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Financial Services - Asset Management - NYSE - US
$ 78.29
0.928 %
$ 56.9 B
Market Cap
17.51
P/E
BALANCE SHEET
410 B ASSETS
1.03%
369 B LIABILITIES
1.10%
40.9 B EQUITY
0.34%
BALANCE SHEET DECOMPOSITION
Balance Sheet Decomposition The Bank of New York Mellon Corporation
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Current Assets 33.8 B
Cash & Short-Term Investments 33.8 B
Receivables 0
Other Current Assets 0
Non-Current Assets 231 B
Long-Term Investments 17 B
PP&E 3.16 B
Other Non-Current Assets 211 B
Current Liabilities 90.5 B
Accounts Payable 18.4 B
Short-Term Debt 0
Other Current Liabilities 72.1 B
Non-Current Liabilities 374 B
Long-Term Debt 31.7 B
Other Non-Current Liabilities 343 B

Balance Sheet

Millions
Dec-2023 Dec-2022 Dec-2021 Dec-2020 Dec-2019 Dec-2018 Dec-2017 Dec-2016 Dec-2015 Dec-2014 Dec-2013 Dec-2012 Dec-2011 Dec-2010 Dec-2009 Dec-2008 Dec-2007 Dec-2006 Dec-2005 Dec-2004 Dec-2003 Dec-2002 Dec-2001 Dec-2000 Dec-1999 Dec-1998 Dec-1997 Dec-1996 Dec-1995 Dec-1994 Dec-1993 Dec-1992 Dec-1991 Dec-1990 Dec-1989 Dec-1988 Dec-1987 Dec-1986 Dec-1985 Dec-1984 Dec-1983
ASSETS
Cash & Cash Equivalents 125 191.0 113 854.0 121 336.0 165 327.0 114 683.0 88 000.0 108 871.0 77 949.0 134 886.0 123 147.0 146 119.0 138 747.0 130 739.0 72 424.0 67 855.0 97 285.0 41 458.0 16 336.0 12 159.0 12 078.0 12 129.0 9 852.0 9 841.0 8 462.0 10 126.0 8 503.0 7 895.0 7 419.0 5 693.0 3 895.0 4 780.0 5 317.0 2 255.0 3 712.6 3 530.1 0 0 0 0 0 0
Short Term Investments (91 369.0) 46 631.0 45 471.0 59 271.0 57 763.0 58 876.0 79 543.0 73 822.0 75 867.0 98 330.0 79 309.0 92 619.0 78 467.0 62 652.0 51 632.0 37 693.0 46 518.0 19 377.0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Receivables 0 6 919.0 5 903.0 510.0 624.0 6 741.0 610.0 568.0 562.0 607.0 621.0 10 301.0 10 050.0 9 900.0 9 553.0 11 518.0 10 595.0 9 363.0 391.0 285.0 214.0 204.0 236.0 354.0 319.0 355.0 356.0 315.0 270.0 290.0 222.0 201.0 268.0 375.9 513.0 0 0 0 0 0 0
Inventory 0 (150 930.0) (179 424.0) (218 782.0) (165 469.0) (143 268.0) (152 092.0) (117 880.0) 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Current Assets 0 0 0 0 0 149 342.0 0 0 0 0 0 175 860.0 163 491.0 108 392.0 89 316.0 122 543.0 66 156.0 32 153.0 0 0 0 0 67 872.0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Total Current Assets 33 822.0 160 905.0 172 710.0 225 108.0 173 070.0 153 621.0 163 150.0 124 710.0 211 315.0 222 084.0 226 049.0 241 667.0 209 866.0 135 584.0 131 315.0 136 872.0 98 571.0 45 076.0 12 550.0 12 363.0 12 343.0 10 056.0 77 949.0 8 816.0 10 445.0 8 858.0 8 251.0 7 734.0 5 963.0 4 185.0 5 002.0 5 518.0 2 523.0 4 088.5 4 043.1 0 0 0 0 0 0
PP&E 3 163.0 3 256.0 3 431.0 3 602.0 3 625.0 1 832.0 1 634.0 1 303.0 1 379.0 1 394.0 1 655.0 1 659.0 1 681.0 1 693.0 1 602.0 1 686.0 1 731.0 1 050.0 1 060.0 1 097.0 1 398.0 975.0 992.0 924.0 893.0 856.0 835.0 875.0 902.0 914.0 945.0 718.0 734.0 822.2 851.8 872.0 178.0 145.0 128.0 122.0 125.0
