Annual Report — Form 10-K — Sect. 13 / 15(d) – SEA’34
Filing Table of Contents
Document/Exhibit Description Pages Size
1: 10-K Annual Report HTML 6.22M
4: EX-21 List of Subsidiaries HTML 72K
5: EX-23 Consent of Independent Registered Public HTML 63K
Accounting Firm
2: EX-12.1 Computation of Ratio of Earnings to Fixed Charges HTML 79K
3: EX-12.2 Computation of Ratio of Earnings to Fixed Charges HTML 81K
and Preferred Stock Div Req
6: EX-31.1 Certification -- §302 - SOA'02 HTML 68K
7: EX-31.2 Certification -- §302 - SOA'02 HTML 68K
8: EX-32 Certification Pursuant to Section 906 of the HTML 67K
Sarbanes-Oxley Act of 2002
154: R1 Document and Entity Information HTML 90K
113: R2 Consolidated Statements of Income HTML 197K
142: R3 Consolidated Statements of Comprehensive Income HTML 90K
163: R4 Consolidated Balance Sheets HTML 196K
204: R5 Consolidated Balance Sheets (Parenthetical) HTML 140K
118: R6 Consolidated Statements of Changes in HTML 148K
Stockholders' Equity
141: R7 Consolidated Statements of Changes in HTML 64K
Stockholders' Equity (Parenthetical)
103: R8 Consolidated Statements of Cash Flows HTML 235K
82: R9 Basis of Presentation HTML 99K
206: R10 Business Changes and Developments HTML 64K
165: R11 Fair Value Measurement HTML 1.45M
164: R12 Fair Value Option HTML 281K
176: R13 Credit Risk Concentrations HTML 170K
177: R14 Derivative Instruments HTML 776K
170: R15 Noninterest Revenue HTML 144K
180: R16 Interest Income and Interest Expense HTML 114K
143: R17 Pension and Other Postretirement Employee Benefit HTML 970K
Plans
156: R18 Employee Stock Based Incentives HTML 142K
168: R19 Noninterest Expense HTML 85K
229: R20 Securities HTML 460K
194: R21 Securities Financing Activities HTML 183K
132: R22 Loans HTML 1.55M
167: R23 Allowance for Credit Losses HTML 380K
137: R24 Variable Interest Entities HTML 357K
61: R25 Goodwill and Other Intangible Assets HTML 277K
196: R26 Premises and Equipment HTML 65K
214: R27 Deposits HTML 120K
95: R28 Accounts Payable and Other Liabilities HTML 74K
94: R29 Long-term debt HTML 243K
101: R30 Preferred Stock HTML 137K
102: R31 Common Stock HTML 108K
106: R32 Earnings Per Share HTML 96K
34: R33 Accumulated Other Comprehensive Income/(Loss) HTML 248K
190: R34 Income Taxes HTML 206K
127: R35 Restrictions on Cash and Intercompany Funds HTML 71K
Transfers
133: R36 Regulatory Capital HTML 176K
71: R37 Off-Balance Sheet Lending-Related Financial HTML 280K
Instruments, Guarantees and Other Commitments
228: R38 Commitments, Pledged Assets, and Collateral HTML 98K
15: R39 Litigation HTML 122K
110: R40 International Operations HTML 150K
202: R41 Business Segments HTML 233K
67: R42 Parent Company HTML 233K
92: R43 Basis of Presentation (Policies) HTML 97K
100: R44 Fair Value Measurement (Policies) HTML 67K
114: R45 Fair Value Option (Policies) HTML 71K
33: R46 Derivative Instruments (Policies) HTML 71K
80: R47 Noninterest Revenue (Policies) HTML 74K
20: R48 Interest Income and Interest Expense (Policies) HTML 63K
200: R49 Pension and Other Postretirement Employee Benefit HTML 73K
Plans (Policies)
64: R50 Employee Stock-Based Incentives (Policies) HTML 68K
193: R51 Securities (Policies) HTML 66K
72: R52 Loans (Policies) HTML 93K
111: R53 Allowance for Credit Losses (Policies) HTML 75K
18: R54 Variable Interest Entities (Policies) HTML 68K
27: R55 Goodwill and Other Intangible Assets (Policies) HTML 82K
99: R56 Premises and Equipment (Policies) HTML 68K
44: R57 Long-term debt (Policies) HTML 63K
209: R58 Earnings Per Share (Policies) HTML 65K
125: R59 Income Taxes (Policies) HTML 67K
172: R60 Off-Balance Sheet Lending-Related Financial HTML 73K
