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PRINCIPAL TRANSACTIONS (Tables)
3 Months Ended
Mar. 31, 2025
Principal Transactions Revenue, Net [Abstract]  
Principal transactions revenue
The following table presents Principal transactions revenue:
Three Months Ended March 31,
In millions of dollars20252024
Interest rate risks(1)
$644 $716 
Foreign exchange risks(2)
1,696 1,473 
Equity risks(3)
1,038 615 
Commodity and other risks(4)
359 303 
Credit products and risks(5)
184 167 
Total$3,921 $3,274 

(1)    Includes revenues from government securities, municipal securities, mortgage securities and other debt instruments. Also includes spot and forward trading of currencies and exchange-traded and over-the-counter (OTC) currency options, options on fixed income securities, interest rate swaps, currency swaps, swap options, caps and floors, financial futures, OTC options and forward contracts on fixed income securities.
(2)    Includes revenues from foreign exchange spot, forward, option and swap contracts, as well as foreign currency translation (FX translation) gains and losses.
(3)    Includes revenues from common, preferred and convertible preferred stock, convertible corporate debt, equity-linked notes and exchange-traded and OTC equity options and warrants.
(4)    Primarily includes revenues from crude oil, refined oil products, natural gas, metals and other commodities trades.
(5)    Includes revenues from corporate debt, secondary trading loans, mortgage securities, single name and index credit default swaps, and structured credit products.