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Bank of New York Mellon Corp – ‘10-Q’ for 3/31/11 – ‘XML.R63’

On:  Monday, 5/9/11, at 4:32pm ET   ·   For:  3/31/11   ·   Accession #:  1193125-11-132389   ·   File #:  0-52710

Previous ‘10-Q’:  ‘10-Q’ on 11/8/10 for 9/30/10   ·   Next:  ‘10-Q’ on 8/8/11 for 6/30/11   ·   Latest:  ‘10-Q’ on 5/3/24 for 3/31/24   ·   2 References:   

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  As Of               Filer                 Filing    For·On·As Docs:Size             Issuer                      Filing Agent

 5/09/11  Bank of New York Mellon Corp      10-Q        3/31/11  136:36M                                    Donnelley … Solutions/FA

Quarterly Report   —   Form 10-Q   —   Sect. 13 / 15(d) – SEA’34
Filing Table of Contents

Document/Exhibit                   Description                      Pages   Size 

 1: 10-Q        Quarterly Report                                    HTML   2.70M 
 2: EX-10.1     Form of Executive Restricted Stock Unit Agreement   HTML     68K 
 3: EX-10.2     Form of Executive Stock Option Agreement            HTML     67K 
 4: EX-10.3     Amendment to Robert P. Kelly Letter Agreement       HTML     42K 
 5: EX-10.4     Terms of Employment for Curtis Y. Arledge           HTML     76K 
 6: EX-12.1     Computation of Ratio of Earnings to Fixed Charges   HTML     47K 
 7: EX-31.1     Section 302 CEO Certification                       HTML     44K 
 8: EX-31.2     Section 302 CFO Certification                       HTML     44K 
 9: EX-32.1     Section 906 CEO Certification                       HTML     38K 
10: EX-32.2     Section 906 CFO Certification                       HTML     38K 
103: XML         IDEA XML File -- Definitions and References          XML    372K  
123: XML         IDEA XML File -- Filing Summary                      XML    730K  
116: XML.R1      Document and Entity Information                      XML    130K  
117: XML.R2      Consolidated Income Statement                        XML   1.11M  
63: XML.R3      Consolidated Income Statement (Parenthetical)        XML    126K 
73: XML.R4      Consolidated Balance Sheet                           XML    743K 
100: XML.R5      Consolidated Balance Sheet (Parenthetical)           XML    178K  
95: XML.R6      Consolidated Statement of Cash Flows                 XML    773K 
130: XML.R7      Consolidated Statement of Changes in Equity          XML    657K  
34: XML.R8      Consolidated Statement of Changes in Equity          XML    100K 
                (Parenthetical)                                                  
94: XML.R9      Basis of presentation                                XML     64K 
28: XML.R10     Accounting changes and new accounting guidance       XML     61K 
27: XML.R11     Acquisitions                                         XML     62K 
62: XML.R12     Discontinued operations                              XML     59K 
110: XML.R13     Securities                                           XML    407K  
65: XML.R14     Loans and asset quality                              XML    491K 
69: XML.R15     Goodwill and intangible assets                       XML    158K 
88: XML.R16     Other assets                                         XML     88K 
135: XML.R17     Net interest revenue                                 XML     92K  
52: XML.R18     Employee benefit plans                               XML     80K 
17: XML.R19     Restructuring charges                                XML    119K 
72: XML.R20     Income taxes                                         XML     70K 
107: XML.R21     Securitizations and variable interest entities       XML    142K  
41: XML.R22     Fair value of financial instruments                  XML    139K 
101: XML.R23     Fair value measurement                               XML    780K  
70: XML.R24     Fair value option                                    XML     82K 
129: XML.R25     Derivative instruments                               XML    188K  
112: XML.R26     Commitments and contingent liabilities               XML    126K  
77: XML.R27     Review of businesses                                 XML    148K 
89: XML.R28     Supplemental information to the Consolidated         XML     65K 
                Statement of Cash Flows                                          
26: XML.R29     Accounting changes and new accounting guidance       XML    136K 
                (Policies)                                                       
31: XML.R30     Securities (Tables)                                  XML    445K 
44: XML.R31     Loans and asset quality (Tables)                     XML    531K 
57: XML.R32     Goodwill and intangible assets (Tables)              XML    176K 
87: XML.R33     Other assets (Tables)                                XML     94K 
111: XML.R34     Net interest revenue (Tables)                        XML     91K  
21: XML.R35     Employee benefit plans (Tables)                      XML     79K 
35: XML.R36     Restructuring charges (Tables)                       XML    124K 
119: XML.R37     Income taxes (Tables)                                XML     68K  
128: XML.R38     Securitizations and variable interest entities       XML    195K  
                (Tables)                                                         
79: XML.R39     Fair value of financial instruments (Tables)         XML    139K 
132: XML.R40     Fair value measurement (Tables)                      XML    773K  
36: XML.R41     Fair value option (Tables)                           XML     90K 
134: XML.R42     Derivative instruments (Tables)                      XML    204K  
46: XML.R43     Commitments and contingent liabilities (Tables)      XML    115K 
18: XML.R44     Review of businesses (Tables)                        XML    127K 