Instruments, Guarantees and Other Commitments
(Policies)
78: R61 Basis of Presentation Basis of Presentation HTML 79K
(Tables)
87: R62 Fair Value Measurement (Tables) HTML 1.39M
186: R63 Fair Value Option (Tables) HTML 272K
181: R64 Credit Risk Concentrations (Tables) HTML 164K
131: R65 Derivative Instruments (Tables) HTML 770K
184: R66 Noninterest Revenue (Tables) HTML 139K
73: R67 Interest Income and Interest Expense (Tables) HTML 113K
138: R68 Pension and Other Postretirement Employee Benefit HTML 965K
Plans (Tables)
213: R69 Employee Stock-Based Incentives (Tables) HTML 132K
25: R70 Noninterest Expense (Tables) HTML 85K
59: R71 Securities (Tables) HTML 463K
112: R72 Securities Financing Activities (Tables) HTML 182K
42: R73 Loans (Tables) HTML 1.51M
224: R74 Allowance for Credit Losses (Tables) HTML 369K
69: R75 Variable Interest Entities (Tables) HTML 305K
47: R76 Goodwill and Other Intangible Assets (Tables) HTML 271K
58: R77 Deposits (Tables) HTML 122K
29: R78 Accounts Payable and Other Liabilities (Tables) HTML 73K
38: R79 Long-Term debt (Tables) HTML 234K
159: R80 Preferred Stock (Tables) HTML 131K
53: R81 Common Stock (Tables) HTML 103K
211: R82 Earnings Per Share (Tables) HTML 94K
108: R83 Accumulated Other Comprehensive Income/(Loss) HTML 248K
(Tables)
169: R84 Income Taxes (Tables) HTML 202K
183: R85 Regulatory Capital (Tables) HTML 168K
50: R86 Off-Balance Sheet Lending-Related Financial HTML 238K
Instruments, Guarantees and Other Commitments
(Tables)
57: R87 Commitments, Pledged Assets, and Collateral HTML 98K
(Tables)
205: R88 International Operations (Tables) HTML 150K
43: R89 Business Segments (Tables) HTML 216K
161: R90 Parent Company (Tables) HTML 231K
146: R91 Fair Value Measurement - Recurring Basis (Details) HTML 753K
188: R92 Fair Value Measurement - Transfers (Details) HTML 99K
145: R93 Fair Value Measurement - Level 3 Inputs (Details) HTML 303K
119: R94 Fair Value Measurement - Changes in Level 3 HTML 685K
Recurring Measurements (Details)
199: R95 Fair Value Measurement - Level 3 Analysis HTML 123K
(Details)
115: R96 Fair Value Measurement - Credit Adjustments HTML 101K
Reflected on Balance Sheet (Details)
70: R97 Fair Value Measurement - Impact of Credit HTML 82K
Adjustments (Details)
134: R98 Fair Value Measurement - Nonrecurring Basis HTML 87K
(Details)
126: R99 Fair Value Measurement - Carrying Value and HTML 242K
Estimated Fair Value (Details)
96: R100 Fair Value Option - Changes in fair value under HTML 176K
the fair value option (Details)
231: R101 Fair Value Option - Aggregate differences HTML 139K
(Details)
185: R102 Fair Value Option - Structured note products by HTML 119K
balance sheet classification and risk component
(Details)
144: R103 Credit Risk Concentrations (Details) HTML 246K
31: R104 Derivative Instruments - Notional Amount of HTML 116K
Derivative Contracts (Details)
201: R105 Derivative Instruments - Impact on Balance Sheet HTML 159K
(Details)
212: R106 Derivative Instruments - Derivatives Netting HTML 331K
(Details)
203: R107 Derivative Instruments - Derivatives Collateral HTML 79K
(Details)
139: R108 Derivative Instruments - Liquidity Risk and HTML 81K
Credit-Related Contingent Features (Details)
45: R109 Derivative Instruments - Impact on Statements of HTML 110K
Income, Fair Value Hedges (Details)
175: R110 Derivative Instruments - Impact on Statements of HTML 116K
Income, Cash Flow Hedges (Details)
75: R111 Derivative Instruments - Impact on Statements of HTML 71K
Income, Net Investment Hedges (Details)
17: R112 Derivative Instruments - Impact on Statements of HTML 77K
