
Investments | Non-marketable equity securities    
Fair value, assets measured on recurring basis, level 3 fair-value category reconciliation    
Balance at beginning of period, asset 441 586
Net realized/unrealized gains (losses) included in principal transactions 0 0
Net realized/unrealized gains (losses) included in locations other than principal transactions, assets (74) 22
Transfers into Level 3 0 0
Transfers out of Level 3, assets 0 0
Purchases, assets 0 4
Issuance, assets 0 0
Sales, assets (3) (86)
Settlements, assets (10) (21)
Balance at end of period, asset 354 505
Unrealized gains (losses) still held, assets (76) (11)
Loans    
Fair value, assets measured on recurring basis, level 3 fair-value category reconciliation    
Balance at beginning of period, asset 402 277
Net realized/unrealized gains (losses) included in principal transactions 0 0
Net realized/unrealized gains (losses) included in locations other than principal transactions, assets (79) 45
Transfers into Level 3 217 125
Transfers out of Level 3, assets (1) (70)
Purchases, assets 0 6
Issuance, assets 0 0
Sales, assets 0 (10)
Settlements, assets (2) 0
Balance at end of period, asset 537 373
Unrealized gains (losses) still held, assets (127) 45
Mortgage servicing rights    
Fair value, assets measured on recurring basis, level 3 fair-value category reconciliation    
Balance at beginning of period, asset 495 584
Net realized/unrealized gains (losses) included in principal transactions 0 0
Net realized/unrealized gains (losses) included in locations other than principal transactions, assets (143) (27)
Transfers into Level 3 0 0
Transfers out of Level 3, assets 0 0
Purchases, assets 0 0
Issuance, assets 32 12
Sales, assets 0 0
Settlements, assets (17) (18)
Balance at end of period, asset 367 551
Unrealized gains (losses) still held, assets (133) (25)
Other financial assets measured on a recurring basis    
Fair value, assets measured on recurring basis, level 3 fair-value category reconciliation    
Balance at beginning of period, asset 1 0
Net realized/unrealized gains (losses) included in principal transactions 0 0
Net realized/unrealized gains (losses) included in locations other than principal transactions, assets 0 16
Transfers into Level 3 0 0
Transfers out of Level 3, assets 0 0
Purchases, assets 0 0
Issuance, assets 0 (2)
Sales, assets (1) (4)
Settlements, assets 0 (10)
Balance at end of period, asset 0 0
Unrealized gains (losses) still held, assets $ 0 $ 12