45: XML.R45     Supplemental information to the Consolidated         XML     64K 
                Statement of Cash Flows (Tables)                                 
106: XML.R46     Acquisitions - Additional Information (Detail)       XML    437K  
127: XML.R47     Discontinued Operations - Additional Information     XML     73K  
                (Detail)                                                         
67: XML.R48     Amortized Cost and Fair Values of Securities         XML   2.05M 
                (Detail)                                                         
48: XML.R49     Amortized Cost and Fair Values of Securities         XML    219K 
                (Parenthetical) (Detail)                                         
86: XML.R50     Amortized Cost and Fair Values of Securities by      XML    407K 
                Contractual Maturity (Detail)                                    
24: XML.R51     Realized Gross Gains, Realized Gross Losses and      XML    125K 
                Recognized Gross Impairments on Securities                       
                (Detail)                                                         
92: XML.R52     Aggregate Fair Value of Investments with a           XML   1.95M 
                Continuous Unrealized Loss Position (Detail)                     
50: XML.R53     Projected Weighted-Average Default Rates and Loss    XML    216K 
                Severities (Detail)                                              
33: XML.R54     Securities - Additional Information (Detail)         XML    185K 
126: XML.R55     Pre-Tax Securities Gains (Losses) by Type (Detail)   XML    320K  
121: XML.R56     Debt Securities Credit Losses Rollforward Recorded   XML    116K  
                In Earnings (Detail)                                             
61: XML.R57     Details of our Loan Distribution and Industry        XML    644K 
                Concentrations of Credit Risk (Detail)                           
40: XML.R58     Details of our Loan Distribution and Industry        XML     71K 
                Concentrations of Credit Risk (Parenthetical)                    
                (Detail)                                                         
114: XML.R59     Allowance for Credit Losses Activity (Detail)        XML   1.30M  
30: XML.R60     Allowance for Credit Losses Activity                 XML    301K 
                (Parenthetical) (Detail)                                         
96: XML.R61     Nonperforming Assets and Impaired Loans (Detail)     XML    373K 
93: XML.R62     Nonperforming Assets and Impaired Loans              XML     75K 
                (Parenthetical) (Detail)                                         
120: XML.R63     Lost Interest (Detail)                               XML    103K  
115: XML.R64     Information About our Impaired Loans (Detail)        XML   1.14M  
131: XML.R65     Information About our Impaired Loans                 XML    378K  
                (Parenthetical) (Detail)                                         
38: XML.R66     Information About our Past Due Loans (Detail)        XML    655K 
60: XML.R67     Credit Quality Indicators - Commercial Portfolio     XML    485K 
                Credit Risk Profile by Creditworthiness Category                 
                (Detail)                                                         
84: XML.R68     Credit Quality Indicators - Wealth Management        XML    259K 
                Loans and Mortgages - Credit Risk Profile by                     
                Internally Assigned Grade (Detail)                               
71: XML.R69     Loans and Asset Quality - Additional Information     XML    683K 
                (Detail)                                                         
85: XML.R70     Goodwill by Business Segment (Detail)                XML    259K 
133: XML.R71     Goodwill and Intangible Assets - Additional          XML    103K  
                Information (Detail)                                             
39: XML.R72     Intangible Assets by Business Segment (Detail)       XML    449K 
47: XML.R73     Intangible Assets (Detail)                           XML    789K 
43: XML.R74     Estimated Annual Amortization Expense (Detail)       XML     92K 
81: XML.R75     Other Assets (Detail)                                XML    184K 
91: XML.R76     Other Assets (Parenthetical) (Detail)                XML     79K 
76: XML.R77     Seed Capital And Private Equity Investments Valued   XML    158K 
                Using NAV (Detail)                                               
68: XML.R78     Net Interest Revenue (Detail)                        XML    311K 
37: XML.R79     Net Periodic Benefit Cost (Credit) (Detail)          XML    294K 
19: XML.R80     Restructuring Charge - Additional Information        XML    239K 
                (Detail)                                                         
82: XML.R81     Activity in Restructuring Reserve (Detail)           XML    518K 
59: XML.R82     Restructuring Charges by Business Segment (Detail)   XML    429K 
75: XML.R83     Reconciliation of Statutory Federal Income Tax       XML    133K 
                Rate to Effective Income Tax Rate (Detail)                       
105: XML.R84     Income Taxes - Additional information (Detail)       XML    118K  
99: XML.R85     Incremental Assets and Liabilities of VIEs           XML    390K 
                Included in Consolidated Financial Statements                    
                (Detail)                                                         
54: XML.R86     Non-consolidated VIEs (Detail)                       XML    212K 
109: XML.R87     Financial Statement Items Related to                 XML    281K  