Income, Risk Management Derivatives (Details)
117: R113 Derivative Instruments - Credit Derivatives HTML 102K
(Details)
109: R114 Derivative Instruments - Credit Derivatives, HTML 112K
Protection Sold, Notional and Fair Value (Details)
195: R115 Noninterest Revenue (Details) HTML 168K
85: R116 Interest Income and Interest Expense (Details) HTML 120K
218: R117 Pension and Other Postretirement Employee Benefit HTML 253K
Plans - Defined Benefit Pension Plans (Details)
39: R118 Pension and Other Postretirement Employee Benefit HTML 104K
Plans - Pretax Pension and OPEB in AOCI (Details)
153: R119 Pension and Other Postretirement Employee Benefit HTML 218K
Plans - Net Periodic Benefit Costs (Details)
182: R120 Pension and Other Postretirement Employee Benefit HTML 85K
Plans - Pretax Amortization from AOCI (Details)
23: R121 Pension and Other Postretirement Employee Benefit HTML 78K
Plans - Actual Rate of Return on Plan Assets
(Details)
148: R122 Pension and Other Postretirement Employee Benefit HTML 127K
Plans - Weighted-Average Assumptions Benefit
Obligations (Details)
135: R123 Pension and Other Postretirement Employee Benefit HTML 121K
Plans - Weighted-Average Assumptions Net Periodic
Benefit Costs (Details)
26: R124 Pension and Other Postretirement Employee Benefit HTML 92K
Plans - One Percentage Point Increase Effects
(Details)
155: R125 Pension and Other Postretirement Employee Benefit HTML 158K
Plans - Weighted Average Asset Allocation
(Details)
222: R126 Pension and Other Postretirement Employee Benefit HTML 643K
Plans - Plan Assets Measured At Fair Value
(Details)
40: R127 Pension and Other Postretirement Employee Benefit HTML 316K
Plans - Changes In Level 3 Fair Value Measurements
(Details)
88: R128 Pension and Other Postretirement Employee Benefit HTML 115K
Plans - Estimated Future Benefit Payments
(Details)
189: R129 Employee Stock-Based Incentives - Employee HTML 96K
Stock-Based Awards (Details)
220: R130 Employee Stock-Based Incentives - RSUs, Employee HTML 166K
Stock Options and SARS Activities (Details)
130: R131 Employee Stock-Based Incentives - Compensation HTML 76K
Expense (Details)
150: R132 Employee Stock-Based Incentives - Cash Flows and HTML 76K
Tax Benefits (Details)
41: R133 Employee Stock-Based Incentives - Valuation HTML 74K
Assumptions (Details)
46: R134 Noninterest Expense (Details) HTML 97K
116: R135 Securities - Realized Gain (Loss) (Details) HTML 100K
91: R136 Securities - Amortized Costs, Fair Value (Details) HTML 222K
178: R137 Securities - Continuous Unrealized Loss Position HTML 274K
(Details)
121: R138 Securities - Other Than Temporary Impairment HTML 84K
(Details)
83: R139 Securities - Changes in Credit Loss (Details) HTML 80K
124: R140 Securities - Amortized Cost, Fair Value, by HTML 387K
Contract Maturity (Details)
62: R141 Securities Financing Activities - Schedule of HTML 96K
securities purchased under resale agreements,
netting & securities borrowed (Details)
16: R142 Securities Financing Activities - Schedule of HTML 89K
securities purchased under resale agreements &
securities borrowed collateral netting (Details)
191: R143 Securities Financing Activities - Schedule of HTML 101K
securities sold under repurchase agreements,
netting & securities loaned (Details)
166: R144 Securities Financing Activities - Schedule of HTML 92K
securities sold under repurchase agreements &
securities loaned collateral netting (Details)
51: R145 Loans - By Portfolio Segment (Details) HTML 153K
152: R146 Loans - Purchased, Sold and Reclassified to HTML 94K
Held-for-Sale (Details)
128: R147 Loans - Net Gains and Losses on Sale (Details) HTML 75K
