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As Of Filer Filing For·On·As Docs:Size 4/28/20 State Street Corp 10-Q 3/31/20 123:150M |
Document/Exhibit Description Pages Size 1: 10-Q Quarterly Report HTML 3.99M 2: EX-10.1 Material Contract HTML 121K 3: EX-10.2 Material Contract HTML 460K 4: EX-10.3 Material Contract HTML 1.03M 5: EX-10.4 Material Contract HTML 72K 6: EX-10.5 Material Contract HTML 63K 7: EX-15 Letter re: Unaudited Interim Financial Info HTML 34K 8: EX-31.1 Certification -- §302 - SOA'02 HTML 40K 9: EX-31.2 Certification -- §302 - SOA'02 HTML 40K 10: EX-32 Certification -- §906 - SOA'02 HTML 36K 33: R1 Cover Page HTML 94K 80: R2 Consolidated Statement of Income HTML 125K 120: R3 Consolidated Statement of Comprehensive Income HTML 61K 50: R4 Consolidated Statement of Comprehensive Income HTML 47K (Parenthetical) 36: R5 Consolidated Statement of Condition HTML 144K 83: R6 Consolidated Statement of Condition HTML 84K (Parenthetical) 123: R7 Consolidated Statement of Changes In Shareholders' HTML 95K Equity 51: R8 Consolidated Statement of Changes In Shareholders' HTML 35K Equity (Parenthetical) 32: R9 Consolidated Statement of Cash Flows HTML 151K 28: R10 Summary of Significant Accounting Policies HTML 48K 45: R11 Fair Value HTML 695K 114: R12 Investment Securities HTML 789K 75: R13 Loans HTML 68K 27: R14 Allowance for Expected Credit Losses HTML 309K 44: R15 Goodwill and Other Intangible Assets HTML 109K 113: R16 Other Assets HTML 57K 74: R17 Derivative Financial Instruments HTML 212K 29: R18 Offsetting Arrangements HTML 252K 43: R19 Commitments and Guarantees HTML 56K 108: R20 Contingencies HTML 53K 95: R21 Variable Interest Entities HTML 42K 26: R22 Shareholders' Equity HTML 234K 70: R23 Regulatory Capital HTML 193K 107: R24 Net Interest Income HTML 62K 94: R25 Expenses HTML 79K 25: R26 Earnings Per Common Share HTML 58K 68: R27 Line of Business Information HTML 114K 105: R28 Revenue from Contracts with Customers HTML 141K 96: R29 Non-U.S. Activities HTML 52K 72: R30 Summary of Significant Accounting Policies HTML 58K (Policies) 109: R31 Fair Value (Tables) HTML 700K 46: R32 Investment Securities (Tables) HTML 777K 30: R33 Loans (Tables) HTML 61K 73: R34 Allowance for Expected Credit Losses (Tables) HTML 291K 110: R35 Goodwill and Other Intangible Assets (Tables) HTML 113K 47: R36 Other Assets (Tables) HTML 57K 31: R37 Derivative Financial Instruments (Tables) HTML 246K 71: R38 Offsetting Arrangements (Tables) HTML 255K 112: R39 Commitments and Guarantees (Tables) HTML 56K 92: R40 Shareholders' Equity (Tables) HTML 248K 102: R41 Regulatory Capital (Tables) HTML 189K 59: R42 Net Interest Income (Tables) HTML 62K 16: R43 Expenses (Tables) HTML 80K 93: R44 Earnings Per Common Share (Tables) HTML 57K 103: R45 Line of Business Information (Tables) HTML 115K 60: R46 Revenue from Contracts with Customers (Tables) HTML 86K 17: R47 Non-U.S. Activities (Tables) HTML 50K 91: R48 Summary of Significant Accounting Policies - New HTML 48K Accounting Pronouncement (Details) 104: R49 Fair Value - Schedule of Fair Value Measurements HTML 232K on a Recurring Basis (Details) 122: R50 Fair Value - Schedule of Fair Value Measurements, HTML 106K Assets, Using Significant Unobservable Inputs (Details) 82: R51 Fair Value - Fair Value Inputs, Assets and HTML 62K Liabilities, Quantitative Information (Details) 35: R52 Fair Value - Carrying Value and Estimated Fair HTML 116K Value of Financial Instruments (Details) 49: R53 Investment Securities - Narrative (Details) HTML 50K 121: R54 Investment Securities - Schedule of Marketable HTML 141K Securities (Details) 81: R55 Investment Securities - Schedule of Gross Pre-Tax HTML 164K Unrealized Losses on Investment Securities (Details) 34: R56 Investment Securities - Schedule of Contractual HTML 