v3.25.4
Interest Income and Interest Expense - Summary (Details) - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
Interest income      
Cash and cash equivalents $ 2,566 $ 3,068 $ 3,408
Investment securities 5,328 5,161 3,992
Loans 13,995 13,771 12,424
Securities purchased under agreements to resell 14,548 12,416 7,762
Securities borrowed 6,623 5,391 5,191
Trading assets, net of Trading liabilities 6,242 5,924 4,488
Customer receivables and Other 9,761 8,404 8,584
Total interest income [1] 59,063 54,135 45,849
Interest expense      
Deposits 10,626 10,368 8,216
Borrowings 12,556 13,242 11,437
Securities sold under agreements to repurchase 12,874 10,787 6,737
Securities loaned 3,076 1,036 784
Customer payables and Other 9,885 10,091 10,445
Total interest expense [1] 49,017 45,524 37,619
Net interest $ 10,046 $ 8,611 $ 8,230
[1] amounts have been adjusted to conform with the current period presentation. See Note 2 for additional information.