48: R148 Loans - Consumer, Excluding Credit Card Loans HTML 115K
(Details)
52: R149 Loans - Consumer, Excluding Credit Card Loans, HTML 531K
Residential Real Estate, Excluding PCI Loans
(Details)
171: R150 Loans - Consumer, Excluding Credit Card Loans, HTML 131K
Delinquency Statistics Junior Lien Home Equity
Loans (Details)
77: R151 Loans - Consumer, Excluding Credit Card Loans, HTML 212K
Impaired Loans (Details)
19: R152 Loans - Consumer, Excluding Credit Card Loans, HTML 78K
Loan Modifications, New TDRs (Details)
140: R153 Loans - Consumer, Excluding Credit Card Loans, HTML 186K
Loan Modifications, Nature and Extent of
Modifications (Details)
173: R154 Loans - Consumer, Excluding Credit Card Loans, HTML 197K
Financial Effects of Modifications and Redefaults
(Details)
30: R155 Loans - Consumer, Excluding Credit Card Loans, HTML 331K
Other Consumer Loans (Details)
66: R156 Loans - Consumer, Excluding Credit Card Loans, HTML 89K
Other Consumer Impaired Loans and Loan
Modifications (Details)
226: R157 Loans - Consumer, Excluding Credit Card Loans, HTML 78K
Financial Effects of Modification (Details)
74: R158 Loans - Consumer, Excluding Credit Card Loans, PCI HTML 479K
Loans (Details)
107: R159 Loans - Consumer, Excluding Credit Card Loans, PCI HTML 136K
Delinquency Statistics (Details)
120: R160 Loans - Consumer, Excluding Credit Card Loans, PCI HTML 105K
Accretable Yield Activity (Details)
187: R161 Loans Loans - Credit Card Loan Portfolio (Details) HTML 136K
105: R162 Loans Loans - Credit Card Portfolio - Impaired HTML 85K
Loans (Details)
208: R163 Loans Loans - Credit Card Portfolio - Loan HTML 85K
Modifications (Details)
158: R164 Loans - Wholesale Loan Portfolio - By Class of HTML 300K
Receivable (Details)
219: R165 Loans - Wholesale Loan Portfolio - Real Estate HTML 133K
Class of Loans (Details)
28: R166 Loans - Wholesale Loan Portfolio - Impaired Loans HTML 140K
(Details)
198: R167 Allowance for Credit Losses (Details) HTML 411K
81: R168 Variable Interest Entities - Firm Sponsored HTML 219K
Variable Interest Entities (Details)
151: R169 Variable Interest Entities - Resecuritizations, HTML 112K
Multi-seller Conduits (Details)
136: R170 Variable Interest Entities - Municipal Bond HTML 96K
Vehicle VIEs (Details)
207: R171 Variable Interest Entities - Credit Related Note, HTML 74K
Asset Swap Vehicle VIEs (Details)
89: R172 Variable Interest Entities - Consolidated VIE HTML 183K
Assets and Liabilities (Details)
63: R173 Variable Interest Entities - Securitization HTML 130K
Activity (Details)
179: R174 Variable Interest Entities - Loans Sold to HTML 88K
Third-Party Sponsored Securitization Entities
(Details)
68: R175 Variable Interest Entities - Loan Delinquencies HTML 130K
and Net Charge-offs (Details)
21: R176 Goodwill and Other Intangible Assets - by Business HTML 81K
Segment (Details)
35: R177 Goodwill and Other Intangible Assets - Changes HTML 83K
During Period (Details)
192: R178 Goodwill and Other Intangible Assets - Mortgage HTML 122K
Servicing Rights (Details)
160: R179 Goodwill and Other Intangible Assets - Mortgage HTML 108K
Fees and Related Income (Details)
197: R180 Goodwill and Other Intangible Assets - Key HTML 80K
Economic Assumptions (Details)
122: R181 Goodwill and Other Intangible Assets - Other HTML 109K
Intangible Assets (Details)
56: R182 Goodwill and Other Intangible Assets - HTML 80K
Amortization Expense (Details)
86: R183 Goodwill and Other Intangible Assets - Future HTML 97K
Amortization Expense (Details)
157: R184 Deposits - Noninterest and Interest-bearing HTML 112K
(Details)
223: R185 Deposits - Time Deposits (Details) HTML 102K
