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Fair Value Option (Tables)
9 Months Ended
Sep. 30, 2014
Fair Value Disclosures [Abstract]  
Assets and Liabilities, by Type, of Consolidated Investment Management Funds Recorded at Fair Value
The following table presents the assets and liabilities, by type, of consolidated investment management funds recorded at fair value. 

Assets and liabilities of consolidated investment management funds, at fair value
(in millions)
Sept. 30, 2014

Dec. 31, 2013

Assets of consolidated investment management funds:
 
 
Trading assets
$
8,823

$
10,397

Other assets
739

875

Total assets of consolidated investment management funds
$
9,562

$
11,272

Liabilities of consolidated investment management funds:
 
 
Trading liabilities
$
8,130

$
10,085

Other liabilities
10

46

Total liabilities of consolidated investment management funds
$
8,140

$
10,131

Changes in Fair Value of Long-term Debt Included in Foreign Exchange and Other Trading Revenue
The following table presents the changes in fair value of the long-term debt included in foreign exchange and other trading revenue in the consolidated income statement.

Foreign exchange and other trading revenue
 
 
 
 
Quarter ended
 
Year-to-date
(in millions)
Sept. 30, 2014

Sept. 30, 2013

 
Sept. 30, 2014

Sept. 30, 2013

Changes in the fair value of long-term debt (a)
$
1

$
(2
)
 
$
(16
)
$
19


(a)
The change in fair value of the long-term debt is approximately offset by an economic hedge included in foreign exchange and other trading revenue.