Intangible Assets 5 284.0 2 901.0 5 087.0 3 012.0 3 107.0 3 220.0 3 411.0 3 598.0 3 842.0 4 127.0 4 452.0 5 926.0 5 152.0 5 696.0 6 183.0 5 856.0 6 921.0 1 841.0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Goodwill 16 261.0 16 150.0 17 512.0 17 496.0 17 386.0 17 350.0 17 564.0 17 316.0 17 618.0 17 869.0 18 073.0 18 075.0 17 904.0 18 042.0 16 249.0 15 898.0 16 331.0 5 172.0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Long Term Investments 16 970.0 152 724.0 177 055.0 172 200.0 136 849.0 127 289.0 127 123.0 121 691.0 127 948.0 138 426.0 122 422.0 120 045.0 100 600.0 87 349.0 60 304.0 56 166.0 57 518.0 27 507.0 33 256.0 28 429.0 28 309.0 25 609.0 21 132.0 19 452.0 15 614.0 8 052.0 9 244.0 6 600.0 5 632.0 5 591.0 6 922.0 5 384.0 4 258.0 3 506.2 3 920.1 0 0 0 0 0 0
Other Long Term Assets (41 678.0) 3 728.0 (203 085.0) (196 310.0) (160 967.0) (152 144.0) (149 732.0) (143 908.0) (150 787.0) (161 816.0) (146 602.0) (145 705.0) (125 337.0) (112 780.0) (84 338.0) (79 606.0) (82 501.0) (35 570.0) (38 746.0) (33 796.0) (33 799.0) (29 159.0) 2 084.0 (20 376.0) (16 507.0) (8 908.0) (10 079.0) (7 475.0) (6 534.0) (6 505.0) (7 867.0) (6 102.0) (4 992.0) (4 328.4) (4 771.9) (872.0) (178.0) (145.0) (128.0) (122.0) (125.0)
Other Assets 144 831.0 66 119.0 68 643.0 48 215.0 47 471.0 57 108.0 58 876.0 64 851.0 31 678.0 1 403.0 1 659.0 (28 382.0) (9 937.0) (1 105.0) (3 429.0) 20 531.0 16 584.0 22 724.0 50 778.0 48 370.0 46 255.0 38 349.0 0 47 922.0 47 804.0 45 737.0 41 631.0 40 556.0 41 223.0 38 189.0 32 677.0 29 289.0 31 911.0 36 973.0 40 041.5 47 388.0 23 065.0 20 709.0 18 486.0 15 157.0 12 797.0
Total Assets 409 953.0 405 783.0 444 438.0 469 633.0 381 508.0 362 873.0 371 758.0 333 469.0 393 780.0 385 303.0 374 310.0 358 990.0 325 266.0 247 259.0 212 224.0 237 009.0 197 656.0 103 370.0 102 074.0 94 529.0 92 397.0 77 564.0 81 025.0 77 114.0 74 756.0 63 503.0 59 961.0 55 765.0 53 720.0 48 879.0 45 546.0 40 909.0 39 426.0 45 389.9 48 856.5 47 388.0 23 065.0 20 709.0 18 486.0 15 156.0 12 797.0
LIABILITIES
Accounts Payable 18 395.0 23 435.0 25 150.0 25 085.0 18 758.0 19 731.0 20 184.0 20 987.0 21 900.0 21 181.0 15 707.0 16 095.0 12 671.0 9 962.0 10 721.0 9 274.0 7 578.0 7 266.0 163.0 113.0 82.0 101.0 92.0 127.0 131.0 188.0 182.0 167.0 190.0 213.0 111.0 146.0 225.0 280.0 392.8 0 0 0 0 0 0
Short Term Debt 0 0 0 0 0 0 3 075.0 754.0 523.0 786.0 96.0 338.0 10.0 10.0 12.0 138.0 4 079.0 224.0 860.0 533.0 834.0 625.0 2 363.0 1 687.0 3 825.0 4 536.0 4 673.0 4 144.0 3 706.0 4 738.0 2 781.0 3 029.0 1 128.0 1 831.3 1 556.1 0 0 0 0 0 0
Other Current Liabilities (24 134.0) (28 845.0) (30 917.0) (30 781.0) (24 400.0) (25 400.0) (29 484.0) (27 608.0) (28 409.0) (28 272.0) (22 788.0) (23 749.0) (18 916.0) (16 136.0) (15 217.0) (13 191.0) (19 758.0) (12 619.0) (5 147.0) (5 098.0) (4 256.0) (4 066.0) (6 221.0) (5 097.0) (6 600.0) (6 907.0) (6 765.0) (5 728.0) (5 274.0) (6 000.0) (3 655.0) (3 556.0) (1 587.0) (2 446.5) 45 043.7 44 596.0 21 125.0 19 154.0 17 135.0 14 227.0 12 034.0
Total Current Liabilities 90 534.0 23 435.0 25 150.0 25 085.0 22 717.0 21 670.0 23 259.0 21 741.0 22 423.0 21 181.0 15 803.0 16 433.0 12 681.0 9 972.0 10 733.0 9 412.0 11 657.0 9 241.0 1 032.0 946.0 916.0 726.0 69 732.0 66 426.0 65 302.0 54 669.0 52 150.0 48 222.0 46 640.0 42 809.0 39 884.0 35 693.0 35 292.0 41 639.0 45 141.0 44 596.0 21 125.0 19 154.0 17 135.0 14 227.0 12 034.0
