XML 152 R30.htm IDEA: XBRL DOCUMENT v3.19.3
Collateralized Transactions (Tables)
9 Months Ended
Sep. 30, 2019
Collateralized Agreements [Abstract]  
Schedule of Offsetting of Certain Collaterized Transactions
Offsetting of Certain Collateralized Transactions
 
At September 30, 2019
$ in millions
Gross
Amounts
Amounts
Offset
Net
Amounts
Presented
Amounts
Not Offset1
Net
Amounts
Assets
 
 
 
 
 
Securities purchased under agreements to resell
$
263,485

$
(170,118
)
$
93,367

$
(91,505
)
$
1,862

Securities borrowed
142,723

(10,322
)
132,401

(126,161
)
6,240

Liabilities
 
 
 
 
 
Securities sold under agreements to repurchase
$
229,626

$
(170,164
)
$
59,462

$
(42,091
)
$
17,371

Securities loaned
19,967

(10,276
)
9,691

(9,660
)
31

Net amounts for which master netting agreements are not in place or may not be legally enforceable
Securities purchased under agreements to resell
$
1,390

Securities borrowed
 
 
1,578

Securities sold under agreements to repurchase
 
15,695

Securities loaned
 
 
 
 
20

 
At December 31, 2018
$ in millions
Gross
Amounts
Amounts
Offset
Net
Amounts
Presented
Amounts
Not Offset1
Net
Amounts
Assets
 
 
 
 
 
Securities purchased under agreements to resell
$
262,976

$
(164,454
)
$
98,522

$
(95,610
)
$
2,912

Securities borrowed
134,711

(18,398
)
116,313

(112,551
)
3,762

Liabilities
 
 
 
 
 
Securities sold under agreements to repurchase
$
214,213

$
(164,454
)
$
49,759

$
(41,095
)
$
8,664

Securities loaned
30,306

(18,398
)
11,908

(11,677
)
231

Net amounts for which master netting agreements are not in place or may not be legally enforceable
Securities purchased under agreements to resell
$
2,579

Securities borrowed
 
 
724

Securities sold under agreements to repurchase
 
6,762

Securities loaned
 
 
 
 
191

1.
Amounts relate to master netting agreements that have been determined by the Firm to be legally enforceable in the event of default but where certain other criteria are not met in accordance with applicable offsetting accounting guidance.
Schedule of Gross Secured Financing Balances
Gross Secured Financing Balances by Remaining Contractual Maturity
 
At September 30, 2019
$ in millions
Overnight
and Open
Less than
30 Days
30-90
Days
Over
90 Days
Total
Securities sold under agreements to repurchase
$
78,896

$
74,832

$
31,794

$
44,104

$
229,626

Securities loaned
9,780

4,540

611

5,036

19,967

Total included in the offsetting disclosure
$
88,676

$
79,372

$
32,405

$
49,140

$
249,593

Trading liabilities—
Obligation to return securities received as collateral
21,440




21,440

Total
$
110,116

$
79,372

$
32,405

$
49,140

$
271,033

 
At December 31, 2018
$ in millions
Overnight
and Open
Less than
30 Days
30-90
Days
Over
90 Days
Total
Securities sold under agreements to repurchase
$
56,503

$
93,427

$
35,692

$
28,591

$
214,213

Securities loaned
18,397

3,609

1,985

6,315

30,306

Total included in the offsetting disclosure
$
74,900

$
97,036

$
37,677

$
34,906

$
244,519

Trading liabilities—
Obligation to return securities received as collateral
17,594




17,594

Total
$
92,494

$
97,036

$
37,677

$
34,906

$
262,113

Gross Secured Financing Balances by Class of Collateral Pledged
$ in millions
At
September 30,
2019
At
December 31,
2018
Securities sold under agreements to repurchase
U.S. Treasury and agency securities
$
81,642

$
68,487

State and municipal securities
1,164

925

Other sovereign government obligations
117,949

120,432

ABS
2,338

3,017

Corporate and other debt
7,718

8,719

Corporate equities
18,279

12,079

Other
536

554

Total
$
229,626

$
214,213

Securities loaned
 
 
Other sovereign government obligations
$
10,667

$
19,021

Corporate equities
9,242

10,800

Other
58

485

Total
$
19,967

$
30,306

Total included in the offsetting disclosure
$
249,593

$
244,519

Trading liabilities—Obligation to return securities received as collateral
Corporate equities
$
21,432

$
17,594

Other
8


Total
$
21,440

$
17,594

Total
$
271,033

$
262,113



Schedule of Carrying Value of Assets Loaned or Pledged Without Counterparty Right to Sell or Repledge
Carrying Value of Assets Loaned or Pledged without Counterparty Right to Sell or Repledge
$ in millions
At
September 30,
2019
At
December 31,
2018
Trading assets
$
38,325

$
39,430

Loans (gross of allowance for loan losses)
300


Total
$
38,625

$
39,430


Schedule of Fair Value of Collateral Received with Right to Sell or Repledge
Fair Value of Collateral Received with Right to Sell or Repledge 
$ in millions
At
September 30,
2019
At
December 31,
2018
Collateral received with right to sell
or repledge
$
724,356

$
639,610

Collateral that was sold or repledged1
577,354

487,983

1.
Does not include securities used to meet federal regulations for the Firm’s U.S. broker-dealers.
Schedule of Restricted Cash and Segregated Securities
Restricted Cash and Segregated Securities 
$ in millions
At
September 30,
2019
At
December 31,
2018
Restricted cash
$
30,739

$
35,356

Segregated securities1
24,838

26,877

Total
$
55,577

$
62,233

1.
Securities segregated under federal regulations for the Firm’s U.S. broker-dealers are sourced from Securities purchased under agreements to resell and Trading assets in the balance sheets.
Schedule of Customer Margin Lending
Customer Margin Lending
$ in millions
At
September 30,
2019
At
December 31,
2018
Customer receivables representing margin loans
$
28,068

$
26,225