v3.25.2
FVM - Financial instruments not measured at fair value - Liabilities (Detail) - USD ($)
$ in Millions
Jun. 30, 2025
Mar. 31, 2025
Dec. 31, 2024
Disclosure Of Fair Value Measurement Of Liabilities [Line Items]      
Amounts due to banks $ 31,928 $ 27,794 $ 23,347
Payables from securities financing transactions measured at amortized cost 16,314 14,999 14,833
Cash collateral payables on derivative instruments 32,980 31,520 35,490
Customer deposits 800,045 744,866 745,777
Debt issued measured at amortized cost 224,709 213,880 214,219
Other financial liabilities measured at amortized cost excluding lease liabilities 13,900 14,600 16,400
Not measured at fair value      
Disclosure Of Fair Value Measurement Of Liabilities [Line Items]      
Amounts due to banks 32,000 27,800 23,400
Payables from securities financing transactions measured at amortized cost 16,300 15,000 14,800
Cash collateral payables on derivative instruments 33,000 31,500 35,500
Customer deposits 800,800 745,600 746,600
Debt issued measured at amortized cost 229,700 218,500 220,600
Other financial liabilities measured at amortized cost excluding lease liabilities $ 13,900 $ 14,600 $ 16,400