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Bank of America·Balance Sheet Statement·178 metrics

Breakdown

MetricQ2 '24Q3 '24Q4 '24Q1 '25Q2 '25Q3 '25Q4 '25Q1 '26
Interest-Bearing Deposit Liabilities, Domestic$1.3T$1.3T$1.3T$1.3T$1.4T$1.4T$1.4T$1.4T
Credit Extension Commitments, Notional Amount$1.1T$1.1T$1.1T$1.1T$1.1T$1.1T$1.2T$1.2T
Checking accounts$859.7B$867.1B$892.9B$896B$899.3B$896.3B$1.1T$1.1T
Securities lending collateral$975.8B$976B$925.7B$1T$1.1T$1.1T$1.1T$1.1T
Secured Borrowings, Gross Including Not Subject to Master Netting Arrangement$798.5B$861.7B$825.7B$874.8B$972.2B$931.4B$969.2B$923.7B
Securities Financing Agreements Liability, Subject To Master Netting Arrangement, Before Offset$798.5B$861.7B$825.7B$874.8B$972.2B$931.4B$969.2B$923.7B
Gross Assets/Liabilities$785.7B$847.7B$815.1B$867.2B$964.3B$924.8B$963.9B$915.8B
Debt Securities, Amortized Cost, Excluding Accrued Interest, Before Allowance For Credit Loss$882.2B$896B$921B$942.3B$933.4B$938.7B$927.4B$903.7B
Marketable Securities$878.4B$893B$917.3B$939.3B$930.2B$936.1B$925.6B$901.1B
Debt Securities, Fair Value, Excluding Accrued Interest$767.7B$807.3B$809.2B$843B$837.1B$851.2B$845.4B$820B
Expire in One Year or Less$609.1B$625.4B$630.2B$637.8B$645.6B$661.6B
Securities Borrowed, Subject To Master Netting Arrangement, Offset$417.6B$449.7B$483.4B$491.2B$564.9B$582.2B$619.2B$562.8B
Securities Financing Agreements Liability, Subject To Master Netting Arrangement, Offset$417.6B$449.7B$483.4B$491.2B$564.9B$582.2B$619.2B$562.8B
Securities Sold, Subject To Master Netting Arrangement, Offset$417.6B$449.7B$483.4B$491.2B$564.9B$582.2B$619.2B$562.8B
Noninterest-Bearing Deposit Liabilities, Domestic$503B$498.3B$507.6B$513.9B$514.5B$510.2B$517.8B$529.2B
Held-to-maturity securities, fair value$577.4B$567.6B$558.7B$550.8B$541.3B$531.4B$522.7B$514.8B
Due after ten years, amount$435.7B$427.8B$418.5B$408.9B$400.3B$392.6B
Debt Securities Carried at Fair Value, Amortized Cost, Excluding Accrued Interest, Before Allowance For Credit Loss$304.8B$328.4B$362.3B$391.5B$392.1B$407.3B$404.7B$388.9B
Securities Borrowed, Subject To Master Netting Arrangement, After Offset$337.8B$337.7B$274.7B$328.4B$352.4B$325.8B$316.6B$383.3B
Cost or Amortized Cost$295B$318.9B$349.9B$379.2B$381.4B$393B$388.6B$371.4B
Estimated Fair Value$291.3B$315.7B$346.4B$376.2B$378B$390.3B$386.8B$369B
Securities Financing Agreements Liability, Subject To Master Netting Arrangement, After Offset$380.9B$411.9B$342.3B$383.7B$407.4B$349.2B$350B$360.9B
Securities Sold, Subject To Master Netting Arrangement, After Offset$368.1B$398B$331.8B$376.1B$399.5B$342.6B$344.7B$353B
Securities Financing Agreements Liability, Subject To Master Netting Arrangement, Right To Reclaim Securities$359.3B$394.4B$328.5B$363.7B$389.3B$333.5B$337.9B$350.3B
Securities Borrowed, Subject To Master Netting Arrangement, Collateral, Obligation To Return Securities$309.1B$308.7B$250B$297.6B$326.9B$301.6B$285.6B$347.1B
Securities Sold, Subject To Master Netting Arrangement, Collateral, Right To Reclaim Securities$346.6B$380.4B$318B$356.1B$381.3B$326.9B$332.6B$342.4B