Long Term Debt 31 736.0 30 855.0 26 680.0 26 334.0 28 100.0 24 863.0 31 007.0 25 217.0 22 070.0 21 050.0 20 527.0 19 910.0 22 107.0 19 375.0 17 711.0 16 620.0 18 713.0 10 174.0 7 817.0 6 121.0 6 121.0 5 440.0 4 976.0 3 036.0 2 811.0 2 086.0 1 809.0 1 816.0 1 848.0 1 774.0 1 590.0 1 701.0 1 232.0 864.8 950.7 0 726.0 502.0 430.0 169.0 99.0
Deferred Tax Income 0 (164.0) 26 517.0 26 167.0 27 932.0 32 219.0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Liabilities (31 736.0) (30 855.0) (26 680.0) (26 334.0) (28 100.0) (24 863.0) (31 007.0) (25 217.0) (22 070.0) (21 050.0) (20 527.0) (19 910.0) (22 107.0) (19 375.0) (17 711.0) (16 620.0) (18 713.0) (10 174.0) (7 817.0) (6 121.0) (6 121.0) (5 440.0) (4 976.0) (3 036.0) (2 811.0) (2 086.0) (1 809.0) (1 816.0) (1 848.0) (1 774.0) (1 590.0) (1 701.0) (1 232.0) (864.8) (950.7) 0 0 0 0 0 0
Total Liabilities 368 944.0 364 933.0 401 047.0 423 513.0 339 780.0 322 005.0 330 012.0 293 889.0 354 805.0 346 002.0 335 776.0 321 548.0 291 065.0 214 102.0 183 221.0 208 959.0 168 253.0 91 777.0 92 198.0 85 239.0 83 969.0 70 880.0 74 708.0 69 462.0 68 113.0 56 755.0 53 959.0 50 038.0 48 488.0 44 583.0 41 474.0 37 394.0 36 524.0 42 504.2 46 092.2 44 596.0 21 851.0 19 656.0 17 565.0 14 396.0 12 133.0
EQUITY
Common Stock 14.0 14.0 14.0 14.0 14.0 14.0 14.0 13.0 13.0 13.0 13.0 13.0 12.0 12.0 12.0 11.0 11.0 7 903.0 7 838.0 7 836.0 7 800.0 7 453.0 7 431.0 7 391.0 7 335.0 0 0 0 0 0 0 0 0 0 526.0 492.0 263.0 232.0 151.0 122.0 115.0
Retained Earnings 39 653.0 37 864.0 36 667.0 34 241.0 31 894.0 28 652.0 25 635.0 22 621.0 19 974.0 18 281.0 15 976.0 14 622.0 12 812.0 10 898.0 8 912.0 10 250.0 10 015.0 9 444.0 7 089.0 6 162.0 5 330.0 4 736.0 4 383.0 3 566.0 2 620.0 1 318.0 3 493.0 2 798.0 2 689.0 2 048.0 1 536.0 1 010.0 785.0 781.2 687.7 806.0 662.0 619.0 517.0 435.0 365.0
Other Accumulative Comprehensive Income/Loss (4 893.0) (5 966.0) (2 213.0) (985.0) (2 638.0) (3 171.0) (2 357.0) (3 765.0) (2 600.0) (1 634.0) (892.0) (643.0) (1 627.0) (1 355.0) (1 835.0) (5 426.0) (574.0) (317.0) (141.0) (6.0) 71.0 131.0 74.0 199.0 20.0 312.0 0 0 0 0 0 0 0 0 (395.9) 0 0 0 0 0 0
Total Equity 41 009.0 40 850.0 43 391.0 46 120.0 41 728.0 40 868.0 41 746.0 39 580.0 38 975.0 39 301.0 38 534.0 37 442.0 34 201.0 33 157.0 29 003.0 28 050.0 29 403.0 11 593.0 9 876.0 9 290.0 8 428.0 6 684.0 6 317.0 7 652.0 6 643.0 6 748.0 6 002.0 5 727.0 5 232.0 4 296.0 4 072.0 3 515.0 2 902.0 2 885.7 2 764.3 2 792.0 1 214.0 1 053.0 921.0 760.0 664.0
Total Liabilities and Equity 409 953.0 405 783.0 444 438.0 469 633.0 381 508.0 362 873.0 371 758.0 333 469.0 393 780.0 385 303.0 374 310.0 358 990.0 325 266.0 247 259.0 212 224.0 237 009.0 197 656.0 103 370.0 102 074.0 94 529.0 92 397.0 77 564.0 81 025.0 77 114.0 74 756.0 63 503.0 59 961.0 55 765.0 53 720.0 48 879.0 45 546.0 40 909.0 39 426.0 45 389.9 48 856.5 47 388.0 23 065.0 20 709.0 18 486.0 15 156.0 12 797.0
SHARES OUTSTANDING
Common Shares Outstanding 784.1 811.1 851.9 890.8 939.6 1 034.3 1 034.3 1 066.3 1 104.7 1 129.9 1 150.7 1 163.5 1 220.8 1 212.6 1 178.9 1 142.2 923.2 713.8 766.3 772.0 752.0 726.0 731.0 733.0 751.0 751.0 760.0 817.8 790.4 751.6 738.9 601.8 486.9 616.6 543.2 506.5 272.1 236.5 226.7 174.0 166.0