v3.10.0.1
Consolidated Cash Flow Statements
$ in Millions
12 Months Ended
Dec. 31, 2018
USD ($)
Dec. 31, 2017
USD ($)
Dec. 31, 2016
USD ($)
Cash flows from operating activities      
Net income $ 8,883 $ 6,216 $ 6,123
Adjustments to reconcile net income to net cash provided by (used for) operating activities:      
Deferred income taxes 449 2,747 1,579
Stock-based compensation expense 920 1,026 1,136
Depreciation and amortization 1,844 1,753 1,736
(Release of) Provision for credit losses on lending activities (15) 29 144
Other operating adjustments 199 153 (102)
Changes in assets and liabilities:      
Trading assets, net of Trading liabilities 23,732 (27,588) (24,079)
Securities borrowed 7,697 1,226 17,180
Securities loaned (1,684) (2,252) (3,514)
Customer and other receivables and other assets (728) (9,315) (371)
Customer and other payables and other liabilities (13,063) 2,007 1,913
Securities purchased under agreements to resell (14,264) 17,697 (14,298)
Securities sold under agreements to repurchase (6,665) 1,796 17,936
Net cash provided by (used for) operating activities 7,305 (4,505) 5,383
Cash flows from investing activities      
Other assets-Premises, equipment and software, net (1,865) (1,629) (1,276)
Changes in loans, net (8,794) (12,125) (9,604)
Investment securities:      
Purchases (27,800) (23,962) (50,911)
Proceeds from sales 3,208 18,131 33,716
Proceeds from paydowns and maturities 12,668 7,445 8,367
Other investing activities (298) (251) 200
Net cash provided by (used for) investing activities (22,881) (12,391) (19,508)
Cash flows from financing activities      
Noncontrolling interests (130) (83) (96)
Other secured financings (1,226) (1,573) 1,333
Deposits 28,384 3,573 (171)
Proceeds from:      
Issuance of preferred stock, net of issuance costs 0 994 0
Issuance of Borrowings 40,059 55,416 43,626
Payments for:      
Borrowings (34,781) (35,825) (31,596)
Repurchases of common stock and employee tax withholdings (5,566) (4,292) (3,933)
Cash dividends (2,375) (2,085) (1,746)
Other financing activities (160) 136 (54)
Net cash provided by (used for) financing activities 24,205 16,261 7,363
Effect of exchange rate changes on cash and cash equivalents (1,828) 3,670 (1,430)
Net increase (decrease) in cash and cash equivalents 6,801 3,035 (8,192)
Cash and cash equivalents, at beginning of period 80,395 77,360 85,552
Cash and cash equivalents, at end of period 87,196 80,395 77,360
Cash and cash equivalents:      
Cash and due from banks 30,541 24,816 22,017
Interest bearing deposits with banks 21,299 21,348 21,364
Restricted cash 35,356 34,231 33,979
Cash and cash equivalents, at end of period 87,196 80,395 77,360
Supplemental Disclosure of Cash Flow Information      
Cash payments for interest 9,977 5,377 2,834
Cash payments for income taxes, net of refunds $ 1,377 $ 1,390 $ 831