v3.10.0.1
Collateralized Transactions (Tables)
12 Months Ended
Dec. 31, 2018
Collateralized Transactions  
Offsetting of Certain Collaterized Transactions
Offsetting of Certain Collateralized Transactions
At December 31, 2018
$ in millionsGross AmountsAmounts OffsetNet Amounts PresentedAmounts Not Offset1Net Amounts
Assets
Securities purchased
under agreements
to resell$262,976$(164,454)$98,522$(95,610)$2,912
Securities borrowed134,711(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 loaned30,306(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 borrowed724
Securities sold under agreements to repurchase 6,762
Securities loaned191

At December 31, 2017
$ in millionsGross AmountsAmounts OffsetNet Amounts PresentedAmounts Not Offset1Net Amounts
Assets
Securities purchased
under agreements
to resell$199,044$(114,786)$84,258$(78,009)$6,249
Securities borrowed133,431(9,421)124,010(119,358)4,652
Liabilities
Securities sold
under agreements
to repurchase$171,210$(114,786)$56,424$(48,067)$8,357
Securities loaned23,014(9,422)13,592(13,271)321
Net amounts for which master netting agreements are not in place or may not
be legally enforceable
Securities purchased under agreements to resell$5,687
Securities borrowed572
Securities sold under agreements to repurchase6,945
Securities loaned307

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.

Gross Secured Financing Balances
Gross Secured Financing Balances by Remaining Contractual Maturity
At December 31, 2018
$ in millionsOvernight and OpenLess than 30 Days30-90 DaysOver 90 DaysTotal
Securities sold under
agreements to
repurchase$56,503$93,427$35,692$28,591$214,213
Securities loaned18,3973,6091,9856,31530,306
Total included in the
offsetting disclosure$74,900$97,036$37,677$34,906$244,519
Trading liabilities
Obligation to return
securities received
as collateral17,59417,594
Total$92,494$97,036$37,677$34,906$262,113

At December 31, 2017
$ in millionsOvernight and OpenLess than 30 Days30-90 DaysOver 90 DaysTotal
Securities sold under
agreements to
repurchase$41,332$66,593$28,682$34,603$171,210
Securities loaned12,1308731,5778,43423,014
Total included in the
offsetting disclosure$53,462$67,466$30,259$43,037$194,224
Trading liabilities
Obligation to return
securities received
as collateral22,55522,555
Total$76,017$67,466$30,259$43,037$216,779

Gross Secured Financing Balances by Class of Collateral Pledged
$ in millionsAt December 31, 2018At December 31, 2017
Securities sold under agreements to repurchase
U.S. Treasury and agency securities$68,487$43,346
State and municipal securities9252,451
Other sovereign government obligations120,43287,141
ABS3,0171,130
Corporate and other debt8,7197,737
Corporate equities12,07928,497
Other554908
Total$214,213$171,210
Securities loaned
Other sovereign government obligations$19,021$9,489
Corporate equities10,80013,174
Other485351
Total$30,306$23,014
Total included in the offsetting disclosure$244,519$194,224
Trading liabilitiesObligation to return securities received as collateral
Corporate equities$17,594$22,555
Total$262,113$216,779
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
AtAt
December 31,December 31,
$ in millions20182017
Trading assets$39,430$31,324
Loans (gross of allowance for loan losses)228
Total $39,430$31,552
Fair Value of Collateral Received with Right to Sell or Repledge
Fair Value of Collateral Received with Right to Sell or Repledge
AtAt
December 31,December 31,
$ in millions20182017
Collateral received with right to sell
or repledge$639,610$599,244
Collateral that was sold or repledged1487,983475,113

1. Does not include securities used to meet federal regulations for the Firm’s broker-dealers.

Restricted Cash and Segregated Securities
Restricted Cash and Segregated Securities
AtAt
December 31,December 31,
$ in millions20182017
Restricted cash$35,356$34,231
Segregated securities126,87720,549
Total $62,233$54,780

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.

Concentration Based on the Firm's Total Assets
Concentration Based on the Firm's Total Assets
At December 31, 2018At December 31, 2017
U.S. government and agency securities and other sovereign
government obligations:
Trading assets112%9%
Off balance sheet—Collateral received217%14%

  • Other sovereign government obligations included in Trading assets primarily consist of the U.K., Japan and Brazil.
  • Collateral received is primarily related to Securities purchased under agreements to resell and Securities borrowed.
Customer Margin Lending

Customer Margin Lending

AtAt
December 31,December 31,
$ in millions20182017
Customer receivables representing margin
loans$26,225$32,112