                Non-Consolidated VIEs Provided Credit Support                    
                Agreements (Detail)                                              
97: XML.R88     Consolidated Credit Supported VIEs (Detail)          XML    257K 
42: XML.R89     Securitizations and Variable Interest Entities -     XML     59K 
                Additional Information (Detail)                                  
66: XML.R90     Fair Value of Financial Instruments - Additional     XML     89K 
                Information (Detail)                                             
98: XML.R91     Carrying Amount And Fair Value of Financial          XML    738K 
                Instruments (Detail)                                             
51: XML.R92     Summary of Carrying Amount of Hedged Financial       XML    319K 
                Instruments, Related Notional Amount of the Hedge                
                And Estimated Fair Value of Derivatives (Detail)                 
113: XML.R93     Fair Value Measurement - Additional Information      XML     86K  
                (Detail)                                                         
56: XML.R94     Assets and Liabilities Measured at Fair Value on a   XML   4.98M 
                Recurring Basis (Detail)                                         
104: XML.R95     Details Of Certain Items Measured At Fair Value On   XML   8.10M  
                A Recurring Basis (Detail)                                       
83: XML.R96     Fair Value Measurements Using Significant            XML   1.43M 
                Unobservable Inputs (Detail)                                     
20: XML.R97     Assets Measured at Fair Value on a Nonrecurring      XML    386K 
                Basis (Detail)                                                   
55: XML.R98     Assets Measured at Fair Value on a Nonrecurring      XML     87K 
                Basis (Parenthetical) (Detail)                                   
108: XML.R99     Fair Value Option of Consolidated Investment         XML    198K  
                Management Funds at Fair Value (Detail)                          
32: XML.R100    Fair Value Option - Additional Information           XML    165K 
                (Detail)                                                         
78: XML.R101    Fair Value Option - Changes in Fair Value Included   XML     72K 
                in Foreign Exchange and Other Trading Activities                 
                (Detail)                                                         
90: XML.R102    Derivative Instruments - Additional Information      XML    998K 
                (Detail)                                                         
118: XML.R103    Ineffectiveness Related to Derivatives and Hedging   XML    340K  
                Relationships Recorded in Income (Detail)                        
136: XML.R104    Impact of Derivative Instruments on the Balance      XML    551K  
                Sheet (Detail)                                                   
49: XML.R105    Impact of Derivative Instruments on the Balance      XML     88K 
                Sheet (Parenthetical) (Detail)                                   
22: XML.R106    Impact of Derivative Instruments on the Income       XML    427K 
                Statement (Detail)                                               
53: XML.R107    Revenue from Foreign Exchange and Other Trading      XML    317K 
                Activities (Detail)                                              
58: XML.R108    Fair Value of Derivative Contracts Falling Under     XML    130K 
                Close-Out Agreements that were in a Net Liability                
                Position (Detail)                                                
29: XML.R109    Off-Balance Sheet Risks Significant Industry         XML    574K 
                Concentrations (Detail)                                          
125: XML.R110    Summary of Off-Balance Sheet Credit Transactions,    XML    262K  
                Net of Participations (Detail)                                   
122: XML.R111    Summary of Off-Balance Sheet Credit Transactions,    XML    135K  
                Net of Participations (Parenthetical) (Detail)                   
23: XML.R112    Commitments and Contingent Liabilities -             XML    477K 
                Additional Information (Detail)                                  
64: XML.R113    Standby Letters of Credits (SBLCs) by Investment     XML    144K 
                Grade (Detail)                                                   
74: XML.R114    Contribution of Segments to Overall Profitability    XML    569K 
                (Detail)                                                         
102: XML.R115    Contribution of Segments to Overall Profitability    XML    209K  
                (Parenthetical) (Detail)                                         
25: XML.R116    Noncash Investing and Financing Transactions that,   XML    106K 
                appropriately, are not Reflected in the                          
                Consolidated Statement of Cash Flows (Detail)                    
124: EXCEL       IDEA Workbook of Financial Reports (.xls)            XLS   4.89M  
11: EX-101.INS  XBRL Instance -- bk-20110331                         XML   8.45M 
13: EX-101.CAL  XBRL Calculations -- bk-20110331_cal                 XML    480K 
14: EX-101.DEF  XBRL Definitions -- bk-20110331_def                  XML   2.03M 
15: EX-101.LAB  XBRL Labels -- bk-20110331_lab                       XML   2.03M 
16: EX-101.PRE  XBRL Presentations -- bk-20110331_pre                XML   2.13M 
12: EX-101.SCH  XBRL Schema -- bk-20110331                           XSD    494K 
80: ZIP         XBRL Zipped Folder -- 0001193125-11-132389-xbrl      Zip    417K 