After 10 years$363.4B$373.8B$346.3B$347.3B$339.5B$337.1B$332.3B$324.2B
Derivative Asset, Subject to Master Netting Arrangement, Liability Offset$219.9B$246.7B$237.1B$210.7B$242.4B$233.2B$224.1B$259.3B
Derivative Liability, Subject to Master Netting Arrangement, Asset Offset$219.9B$246.7B$237.1B$210.7B$242.4B$233.2B$224.1B$259.3B
Expire After Three Years Through Five Years$196.9B$201.1B$203.1B$212.6B$229.6B$243.4B$255.7B$254.3B
Expire After One Year Through Three Years$234.1B$250.7B$246.3B$232.6B$229.7B$224.1B$244.1B$235.2B
Debt Securities, Available-for-Sale, Unrealized Loss Position$220.8B$239.7B$210.7B$223.1B$269.9B$210.2B$131.8B$228.7B
Federal funds sold and securities borrowed or purchased under agreements to resell$167.8B$176.2B$144.5B$181.2B$185.1B$173.7B$185.5B$228B
Federal funds purchased and securities loans or sold under agreements to repurchase, at fair value$214.7B$243.4B$192.9B$222.7B$241.8B$215.4B$223.1B$227.3B
Debt Securities, Trading, Restricted$151.7B$182B$170.3B$171.3B$180.3B$174.8B$185.9B$186B
Carrying values of hedged liabilities$188.7B$122.3B$188.2B$187B$185B$178.6B$175.7B$178.7B
Less than 12 months$120.2B$136.4B$107.3B$120.4B$129.4B$74.4B$30.6B$150.4B
Securities lending:$89.1B$99.5B$98.9B$111.5B$122B$130.6B$129.7B$133.9B
Securities, pledged as collateral$219.1B$195.5B$184.6B$189.7B$209.8B$165.4B$153.8B$132.1B
Interest-Bearing Deposit Liabilities, Foreign$101B$107.8B$112.6B$113.1B$119.2B$122.9B$125.5B$120.6B
Other receivables$81B$91.3B$82.2B$80.3B$94B$99.9B$98.2B$96.1B
Due after one year through five years, amount$14.5B$24.3B$25.7B$33.2B$44.7B$62.2B$77.1B$91.2B
Debt Securities Gross Unrealized Loss$114.8B$89.4B$112.3B$99.9B$97B$88.2B$82.9B$84.3B
1-5 years$13B$22.1B$22.8B$29.7B$40.3B$56B$69.8B$81.8B
Debt Securities, Held-to-Maturity, Accumulated Unrecognized Loss$110.8B$85.7B$108.2B$96.4B$93.1B$84.9B$80.3B$81.2B
Fair value of long-term debt$46.9B$53.6B$50B$54.5B$62.6B$66.3B$72.6B$79.3B
12 months or more$100.6B$103.3B$103.3B$102.7B$140.6B$135.8B$101.2B$78.2B
Expire After Five Years$41.5B$40.6B$41.7B$41.7B$41.7B$44.1B$47.8B$46.7B
Amortized cost basis of portfolios used in hedging relationships$37.8B$36.5B$34.8B$33.6B$32.2B$34.7B$35.8B$46.1B
Gross Assets/Liabilities$40.5B$43.1B$39.4B$35.4B$41.7B$40.2B$42.1B$43.9B
Derivative Liability$40.5B$43.1B$39.4B$35.4B$41.7B$40.2B$42.1B$43.9B
Securities Borrowed, Subject To Master Netting Arrangement, Amount Offset Against Collateral$28.6B$29B$24.7B$30.8B$25.5B$24.2B$31B$36.2B
Derivative Asset, Subject to Master Netting Arrangement, Collateral, Obligation to Return Cash, Offset Against Derivative Asset$27.4B$26.4B$30.1B$26.5B$29.3B$27.8B$27.2B$30.8B
Derivative Liability, Subject to Master Netting Arrangement, Collateral, Right to Reclaim Cash Offset$32.5B$34.2B$29.2B$27.8B$33.7B$30.1B$31.4B$29.8B
Derivative Liability, Including Not Subject to Master Netting Arrangement, after Offset and Deduction$25.9B$26.8B$25.2B$21.9B$26.7B$23B$25.4B$28.6B
Hedged asset, portfolio layer$24.4B$23.8B$26.1B$26.3B$25.6B$23.1B$23.7B$26.6B
Due after five years through ten years, amount$108.2B$98.1B$96.6B$88.7B$77.3B$59.7B$44.8B$26.6B
