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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 |
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
Computation of Ratio of Earnings to Fixed Charges |
Exhibit 12.1
COMPUTATION OF RATIO OF EARNINGS TO FIXED CHARGES
The Bank of New York Mellon Corporation
(dollar amounts in millions) | March 31, 2011 |
March 31, 2010 |
||||||
Earnings |
||||||||
Income from continuing operations before income taxes |
$ | 949 | $ | 884 | ||||
Fixed charges, excluding interest on deposits |
132 | 104 | ||||||
Income from continuing operations before income taxes and fixed charges, excluding interest on deposits |
1,081 | 988 | ||||||
Interest on deposits |
67 | 39 | ||||||
Income from continuing operations before income taxes and fixed charges, including interest on deposits |
$ | 1,148 | $ | 1,027 | ||||
Fixed charges |
||||||||
Interest expense, excluding interest on deposits |
$ | 102 | $ | 79 | ||||
One-third net rental expense (a) |
30 | 25 | ||||||
Total fixed charges, excluding interest on deposits |
132 | 104 | ||||||
Interest on deposits |
67 | 39 | ||||||
Total fixed charges, including interests on deposits |
$ | 199 | $ | 143 | ||||
Earnings to fixed charges ratios |
||||||||
Excluding interest on deposits |
8.23 | 9.48 | ||||||
Including interest on deposits |
5.78 | 7.17 |
(a) | The proportion deemed representative of the interest factor. |
This ‘10-Q’ Filing | Date | Other Filings | ||
---|---|---|---|---|
Filed on: | 5/9/11 | 4 | ||
For Period end: | 3/31/11 | 13F-HR, 13F-HR/A | ||
3/31/10 | 10-Q, 13F-HR, 13F-HR/A | |||
List all Filings |
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 |