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Fair Values - Financial Instruments Not Measured at Fair Value (Details) - USD ($)
$ in Millions
Sep. 30, 2025
Dec. 31, 2024
Financial assets    
Securities borrowed $ 129,113 $ 123,859
Customer and other receivables 113,257 86,158
Held for investment 255,867 225,834
Held for sale 11,433 12,319
Financial liabilities    
Deposits 405,480 376,007
Securities sold under agreements to repurchase 61,504 50,067
Securities loaned 15,944 15,226
Other secured financings 21,441 21,602
Customer and other payables 226,445 175,938
Borrowings 331,679 288,819
Carrying Value    
Financial assets    
Cash and cash equivalents 103,734 105,386
Investment securities—HTM 55,205 61,071
Securities purchased under agreements to resell 111,734 118,565
Securities borrowed 129,113 123,859
Customer and other receivables 106,879 79,586
Held for investment 255,867 225,834
Held for sale 11,433 12,319
Other assets 704 839
Financial liabilities    
Deposits 397,003 369,508
Securities sold under agreements to repurchase 60,801 49,111
Securities loaned 15,944 15,226
Other secured financings 4,754 7,514
Customer and other payables 226,430 175,890
Borrowings 204,394 185,487
Additional Disclosures    
Lending commitments 200,600 175,774
Fair Value    
Financial assets    
Cash and cash equivalents 103,734 105,386
Investment securities—HTM 47,369 51,203
Securities purchased under agreements to resell 111,765 118,601
Securities borrowed 129,113 123,859
Customer and other receivables 106,820 79,417
Held for investment 252,577 220,156
Held for sale 11,488 12,439
Other assets 704 839
Financial liabilities    
Deposits 397,686 370,039
Securities sold under agreements to repurchase 60,786 49,103
Securities loaned 15,949 15,228
Other secured financings 4,751 7,511
Customer and other payables 226,430 175,890
Borrowings 208,356 188,362
Additional Disclosures    
Lending commitments 2,214 1,933
Fair Value | Level 1    
Financial assets    
Cash and cash equivalents 103,734 105,386
Investment securities—HTM 12,919 15,803
Securities purchased under agreements to resell 0 0
Securities borrowed 0 0
Customer and other receivables 0 0
Held for investment 0 0
Held for sale 0 0
Other assets 0 0
Financial liabilities    
Deposits 0 0
Securities sold under agreements to repurchase 0 0
Securities loaned 0 0
Other secured financings 0 0
Customer and other payables 0 0
Borrowings 0 0
Additional Disclosures    
Lending commitments 0 0
Fair Value | Level 2    
Financial assets    
Cash and cash equivalents 0 0
Investment securities—HTM 33,098 34,180
Securities purchased under agreements to resell 110,611 117,151
Securities borrowed 129,113 123,859
Customer and other receivables 102,293 75,361
Held for investment 10,700 17,859
Held for sale 6,208 6,324
Other assets 704 839
Financial liabilities    
Deposits 397,686 370,039
Securities sold under agreements to repurchase 60,786 49,103
Securities loaned 15,949 15,228
Other secured financings 4,751 7,511
Customer and other payables 226,430 175,890
Borrowings 208,157 188,269
Additional Disclosures    
Lending commitments 1,085 1,094
Fair Value | Level 3    
Financial assets    
Cash and cash equivalents 0 0
Investment securities—HTM 1,352 1,220
Securities purchased under agreements to resell 1,154 1,450
Securities borrowed 0 0
Customer and other receivables 4,527 4,056
Held for investment 241,877 202,297
Held for sale 5,280 6,115
Other assets 0 0
Financial liabilities    
Deposits 0 0
Securities sold under agreements to repurchase 0 0
Securities loaned 0 0
Other secured financings 0 0
Customer and other payables 0 0
Borrowings 199 93
Additional Disclosures    
Lending commitments $ 1,129 $ 839