Derivative Asset, Including Not Subject to Master Netting Arrangement, after Offset and Deduction$19.5B$18.9B$22.8B$18.3B$24.6B$22.6B$20.4B$26B
Commercial Reservable Criticized Utilized Exposure Amount$24.8B$27.4B$26.5B$27.7B$27.9B$26.3B$24.7B$24.3B
5-10 years$90B$85.4B$80.8B$76.3B$67.5B$52.7B$39.8B$23.3B
Net Investment in Lease, before Allowance for Credit Loss$19.5B$19.9B$21.1B$21.4B$21.7B$22.5B$22.7B$22.4B
Securities Collateral Held /Pledged Under Master Netting Agreements$16.5B$15.3B$18.1B$17.9B$18.1B$19.5B$20.5B$22.3B
Loans and leases repurchase activity$12.6B$14.1B$12.3B$11.6B$15.6B$20.3B$19.6B$21.3B
Other Debt Securities Carried at Fair Value, Amortized Cost, Excluding Accrued Interest, Before Allowance For Credit Loss$9.8B$9.6B$12.4B$12.3B$10.7B$14.3B$16.1B$17.5B
Other debt securities carried at fair value$9.8B$9.7B$12.2B$12.3B$10.9B$14.3B$16.2B$17.4B
Securities Collateral Held /Pledged Under Master Netting Agreements$14.6B$16.3B$14.2B$13.5B$15B$17.2B$16.7B$15.3B
Noninterest-Bearing Deposit Liabilities, Foreign$14.6B$15.5B$16.3B$16.1B$14.4B$14.7B$14.2B$14.9B
Allowance for credit losses$14.3B$14.4B$14.3B$14.4B$14.4B$14.4B$14.4B$14.3B
Common stock, shares authorized (in shares)12.8B12.8B12.8B12.8B12.8B12.8B12.8B12.8B
Other financial assets$15.3B$17.3B$13.2B$10B$9.9B$9.8B$9.1B$12.1B
Nonfinancial Liabilities Fair Value Disclosure$15.1B$16B$13.2B$9.1B$9.1B$8.5B$9B$10.8B
Securities Financing Agreements Liability, Subject To Master Netting Arrangement, Amount Offset Against Collateral$21.5B$17.5B$13.8B$19.9B$18.1B$15.7B$12.1B$10.6B
Securities Sold, Subject To Master Netting Arrangement, Amount Offset Against Collateral$21.5B$17.5B$13.8B$19.9B$18.1B$15.7B$12.1B$10.6B
Legally binding unfunded commitments syndicated$10.4B$10.6B$11B$10.6B$10.6B$10.5B
Gross Assets/Liabilities$12.8B$14B$10.5B$7.6B$7.9B$6.6B$5.3B$7.9B
Securities Financing Agreements Liability, Other, Subject To Master Netting Arrangement, After Offset$12.8B$14B$10.5B$7.6B$7.9B$6.6B$5.3B$7.9B
Securities Financing Agreements Liability, Other, Subject To Master Netting Arrangement, Right To Reclaim Securities$12.8B$14B$10.5B$7.6B$7.9B$6.6B$5.3B$7.9B
Securities Loaned, Other Assets, Gross Including Not Subject To Master Netting Arrangement$10.5B$7.6B$7.9B$6.6B$5.3B$7.9B
Common stock, shares issued (in shares)7.8B7.7B7.6B7.6B7.4B7.3B7.2B7.1B
Common Stock, Shares, Outstanding7.8B7.7B7.6B7.6B7.4B7.3B7.2B7.1B
Financing Receivable, Excluding Accrued Interest, Nonaccrual$5.5B$5.6B$6B$6.1B$6B$5.3B$5.8B$5.8B
Loans Held For Sale Fair Value Disclosure$1.6B$3.1B$2.2B$2.7B$2.4B$2.1B$2.3B$5.4B
Federal Reserve Bank stock$5.4B$5.4B$5.4B$5.4B$5.4B$5.4B$5.4B$5.4B
Total derivatives not subject to netting arrangements$5.8B$5.4B$4.8B$4.5B$5.8B$5.1B$5.2B$5.2B
Total derivatives not subject to netting arrangements$3.5B$3.3B$3.9B$3B$4.1B$3.5B$3.3B$4.4B
Due in one year or less, amount$324M$581M$667M$1B$866M$688M$504M$4.4B
Within 1 year$263M$575M$660M$1B$858M$681M$502M$4.3B
Loans Receivable Fair Value Disclosure$3.2B$4.2B$4.2B$5.4B$6.9B$6.7B$3.5B$3.8B