‘XML.R63’   —   Lost Interest (Detail)


This Financial Report is an XBRL XML File.


                                                                                                                                                                                
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<hasSegments> false </hasSegments>
<hasScenarios> false </hasScenarios>
</Cell>
</Cells>
<OriginalInstanceReportColumns/>
<Unit> Other </Unit>
<ElementDataType> xbrli:stringItemType </ElementDataType>
<SimpleDataType> string </SimpleDataType>
<ElementDefenition> Line items represent financial concepts included in a table. These concepts are used to disclose reportable information associated with domain members defined in one or many axes to the table. </ElementDefenition>
<IsTotalLabel> false </IsTotalLabel>
<IsEPS> false </IsEPS>
<Label> Financing Receivable, Impaired [Line Items] </Label>
</Row>
<Row>
<Id> 5 </Id>
<IsAbstractGroupTitle> false </IsAbstractGroupTitle>
<Level> 0 </Level>
<ElementName> us-gaap_LoansAndLeasesReceivableImpairedInterestIncomeRecognized </ElementName>
<ElementPrefix> us-gaap </ElementPrefix>
<IsBaseElement> true </IsBaseElement>
<BalanceType> credit </BalanceType>
<PeriodType> duration </PeriodType>
<ShortDefinition> No definition available. </ShortDefinition>
<IsReportTitle> false </IsReportTitle>
<IsSegmentTitle> false </IsSegmentTitle>
<IsSubReportEnd> false </IsSubReportEnd>
<IsCalendarTitle> false </IsCalendarTitle>
<IsTuple> false </IsTuple>
<IsEquityPrevioslyReportedAsRow> false </IsEquityPrevioslyReportedAsRow>
<IsEquityAdjustmentRow> false </IsEquityAdjustmentRow>
<IsBeginningBalance> false </IsBeginningBalance>
<IsEndingBalance> false </IsEndingBalance>
<IsReverseSign> false </IsReverseSign>
<PreferredLabelRole/>
<FootnoteIndexer/>
<Cells>
<Cell>
<Id> 1 </Id>
<IsNumeric> true </IsNumeric>
<IsRatio> false </IsRatio>
<DisplayZeroAsNone> false </DisplayZeroAsNone>
<NumericAmount> 1000000 </NumericAmount>
<RoundedNumericAmount> 1 </RoundedNumericAmount>
<NonNumbericText/>
<NonNumericTextHeader/>
<FootnoteIndexer/>
<CurrencyCode/>
<CurrencySymbol/>
<IsIndependantCurrency> false </IsIndependantCurrency>
<ShowCurrencySymbol> true </ShowCurrencySymbol>
<DisplayDateInUSFormat> false </DisplayDateInUSFormat>
<hasSegments> false </hasSegments>
<hasScenarios> false </hasScenarios>
</Cell>
<Cell>
<Id> 2 </Id>
<IsNumeric> true </IsNumeric>
<IsRatio> false </IsRatio>
<DisplayZeroAsNone> false </DisplayZeroAsNone>
<NumericAmount> 1000000 </NumericAmount>
<RoundedNumericAmount> 1 </RoundedNumericAmount>
<NonNumbericText/>
<NonNumericTextHeader/>
<FootnoteIndexer/>
<CurrencyCode/>
<CurrencySymbol/>
<IsIndependantCurrency> false </IsIndependantCurrency>
<ShowCurrencySymbol> true </ShowCurrencySymbol>
<DisplayDateInUSFormat> false </DisplayDateInUSFormat>
<hasSegments> false </hasSegments>
<hasScenarios> false </hasScenarios>
</Cell>
<Cell>
<Id> 3 </Id>
<IsNumeric> false </IsNumeric>
<IsRatio> false </IsRatio>
<DisplayZeroAsNone> false </DisplayZeroAsNone>
<NumericAmount> 0 </NumericAmount>
<RoundedNumericAmount> 0 </RoundedNumericAmount>
