v3.25.4
Collateralized Transactions (Tables)
12 Months Ended
Dec. 31, 2025
Collateralized Agreements [Abstract]  
Schedule of Offsetting of Certain Collateralized Transactions
Offsetting of Certain Collateralized Transactions
 At December 31, 2025
$ in millionsGross
Amounts
Amounts
Offset
Balance Sheet Net Amounts
Amounts
Not Offset1
Net
Amounts
Assets
Securities purchased under agreements to resell$471,144 $(350,901)$120,243 $(117,509)$2,734 
Securities borrowed218,753 (66,845)151,908 (146,726)5,182 
Liabilities
Securities sold under agreements to repurchase$429,440 $(350,901)$78,539 $(72,407)$6,132 
Securities loaned84,155 (66,845)17,310 (17,213)97 
Amounts for which master netting agreements are not in place or may not be legally enforceable, included in Net Amounts
Securities purchased under agreements to resell$1,277 
Securities borrowed38 
Securities sold under agreements to repurchase5,367 
 At December 31, 2024
$ in millionsGross
Amounts
Amounts
Offset
Balance Sheet Net Amounts
Amounts
Not Offset1
Net
Amounts
Assets
Securities purchased under agreements to resell$409,635 $(291,070)$118,565 $(116,157)$2,408 
Securities borrowed165,642 (41,783)123,859 (117,573)6,286 
Liabilities
Securities sold under agreements to repurchase$341,137 $(291,070)$50,067 $(45,520)$4,547 
Securities loaned57,009 (41,783)15,226 (15,211)15 
Amounts for which master netting agreements are not in place or may not be legally enforceable, included in Net Amounts
Securities purchased under agreements to resell$2,054 
Securities borrowed2,079 
Securities sold under agreements to repurchase3,448 
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 December 31, 2025
$ in millionsOvernight and OpenLess than 30 Days30-90 DaysOver 90 DaysTotal
Securities sold under agreements to repurchase$221,938 $122,291 $43,737 $41,474 $429,440 
Securities loaned70,433  321 13,401 84,155 
Total included in the offsetting disclosure$292,371 $122,291 $44,058 $54,875 $513,595 
Trading liabilities—Obligation to return securities received as collateral7,329    7,329 
Total$299,700 $122,291 $44,058 $54,875 $520,924 
 At December 31, 2024
$ in millionsOvernight and OpenLess than 30 Days30-90 DaysOver 90 DaysTotal
Securities sold under agreements to repurchase$180,793 $104,551 $25,071 $30,722 $341,137 
Securities loaned42,473 — 317 14,219 57,009 
Total included in the offsetting disclosure$223,266 $104,551 $25,388 $44,941 $398,146 
Trading liabilities—Obligation to return securities received as collateral18,067 — — — 18,067 
Total$241,333 $104,551 $25,388 $44,941 $416,213 
Gross Secured Financing Balances by Class of Collateral Pledged
$ in millions
At
December 31, 2025
At
December 31, 2024
Securities sold under agreements to repurchase
U.S. Treasury and agency securities$209,470 $177,464 
Other sovereign government obligations159,444 135,806 
Corporate equities32,919 14,993 
Other27,607 12,874 
Total$429,440 $341,137 
Securities loaned
Other sovereign government obligations$1,208 $1,805 
Corporate equities81,063 54,144 
Other1,884 1,060 
Total$84,155 $57,009 
Total included in the offsetting disclosure$513,595 $398,146 
Trading liabilities—Obligation to return securities received as collateral
Corporate equities$7,017 $18,059 
Other312 
Total$7,329 $18,067 
Total$520,924 $416,213 
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
December 31, 2025
At
December 31, 2024
Trading assets$43,182 $30,867 
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
December 31, 2025
At
December 31, 2024
Collateral received with right to sell or repledge$1,190,694 $932,626 
Collateral that was sold or repledged1
900,282 724,177 
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
Securities Segregated for Regulatory Purposes
$ in millions
At
December 31, 2025
At
December 31, 2024
Segregated securities1
$22,256 $26,329 
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 sheet.
Schedule of Concentration Based on the Firm's Total Assets
Concentration Based on the Firm’s Total Assets
At
December 31, 2025
At
December 31, 2024
U.S. government and agency securities and other sovereign government obligations
Trading assets1
12 %11 %
Off balance sheet—Collateral received2
9 %12 %
1.Other sovereign government obligations included in Trading assets primarily consist of obligations of the U.K., Japan and Brazil.
2.Collateral received is primarily related to Securities purchased under agreements to resell and Securities borrowed.
Schedule of Customer Margin and Other Lending
Customer Margin and Other Lending
$ in millions
At
December 31, 2025
At
December 31, 2024
Margin and other lending$83,871 $55,882