Debt Securities Carried at Fair Value, Gross Unrealized Loss$4B$3.7B$4.1B$3.5B$3.8B$3.3B$2.7B$3.1B
Debt Securities, Available-for-Sale, Accumulated Gross Unrealized Loss, before Tax$3.9B$3.7B$3.9B$3.4B$3.7B$3.2B$2.6B$3B
Debt Securities, Available-for-Sale, Unrealized Loss Position, Accumulated Loss$3.9B$3.7B$3.9B$3.4B$3.7B$3.2B$2.6B$3B
Notional amount of credit extension commitments under fair value option$3.2B$2.5B$2.2B$2B$2.3B$2.3B$2.4B$2.5B
Debt Securities, Available-for-Sale, Continuous Unrealized Loss Position, 12 Months or Longer, Accumulated Loss$3.7B$3.4B$3.6B$3.2B$3.5B$3.1B$2.5B$2.4B
With an allowance$1.8B$2.1B$1.9B$1.9B$1.8B$2.1B$2.1B$2B
Credit Derivative, Maximum Exposure, Undiscounted$1.9B$1.8B$1.9B$1.8B$1.7B$1.9B$2.1B$2B
Over Five Years$1.9B$1.8B$1.8B$1.8B$1.7B$1.8B$2.1B$2B
Cumulative amount of fair value hedging adjustment-$9.1B-$2.2B-$7.3B-$2.6B-$1.4B$12M-$792M-$1.8B
Interest-bearing deposits in U.S. offices$370M$443M$310M$403M$991M$1.1B$1.2B$1.8B
Additional Collateral Required - Two Notch Downgrade$833M$740M$922M$905M$870M$869M$1.1B$1.5B
Credit Extension Commitments, Carrying Value$1.1B$1.1B$1.1B$1.1B$1.2B$1.1B$1.2B$1.2B
Credit Extension Commitments, Reserve For Unfunded Lending Commitments$1.1B$1.1B$1.1B$1.1B$1.2B$1.2B
Off-Balance-Sheet, Credit Loss, Liability$1.1B$1.1B$1.1B$1.1B$1.1B$1.1B$1.2B$1.2B
Debt Securities Gross Unrealized Gain$245M$728M$424M$565M$687M$631M$992M$598M
Debt Securities Carried at Fair Value, Gross Unrealized Gain$245M$727M$423M$563M$685M$629M$990M$596M
Fair Value, Net Derivative Asset (Liability) Measured on Recurring Basis with Unobservable Inputs-$2.4B-$2.2B-$2B-$1.5B-$1.2B-$960M-$1.3B-$584M
Cumulative Cost Basis$406M$460M$438M$453M$464M$478M$479M$523M
Cost$406M$460M$438M$453M$464M$478M$479M$523M
Debt Securities, Available-for-Sale, Continuous Unrealized Loss Position, Less than 12 Months, Accumulated Loss$196M$308M$286M$177M$271M$115M$55M$510M
Common stock, capital shares reserved for future issuance555M551M552M472M588M586M586M498M
Gross Unrealized Gains$183M$508M$364M$449M$374M$467M$790M$478M
Derivative Credit Risk Valuation Adjustment, Derivative Assets$328M$360M$328M$353M$392M$350M$336M$412M
Derivative Credit Risk Valuation Adjustment, Derivative Liabilities$257M$259M$272M$299M$269M$285M$270M$363M
Other Debt Securities Carried At Fair Value, Gross Unrealized Loss$236M$110M$78M$91M$89M$184M
Gross Unrealized Gains$62M$219M$59M$114M$311M$162M$200M$118M
Additional Collateral Required - One Notch Downgrade$150M$116M$134M$164M$134M$136M$146M$110M
Cumulative funding valuation adjustment$102M$114M$66M$81M$112M$95M$116M$104M
Preferred Stock, Shares Authorized100M100M100M100M100M100M100M100M
Preferred Stock, Shares Issued4M3.9M3.9M3.8M3.9M4M4M4M
Preferred Stock, Shares Outstanding4M3.9M3.9M3.8M3.9M4M4M4M
Debt Securities, Held-to-maturity, Accumulated Unrecognized Gain$0$1M$1M$2M$2M$2M$2M$2M
Less than One Year$0$4M$5M$5M$6M$10M$0$1M
Percentage of Outstandings100.0%100.0%100.0%100.0%100.0%100.0%
Commercial Reservable Criticized Utilized Exposure Percentage3.9%4.3%4.0%4.1%4.0%3.7%3.4%3.2%
Due after ten years, yield$0$0$0$0$0$0$0$0