<NonNumbericText/>
<NonNumericTextHeader/>
<FootnoteIndexer/>
<CurrencyCode/>
<CurrencySymbol/>
<IsIndependantCurrency> false </IsIndependantCurrency>
<ShowCurrencySymbol> false </ShowCurrencySymbol>
<DisplayDateInUSFormat> false </DisplayDateInUSFormat>
<hasSegments> false </hasSegments>
<hasScenarios> false </hasScenarios>
</Cell>
</Cells>
<OriginalInstanceReportColumns/>
<Unit> Monetary </Unit>
<ElementDataType> xbrli:monetaryItemType </ElementDataType>
<SimpleDataType> monetary </SimpleDataType>
<ElementDefenition> Reflects the amount of interest income on impaired and nonperforming loans that was recognized as income during the reporting period. </ElementDefenition>
<ElementReferences> Reference 1: http://www.xbrl.org/2003/role/presentationRef -Publisher FASB -Name Statement of Financial Accounting Standard (FAS) -Number 114 -Paragraph 20 Reference 2: http://www.xbrl.org/2003/role/presentationRef -Publisher OTS -Name Federal Regulation (FR) -Number Title 12 -Chapter V -Section 563c.102 -Paragraph 8 -Subparagraph j(ii) -Subsection I Reference 3: http://www.xbrl.org/2003/role/presentationRef -Publisher FASB -Name Statement of Financial Accounting Standard (FAS) -Number 15 -Paragraph 40 </ElementReferences>
<IsTotalLabel> false </IsTotalLabel>
<IsEPS> false </IsEPS>
<Label> Amount by which interest income recognized on nonperforming loans exceeded reversals </Label>
</Row>
<Row>
<Id> 6 </Id>
<IsAbstractGroupTitle> false </IsAbstractGroupTitle>
<Level> 0 </Level>
<ElementName> us-gaap_LoansAndLeasesReceivableImpairedInterestLostOnNonaccrualLoans </ElementName>
<ElementPrefix> us-gaap </ElementPrefix>
<IsBaseElement> true </IsBaseElement>
<BalanceType> credit </BalanceType>
<PeriodType> duration </PeriodType>
<ShortDefinition> No definition available. </ShortDefinition>
<IsReportTitle> false </IsReportTitle>
<IsSegmentTitle> false </IsSegmentTitle>
<IsSubReportEnd> false </IsSubReportEnd>
<IsCalendarTitle> false </IsCalendarTitle>
<IsTuple> false </IsTuple>
<IsEquityPrevioslyReportedAsRow> false </IsEquityPrevioslyReportedAsRow>
<IsEquityAdjustmentRow> false </IsEquityAdjustmentRow>
<IsBeginningBalance> false </IsBeginningBalance>
<IsEndingBalance> false </IsEndingBalance>
<IsReverseSign> false </IsReverseSign>
<PreferredLabelRole/>
<FootnoteIndexer/>
<Cells>
<Cell>
<Id> 1 </Id>
<IsNumeric> true </IsNumeric>
<IsRatio> false </IsRatio>
<DisplayZeroAsNone> false </DisplayZeroAsNone>
<NumericAmount> 5000000 </NumericAmount>
<RoundedNumericAmount> 5 </RoundedNumericAmount>
<NonNumbericText/>
<NonNumericTextHeader/>
<FootnoteIndexer/>
<CurrencyCode/>
<CurrencySymbol/>
<IsIndependantCurrency> false </IsIndependantCurrency>
<ShowCurrencySymbol> true </ShowCurrencySymbol>
<DisplayDateInUSFormat> false </DisplayDateInUSFormat>
<hasSegments> false </hasSegments>
<hasScenarios> false </hasScenarios>
</Cell>
<Cell>
<Id> 2 </Id>
<IsNumeric> true </IsNumeric>
<IsRatio> false </IsRatio>
<DisplayZeroAsNone> false </DisplayZeroAsNone>
<NumericAmount> 5000000 </NumericAmount>
<RoundedNumericAmount> 5 </RoundedNumericAmount>
<NonNumbericText/>
<NonNumericTextHeader/>