162: R186 Accounts Payable and Other Liabilities (Details) HTML 75K
22: R187 Long-Term debt - Summary of Long-Term Debt HTML 312K
(Details)
32: R188 Long-term debt - Junior Subordinated Debt HTML 180K
(Details)
174: R189 Preferred Stock (Details) HTML 207K
104: R190 Common Stock (Details) HTML 161K
215: R191 Earnings Per Share (Details) HTML 109K
225: R192 Accumulated Other Comprehensive Income/(Loss) - HTML 134K
Rollforward (Details)
149: R193 Accumulated Other Comprehensive Income/(Loss) - HTML 307K
Components of Other Comprehensive Income/(Loss)
(Details)
123: R194 Income Taxes - Reconciliation of Effective Income HTML 96K
Tax Rate (Details)
210: R195 Income Taxes - Components of Income Tax HTML 132K
Expense/(Benefit) (Details)
37: R196 Income Taxes - Deferred Tax Assets and Liabilities HTML 117K
(Details)
129: R197 Income Taxes - Unrecognized Tax Benefits (Details) HTML 103K
49: R198 Income Taxes - US and non-US components (Details) HTML 72K
65: R199 Restrictions on Cash and Intercompany Funds HTML 86K
Transfers (Details)
232: R200 Regulatory Capital (Details) HTML 201K
60: R201 Off-Balance Sheet Lending-Related Financial HTML 416K
Instruments, Guarantees and Other Commitments
(Details)
230: R202 Off-Balance Sheet Lending-Related Financial HTML 130K
Instruments, Guarantees and Other Commitments -
Standby Letters of Credit and Other Financial
Guarantees (Details)
55: R203 Off-Balance Sheet Lending-Related Financial HTML 150K
Instruments, Guarantees and Other Commitments -
Loan Sales- and Securitization-Related
Indemnifications (Details)
93: R204 Off-Balance Sheet Lending-Related Financial HTML 78K
Instruments, Guarantees and Other Commitments -
Other Off-Balance Sheet Arrangements (Details)
98: R205 Commitments, Pledged Assets, and Collateral - HTML 100K
Lease Commitments (Details)
147: R206 Commitments, Pledged Assets, and Collateral - HTML 88K
Pledged Assets and Collateral (Details)
76: R207 Litigation (Details) HTML 208K
227: R208 International Operations (Details) HTML 128K
216: R209 Business Segments - Narrative (Details) HTML 73K
79: R210 Business Segments (Details) HTML 231K
97: R211 Parent Company - Statements of Income (Details) HTML 134K
54: R212 Parent Company - Balance Sheets (Details) HTML 132K
221: R213 Parent Company - Statements of Cash Flows HTML 197K
(Details)
36: R214 Parent Company - Supplemental Information HTML 90K
(Details)
217: XML IDEA XML File -- Filing Summary XML 394K
24: EXCEL IDEA Workbook of Financial Reports XLSX 1.92M
90: EXCEL IDEA Workbook of Financial Reports (.xls) XLS 20.18M
9: EX-101.INS XBRL Instance -- jpm-20141231 XML 32.95M
11: EX-101.CAL XBRL Calculations -- jpm-20141231_cal XML 893K
12: EX-101.DEF XBRL Definitions -- jpm-20141231_def XML 4.29M
13: EX-101.LAB XBRL Labels -- jpm-20141231_lab XML 7.67M
14: EX-101.PRE XBRL Presentations -- jpm-20141231_pre XML 4.98M
10: EX-101.SCH XBRL Schema -- jpm-20141231 XSD 963K
84: ZIP XBRL Zipped Folder -- 0000019617-15-000272-xbrl Zip 1.73M
‘R111’ — Derivative Instruments – Impact on Statements of Income, Net Investment Hedges (Details)
v2.4.1.9
Derivative Instruments - Impact on Statements of Income, Net Investment Hedges (Details) (Net Investment Hedging, Foreign exchange contracts, USD $) In Millions, unless otherwise specified
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Net Investment Hedging | Foreign exchange contracts
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Net investment hedge gains and losses [Abstract] |
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Excluded components recorded directly in income |