Total, yield$0$0$0$0$0$0$0$0
Due in one year or less, yield$0$0$0$0$0$0$0$0
Due after one year through five years, yield$0$0$0$0$0$0$0$0
Due after five years though ten years, yield$0$0$0$0$0$0$0$0
Common stock, par value (in dollars per share)$0.01$0.01$0.01$0.01$0.01$0.01$0.01$0.01
Preferred Stock, Par or Stated Value Per Share$0.01$0.01$0.01$0.01$0.01$0.01$0.01$0.01
Nonperforming Loans and Leases Percentage0.5%0.5%0.5%0.5%0.5%0.5%0.5%0.5%
Loans 90+ Days Past Due Percentage0.2%0.2%0.2%0.2%0.1%0.2%0.2%0.2%
Cash Segregated Under Other Regulations$4B$4.4B
Commercial paper borrowings outstanding$24.2B$20.4B
Minimum percentage of principal collected and disposed to be treated as matured85.0%85.0%
Deferred Tax Liabilities, Gross$7B$6.9B
Deferred Tax Assets, Gross$25.7B$24.2B
Deferred Tax Assets, Net$16.4B$15B
Deferred Tax Assets, Net of Valuation Allowance$23.3B$21.9B
Security, loan and debt valuations$2.7B$559M
Deferred Tax Assets, Tax Attribute Carryforwards$11.9B$12.9B
Deferred Tax Assets, Tax Credit Carryforwards, General Business, Net Valuation Allowance$2.9B$3.9B
Compensation and benefits$1.8B$1.8B
Accrued expenses$1.4B$1B
Deferred Tax Assets, Valuation Allowance$2.4B$2.3B
Deferred Tax Liabilities, Other$1.9B$1.7B
Defined Benefit Plan Accumulated Other Comprehensive Income Before Tax$6.1B$5.7B
Less: Fair value of plan assets at end of period$19.3B$20B
Number of common stock shares held in plan (in shares)153M139M
FHLB advances$12.7B$7.9B
Income Tax Examination, Penalties and Interest Accrued$105M$72M
2028$45.5B$41.2B
2029$30.5B$40.5B
2029$23.4B$15.7B
2030$32.9B$31.4B
Thereafter$125.3B$147.2B
2027$25.7B$41.7B
Number of contractual agreements0.000.000.000.000.000.00
Preferred stock and additional capital paid-in, $1 par value, 25 million shares authorized, 82.0 thousand shares issued and outstanding, $2,050 aggregate liquidation preference$23.2B$26B
Preferred Stock, Redeemable And NonRedeemable, Value, Issuance Costs And Adjustments$331M$329M
Preferred Stock Redemption Amount$5.3B$2.7B
2027$5.2B$7.1B
Securities Financing Agreements Liability, Other, Subject To Master Netting Arrangement, Amount Offset Against Collateral$0$0$0$0$0$0$0$0
Securities Financing Agreements Liability, Other, Subject To Master Netting Arrangement, Offset$0$0$0$0$0$0$0$0
Securities segregated under federal or other regulations$18.3B$13.2B
Tax Credit Carryforward, General Business, Valuation Allowance$0$0
Deferred tax liability, temporary differences with investments in Non-US subsidiaries$1B$1B
Tax returns filed in foreign jurisdictions, number of jurisdictions (more than)40.00
Tax returns filed in states and municipalities, number of states and municipalities (more than)60.00
Time Deposit Maturities, Year Four$121M$100M
2027$197.1B$204.4B
Time Deposit Maturities, Year Three$283M$198M
Time Deposit Maturities, Year Two$11.5B$4B
Time Deposits$212.4B$212.5B
Unrecognized tax benefits$684M$483M
Amount that if recognized, would affect the effective tax rate or regulatory liability$573M$415M
Unrecorded Unconditional Purchase Obligation$845M$594M
Stated Maturities$0$0$0$0$0$0$0$0

