Merrill lynch & co., inc. (IPB)
Balance Sheet / Quarterly
Jun'13Mar'13Dec'12Sep'12Jun'12Mar'12Dec'11Sep'11Jun'11Dec'10
Cash and cash equivalents

10,550

9,177

12,911

12,080

10,943

10,789

13,733

13,301

14,746

17,220

Cash and securities segregated for regulatory purposes or deposited with clearing organizations

17,233

16,032

14,031

14,232

13,898

14,453

11,757

13,172

9,800

12,424

Receivables under resale agreements (includes $99,001 in 2013 and $93,715 in 2012 measured at fair value in accordance with the fair value option election)

142,317

144,486

148,817

150,407

146,484

147,975

143,491

175,640

154,723

138,219

Receivables under securities borrowed transactions (includes $1,954 in 2013 and $961 in 2012 measured at fair value in accordance with the fair value option election)

73,799

64,789

60,992

68,460

66,845

67,367

58,109

61,362

68,007

60,458

Total securities financing transactions

216,116

209,275

209,809

218,867

213,329

215,342

201,600

237,002

222,730

198,677

Derivative contracts

27,633

27,507

24,851

26,621

28,072

29,214

35,091

39,233

34,988

39,371

Equities and convertible debentures

37,206

39,806

40,618

37,150

28,574

34,345

25,619

25,066

39,623

34,204

Non-U.S. governments and agencies

31,780

35,253

30,123

38,805

36,565

38,009

30,239

28,345

31,690

22,248

Corporate debt and preferred stock

17,363

17,809

18,337

16,260

14,109

18,649

17,305

20,272

25,304

27,703

Mortgages, mortgage-backed, and asset-backed

9,888

10,565

10,613

9,969

9,495

9,162

8,254

7,240

10,334

10,994

U.S. Government and agencies

36,040

43,851

54,564

45,862

53,910

51,742

43,003

43,566

43,187

41,378

Municipals, money markets, physical commodities and other

8,876

11,774

12,480

11,724

11,548

13,368

13,044

15,089

17,214

14,759

Total trading assets at fair value

168,786

186,565

191,586

186,391

182,273

194,489

172,555

178,811

202,340

190,657

Investment securities (includes $187 in 2013 and $162 in 2012 measured at fair value in accordance with the fair value option election)

14,077

13,087

13,625

6,389

6,309

6,675

6,684

8,031

12,587

17,769

Securities received as collateral, at fair value

12,582

13,366

16,013

14,731

16,535

17,615

13,716

12,558

24,527

20,363

Receivables from Bank of America

35,970

37,539

45,830

54,095

66,368

42,837

59,945

55,658

64,817

60,655

Customers (net of allowance for doubtful accounts of $2 in 2013 and $9 in 2012) (includes $267 in 2013 and $271 in 2012 measured at fair value in accordance with the fair value option election)

23,541

19,420

20,265

17,877

19,045

22,566

20,512

23,253

25,707

22,080

Brokers and dealers

19,467

17,515

21,792

16,290

15,173

9,804

8,691

10,378

11,474

16,483

Interest and other

7,253

7,628

9,244

8,773

10,009

9,190

9,130

12,504

9,712

10,633

Total other receivable

50,261

44,563

51,301

42,940

44,227

41,560

38,333

46,135

46,893

49,196

Loans, notes, and mortgages (net of allowances for loan losses of $57 in both 2013 and 2012) (includes $2,093 in 2013 and $3,077 in 2012 measured at fair value in accordance with the fair value option election)

20,224

20,105

19,545

19,564

19,859

20,429

20,574

21,916

23,883

25,803

Equipment and facilities, net

936

980

1,031

1,321

1,367

1,383

1,385

1,471

1,545

1,712

Goodwill and intangible assets

9,587

9,662

9,782

9,860

9,937

10,014

10,079

9,482

9,559

9,714

Other assets

16,586

17,235

17,464

14,909

14,707

15,266

15,155

17,745

19,477

17,436

Total Assets

572,908

577,586

602,928

595,379

599,752

590,852

565,516

615,282

652,904

621,626

Payables under repurchase agreements (includes $59,926 in 2013 and $42,639 in 2012 measured at fair value in accordance with the fair value option election)