<FootnoteIndexer/>
<CurrencyCode/>
<CurrencySymbol/>
<IsIndependantCurrency> false </IsIndependantCurrency>
<ShowCurrencySymbol> true </ShowCurrencySymbol>
<DisplayDateInUSFormat> false </DisplayDateInUSFormat>
<hasSegments> false </hasSegments>
<hasScenarios> false </hasScenarios>
</Cell>
<Cell>
<Id> 3 </Id>
<IsNumeric> true </IsNumeric>
<IsRatio> false </IsRatio>
<DisplayZeroAsNone> false </DisplayZeroAsNone>
<NumericAmount> 6000000 </NumericAmount>
<RoundedNumericAmount> 6 </RoundedNumericAmount>
<NonNumbericText/>
<NonNumericTextHeader/>
<FootnoteIndexer/>
<CurrencyCode/>
<CurrencySymbol/>
<IsIndependantCurrency> false </IsIndependantCurrency>
<ShowCurrencySymbol> true </ShowCurrencySymbol>
<DisplayDateInUSFormat> false </DisplayDateInUSFormat>
<hasSegments> false </hasSegments>
<hasScenarios> false </hasScenarios>
</Cell>
</Cells>
<OriginalInstanceReportColumns/>
<Unit> Monetary </Unit>
<ElementDataType> xbrli:monetaryItemType </ElementDataType>
<SimpleDataType> monetary </SimpleDataType>
<ElementDefenition> Reflects the amount of additional interest income that would have been recorded if impaired or nonperforming loans were instead current, in compliance with their original terms, and outstanding throughout the reporting period or since origination (if held for part of the period). </ElementDefenition>
<ElementReferences> Reference 1: http://www.xbrl.org/2003/role/presentationRef -Publisher FASB -Name Statement of Financial Accounting Standard (FAS) -Number 114 -Paragraph 20 Reference 2: http://www.xbrl.org/2003/role/presentationRef -Publisher OTS -Name Federal Regulation (FR) -Number Title 12 -Chapter V -Section 563c.102 -Paragraph 8 -Subparagraph j(ii) -Subsection I Reference 3: http://www.xbrl.org/2003/role/presentationRef -Publisher FASB -Name Statement of Financial Accounting Standard (FAS) -Number 15 -Paragraph 40 </ElementReferences>
<IsTotalLabel> false </IsTotalLabel>
<IsEPS> false </IsEPS>
<Label> Amount by which interest income would have increased if non- performing loans at year-end had been performing for the entire year </Label>
</Row>
</Rows>
<Footnotes/>
<NumberOfCols> 3 </NumberOfCols>
<NumberOfRows> 3 </NumberOfRows>
<ReportName> Lost Interest (Detail) (USD $) </ReportName>
<MonetaryRoundingLevel> Millions </MonetaryRoundingLevel>
<SharesRoundingLevel> UnKnown </SharesRoundingLevel>
<PerShareRoundingLevel> UnKnown </PerShareRoundingLevel>
<ExchangeRateRoundingLevel> UnKnown </ExchangeRateRoundingLevel>
<HasCustomUnits> false </HasCustomUnits>
<SharesShouldBeRounded> true </SharesShouldBeRounded>
</InstanceReport>


2 Subsequent Filings that Reference this Filing

  As Of               Filer                 Filing    For·On·As Docs:Size             Issuer                      Filing Agent

 2/25/22  Bank of New York Mellon Corp.     10-K       12/31/21  183:46M
 2/25/21  Bank of New York Mellon Corp.     10-K       12/31/20  185:44M
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Filing Submission 0001193125-11-132389   –   Alternative Formats (Word / Rich Text, HTML, Plain Text, et al.)

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