Metrics

Commercial Reservable Criticized Utilized Exposure Amount

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Commercial Reservable Criticized Utilized Exposure Percentage

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Nonperforming Loans and Leases Percentage

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Loans 90+ Days Past Due Percentage

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Additional Collateral Required - One Notch Downgrade

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Additional Collateral Required - Two Notch Downgrade

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Cumulative Cost Basis

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Gross Assets/Liabilities

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Debt Securities, Available-for-Sale, Accumulated Gross Unrealized Loss, before Tax

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Gross Unrealized Gains

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Cash Segregated Under Other Regulations

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Commercial paper borrowings outstanding

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Common stock, capital shares reserved for future issuance

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Common stock, par value (in dollars per share)

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Common stock, shares authorized (in shares)

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Common stock, shares issued (in shares)

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Common Stock, Shares, Outstanding

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Over Five Years

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Less than One Year

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Credit Derivative, Maximum Exposure, Undiscounted

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Credit Extension Commitments, Carrying Value

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Credit Extension Commitments, Notional Amount

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Legally binding unfunded commitments syndicated

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Expire in One Year or Less

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Expire After One Year Through Three Years

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Expire After Five Years

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Expire After Three Years Through Five Years

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Notional amount of credit extension commitments under fair value option

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Credit Extension Commitments, Reserve For Unfunded Lending Commitments

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Debt Securities, Amortized Cost, Excluding Accrued Interest, Before Allowance For Credit Loss

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Cost or Amortized Cost

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Debt Securities, Available-for-Sale, Continuous Unrealized Loss Position, 12 Months or Longer, Accumulated Loss

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Less than 12 months

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12 months or more

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Debt Securities, Available-for-Sale, Continuous Unrealized Loss Position, Less than 12 Months, Accumulated Loss