185,860

185,648

219,710

225,446

231,848

214,096

173,767

203,220

175,900

183,758

Payables under securities loaned transactions

20,197

20,690

18,305

17,713

13,524

15,459

11,460

14,795

19,004

15,251

Total securities financing transactions

206,057

206,338

238,015

243,159

245,372

229,555

185,227

218,015

194,904

199,009

Short-term borrowings (includes $1,389 in 2013 and $3,283 in 2012 measured at fair value in accordance with the fair value option election)

1,427

2,509

3,376

3,556

4,218

5,918

6,051

7,104

14,523

15,248

Deposits

11,253

11,802

12,873

12,529

12,289

12,538

12,364

12,277

13,394

12,826

Derivative contracts

25,173

23,907

20,568

22,571

24,259

24,664

26,239

29,538

31,679

32,197

Equities and convertible debentures

23,118

20,703

18,957

19,588

22,537

17,913

12,223

16,602

14,268

14,026

Non-U.S. governments and agencies

24,290

28,892

19,707

21,354

18,319

18,414

16,554

16,702

20,178

15,705

Corporate debt and preferred stock

8,577

9,874

8,026

9,193

8,232

8,659

7,084

9,655

10,125

9,500

U.S. Government and agencies

19,205

18,835

20,186

17,997

18,620

17,874

16,976

16,677

26,090

24,747

Municipals, money markets and other

633

641

562

528

562

465

645

473

362

571

Total Trading liabilities

100,996

102,852

88,006

91,231

92,529

87,989

79,721

89,647

102,702

96,746

Obligation to return securities received as collateral, at fair value

12,582

13,366

16,013

14,731

16,535

17,615

13,716

12,558

24,527

20,363

Payables to Bank of America

12,526

10,042

8,752

12,063

9,791

13,134

31,731

33,587

40,716

23,021

Customers

53,405

49,363

52,053

46,751

44,841

43,362

40,153

42,430

46,171

39,045

Brokers and dealers

5,148

5,519

4,748

6,301

6,538

8,088

8,667

11,211

13,666

12,895

Interest and other (includes $52 in 2013 and $57 in 2012 measured at fair value in accordance with the fair value option election)

18,834

17,554

18,634

18,553

17,529

17,587

18,128

19,888

20,150

19,900

Total other payables

77,387

72,436

75,435

71,605

68,908

69,037

66,948

73,529

79,987

71,840

Long-term borrowings (includes $27,964 in 2013 and $30,875 in 2012 measured at fair value in accordance with the fair value option election)

81,551

90,106

92,249

93,548

96,058

102,082

106,929

114,917

128,759

128,851

Junior subordinated notes (related to trust preferred securities)

3,819

3,814

3,809

3,804

3,799

3,606

3,789

3,594

3,588

3,576

Total Liabilities

507,598

513,265

538,528

546,226

549,499

541,474

506,476

565,228

603,100

571,480

COMMITMENTS AND CONTINGENCIES

0

0

0

0

0

0

0

0

0

0

Common stock (par value $1.331/3 per share; authorized: 3,000,000,000 shares; issued: 2013 and 2012  1,000 shares)

0

0

0

0

0

0

0

0

0

0

Paid-in capital

56,291

56,245

56,127

43,021

42,961

42,953

50,765

-

-

40,416

Paid-in capital

-

-

-

-

-

-

-

41,257

41,099

-

Accumulated other comprehensive loss (net of tax)

-541

-517

-527

-149

-171

-183

-235

-284

-243

-254

Retained earnings

9,560

8,593

8,800

6,281

7,463

6,608

8,510

9,081

8,948

9,984

Total Stockholder's Equity

65,310

64,321

64,400

49,153

50,253

49,378

59,040

50,054

49,804

50,146

Total Liabilities and Stockholder's Equity

572,908

577,586

602,928

595,379

599,752

590,852

565,516

615,282

652,904

621,626