$ (448)us-gaap_DerivativeInstrumentsGainLossRecognizedInIncomeIneffectivePortionAndAmountExcludedFromEffectivenessTestingNet / us-gaap_DerivativeInstrumentRiskAxis = us-gaap_ForeignExchangeContractMember / us-gaap_DerivativeInstrumentsGainLossByHedgingRelationshipAxis = us-gaap_NetInvestmentHedgingMember |
$ (383)us-gaap_DerivativeInstrumentsGainLossRecognizedInIncomeIneffectivePortionAndAmountExcludedFromEffectivenessTestingNet / us-gaap_DerivativeInstrumentRiskAxis = us-gaap_ForeignExchangeContractMember / us-gaap_DerivativeInstrumentsGainLossByHedgingRelationshipAxis = us-gaap_NetInvestmentHedgingMember |
$ (306)us-gaap_DerivativeInstrumentsGainLossRecognizedInIncomeIneffectivePortionAndAmountExcludedFromEffectivenessTestingNet / us-gaap_DerivativeInstrumentRiskAxis = us-gaap_ForeignExchangeContractMember / us-gaap_DerivativeInstrumentsGainLossByHedgingRelationshipAxis = us-gaap_NetInvestmentHedgingMember |
Effective portion recorded in OCI |
$ 1,698jpm_OtherComprehensiveIncomeForeignCurrencyHedgesGainLossBeforeTax / us-gaap_DerivativeInstrumentRiskAxis = us-gaap_ForeignExchangeContractMember / us-gaap_DerivativeInstrumentsGainLossByHedgingRelationshipAxis = us-gaap_NetInvestmentHedgingMember |
$ 773jpm_OtherComprehensiveIncomeForeignCurrencyHedgesGainLossBeforeTax / us-gaap_DerivativeInstrumentRiskAxis = us-gaap_ForeignExchangeContractMember / us-gaap_DerivativeInstrumentsGainLossByHedgingRelationshipAxis = us-gaap_NetInvestmentHedgingMember |
$ (82)jpm_OtherComprehensiveIncomeForeignCurrencyHedgesGainLossBeforeTax / us-gaap_DerivativeInstrumentRiskAxis = us-gaap_ForeignExchangeContractMember / us-gaap_DerivativeInstrumentsGainLossByHedgingRelationshipAxis = us-gaap_NetInvestmentHedgingMember |
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- Definition
Pretax change in the balance sheet adjustment that results from foreign currency transactions designated and qualifying as hedges of net investment in a foreign entity and intercompany foreign currency transactions that are of a long-term nature, when the entities to the transaction are consolidated, combined, or accounted for by the equity method in the reporting enterprise's financial statements. Includes the gain or loss on a derivative instrument or nonderivative financial instrument that may give rise to a foreign currency transaction gain or loss under FAS 52 and that have been designated and have qualified as hedging instruments for hedges of the foreign currency exposure of a net investment in a foreign operation. Does not include the effect of taxes.
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The portion of gains and losses (net) on derivative instruments designated and qualifying as hedging instruments representing (a) the amount of the hedge ineffectiveness and (b) the amount, if any, excluded from the assessment of hedge effectiveness.
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Dates Referenced Herein and Documents Incorporated by Reference
This ‘10-K’ Filing | | Date | | Other Filings |
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| | |
Filed on: | | 2/24/15 | | 424B2, 8-K, FWP, IRANNOTICE, NO ACT |
For Period end: | | 12/31/14 | | 11-K, 13F-HR, 4, 424B2, ARS, FWP |
| | 12/31/13 | | 10-K, 11-K, 13F-HR, 13F-HR/A, 4, 424B2, ARS, DEF 14A, FWP |
| | 12/31/12 | | 10-K, 11-K, 13F-HR, 4, 424B2, ARS, DEF 14A, FWP, PRE 14A |
| List all Filings |
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Filing Submission 0000019617-15-000272 – Alternative Formats (Word / Rich Text, HTML, Plain Text, et al.)
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