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Estimated Fair Value

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Debt Securities, Available-for-Sale, Unrealized Loss Position, Accumulated Loss

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Debt Securities, Available-for-Sale, Unrealized Loss Position

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Debt Securities Carried at Fair Value, Amortized Cost, Excluding Accrued Interest, Before Allowance For Credit Loss

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Debt Securities Carried at Fair Value, Gross Unrealized Loss

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Debt Securities Carried at Fair Value, Gross Unrealized Gain

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Debt Securities, Fair Value, Excluding Accrued Interest

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Debt Securities Gross Unrealized Gain

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Debt Securities Gross Unrealized Loss

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5-10 years

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1-5 years

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Within 1 year

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After 10 years

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Held-to-maturity securities, fair value

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Minimum percentage of principal collected and disposed to be treated as matured

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Debt Securities, Trading, Restricted

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Deferred Tax Liabilities, Gross

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Deferred Tax Assets, Gross

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Deferred Tax Assets, Net

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Deferred Tax Assets, Net of Valuation Allowance

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Security, loan and debt valuations

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Deferred Tax Assets, Tax Attribute Carryforwards

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Deferred Tax Assets, Tax Credit Carryforwards, General Business, Net Valuation Allowance

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Compensation and benefits

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Accrued expenses

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Deferred Tax Assets, Valuation Allowance

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Deferred Tax Liabilities, Other

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Defined Benefit Plan Accumulated Other Comprehensive Income Before Tax

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Less: Fair value of plan assets at end of period

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Number of common stock shares held in plan (in shares)

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Checking accounts

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Derivative Asset, Subject to Master Netting Arrangement, Collateral, Obligation to Return Cash, Offset Against Derivative Asset

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Derivative Asset, Subject to Master Netting Arrangement, Liability Offset

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Total derivatives not subject to netting arrangements

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Securities Collateral Held /Pledged Under Master Netting Agreements

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Securities Collateral Held /Pledged Under Master Netting Agreements

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Derivative Credit Risk Valuation Adjustment, Derivative Liabilities

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Derivative Credit Risk Valuation Adjustment, Derivative Assets

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Derivative Asset, Including Not Subject to Master Netting Arrangement, after Offset and Deduction

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Derivative Liability, Including Not Subject to Master Netting Arrangement, after Offset and Deduction

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Cumulative funding valuation adjustment

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Derivative Liability

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Derivative Liability, Subject to Master Netting Arrangement, Collateral, Right to Reclaim Cash Offset

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Derivative Liability, Subject to Master Netting Arrangement, Asset Offset

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Total derivatives not subject to netting arrangements

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Fair Value, Net Derivative Asset (Liability) Measured on Recurring Basis with Unobservable Inputs

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Federal funds purchased and securities loans or sold under agreements to repurchase, at fair value

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Federal funds sold and securities borrowed or purchased under agreements to resell

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FHLB advances

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Federal Reserve Bank stock

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With an allowance

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Allowance for credit losses

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Financing Receivable, Excluding Accrued Interest, Nonaccrual

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Loans and leases repurchase activity

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Hedged asset, portfolio layer

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Carrying values of hedged liabilities

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Cumulative amount of fair value hedging adjustment

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Debt Securities, Held-to-Maturity, Accumulated Unrecognized Loss

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Debt Securities, Held-to-maturity, Accumulated Unrecognized Gain

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Due after ten years, amount

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Due after five years through ten years, amount

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Total, yield

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Due in one year or less, yield

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Due in one year or less, amount

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Due after one year through five years, amount

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Due after one year through five years, yield

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Due after ten years, yield

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Due after five years though ten years, yield

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Income Tax Examination, Penalties and Interest Accrued

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Interest-Bearing Deposit Liabilities, Domestic

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Interest-bearing deposits in U.S. offices

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Interest-Bearing Deposit Liabilities, Foreign

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Loans Held For Sale Fair Value Disclosure

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Loans Receivable Fair Value Disclosure

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Fair value of long-term debt

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Thereafter

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Marketable Securities

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Securities, pledged as collateral

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Net Investment in Lease, before Allowance for Credit Loss

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Nonfinancial Liabilities Fair Value Disclosure

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Noninterest-Bearing Deposit Liabilities, Domestic

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Noninterest-Bearing Deposit Liabilities, Foreign

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Number of contractual agreements

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Off-Balance-Sheet, Credit Loss, Liability

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Other financial assets

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Other Debt Securities Carried at Fair Value, Amortized Cost, Excluding Accrued Interest, Before Allowance For Credit Loss

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Other debt securities carried at fair value

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Gross Unrealized Gains

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Other Debt Securities Carried At Fair Value, Gross Unrealized Loss

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Other receivables

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Preferred stock and additional capital paid-in, $1 par value, 25 million shares authorized, 82.0 thousand shares issued and outstanding, $2,050 aggregate liquidation preference

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Preferred Stock, Par or Stated Value Per Share

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Preferred Stock, Redeemable And NonRedeemable, Value, Issuance Costs And Adjustments

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Preferred Stock Redemption Amount

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Preferred Stock, Shares Authorized

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Preferred Stock, Shares Issued

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Preferred Stock, Shares Outstanding

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Amortized cost basis of portfolios used in hedging relationships

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Secured Borrowings, Gross Including Not Subject to Master Netting Arrangement

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Securities Borrowed, Subject To Master Netting Arrangement, Collateral, Obligation To Return Securities

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Securities Borrowed, Subject To Master Netting Arrangement, Amount Offset Against Collateral

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Securities Borrowed, Subject To Master Netting Arrangement, After Offset

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Securities Borrowed, Subject To Master Netting Arrangement, Offset

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Gross Assets/Liabilities

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Securities Financing Agreements Liability, Other, Subject To Master Netting Arrangement, Amount Offset Against Collateral

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Securities Financing Agreements Liability, Other, Subject To Master Netting Arrangement, After Offset

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Securities Financing Agreements Liability, Other, Subject To Master Netting Arrangement, Offset

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Securities Financing Agreements Liability, Other, Subject To Master Netting Arrangement, Right To Reclaim Securities

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Securities Financing Agreements Liability, Subject To Master Netting Arrangement, After Offset

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Securities Financing Agreements Liability, Subject To Master Netting Arrangement, Amount Offset Against Collateral

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Securities Financing Agreements Liability, Subject To Master Netting Arrangement, Before Offset

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Securities Financing Agreements Liability, Subject To Master Netting Arrangement, Offset

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Securities Financing Agreements Liability, Subject To Master Netting Arrangement, Right To Reclaim Securities

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Securities lending collateral

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Securities lending:

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Securities Loaned, Other Assets, Gross Including Not Subject To Master Netting Arrangement

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Securities segregated under federal or other regulations

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Securities Sold, Subject To Master Netting Arrangement, Collateral, Right To Reclaim Securities

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Securities Sold, Subject To Master Netting Arrangement, Amount Offset Against Collateral

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Securities Sold, Subject To Master Netting Arrangement, Offset

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Securities Sold, Subject To Master Netting Arrangement, After Offset

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Gross Assets/Liabilities

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Tax Credit Carryforward, General Business, Valuation Allowance

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Deferred tax liability, temporary differences with investments in Non-US subsidiaries

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Tax returns filed in foreign jurisdictions, number of jurisdictions (more than)

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Tax returns filed in states and municipalities, number of states and municipalities (more than)

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Time Deposit Maturities, Year Four

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Time Deposit Maturities, Year Three

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Time Deposit Maturities, Year Two

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Time Deposits

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Unrecognized tax benefits

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Amount that if recognized, would affect the effective tax rate or regulatory liability

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Unrecorded Unconditional Purchase Obligation

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Percentage of Outstandings

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Stated Maturities

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