218K Maturities of Debt Securities (Details) 48: R57 Loans - Net Loans (Details) HTML 68K 119: R58 Loans - Narrative (Details) HTML 55K 84: R59 Allowance for Expected Credit Losses - Narrative HTML 38K (Details) 21: R60 Allowance for Expected Credit Losses - Investments HTML 75K by Credit Quality (Details) 66: R61 Allowance for Expected Credit Losses - Amortized HTML 146K Cost Basis (Details) 100: R62 Allowance for Expected Credit Losses - Activity in HTML 69K the Allowance for Credit Losses for Loans Held for Investment (Details) 89: R63 Goodwill and Other Intangible Assets - Changes In HTML 48K The Carrying Amount Of Goodwill (Details) 20: R64 Goodwill and Other Intangible Assets - Changes In HTML 51K The Carrying Amount Of Other Intangible Assets (Details) 64: R65 Goodwill and Other Intangible Assets - Gross HTML 53K Carrying Amount, Accumulated Amortization And Net Carrying Amount Of Other Intangible Assets (Details) 98: R66 Other Assets (Details) HTML 70K 88: R67 Derivative Financial Instruments - Narrative HTML 52K (Details) 23: R68 Derivative Financial Instruments - Schedule of HTML 59K Outstanding Hedges (Notional Amount) (Details) 61: R69 Derivative Financial Instruments - Schedule of The HTML 65K Fair Values of Derivative Financial Instruments (Details) 53: R70 Derivative Financial Instruments - Impact of HTML 47K Derivatives on Consolidated Statement of Income (Details) 40: R71 Derivative Financial Instruments - Carrying Amount HTML 50K and Cumulative Basis Adjustments for Hedge Accounting (Details) 77: R72 Derivative Financial Instruments - Impact on HTML 48K Derivatives and Hedged Items on Consolidated Statement of Income (Details) 116: R73 Derivative Financial Instruments - Schedule of HTML 59K Differences Between the Gains (Losses) on the Derivative and The Gains (Losses) on the Hedged Item (Details) 54: R74 Offsetting Arrangements - Narrative (Details) HTML 37K 41: R75 Offsetting Arrangements - Assets With Offsetting HTML 94K Arrangements (Details) 78: R76 Offsetting Arrangements - Liabilities With HTML 98K Offsetting Arrangements (Details) 117: R77 Offsetting Arrangements - Repo, Sec Lending HTML 75K Transactions Maturity By Category (Details) 57: R78 Commitments and Guarantees - Contractual Amounts HTML 40K of Credit-Related Off-Balance Sheet Financial Instruments (Details) 38: R79 Commitments and Guarantees - Schedule Of HTML 40K Repurchase Agreements (Details) 52: R80 Commitments and Guarantees - Narrative (Details) HTML 39K 39: R81 Contingencies (Details) HTML 50K 76: R82 Variable Interest Entities (Details) HTML 52K 115: R83 Shareholders' Equity - Schedule of Preferred Stock HTML 83K (Details) 55: R84 Shareholders' Equity - Narrative (Details) HTML 48K 42: R85 Shareholders' Equity - Schedule of Dividends HTML 93K Declared (Details) 79: R86 Shareholders' Equity - Preferred Stock (Details) HTML 82K 118: R87 Shareholders' Equity - Common Stock (Details) HTML 44K 56: R88 Shareholders' Equity - Schedule of Common Stock HTML 49K (Details) 37: R89 Shareholders' Equity - Schedule of Accumulated HTML 59K Other Comprehensive (Loss) Income (Details) 22: R90 Shareholders' Equity - Accumulated Other HTML 79K Comprehensive Income by Component (Details) 67: R91 Shareholders' Equity - Adjustments to Accumulated HTML 72K Other Comprehensive Income (Details) 101: R92 Regulatory Capital (Details) HTML 114K 90: R93 Net Interest Income - Components of Interest HTML 74K Revenue and Interest Expenses (Details) 18: R94 Expenses - Schedule of Expenses (Details) HTML 50K 63: R95 Expenses - Narrative (Details) HTML 39K 97: R96 Expenses - Restructuring Reserve (Details) HTML 56K 86: R97 Earnings Per Common Share (Details) HTML 68K 24: R98 Line of Business Information - Narrative (Details) HTML 34K 62: R99 Line of Business Information - Summary of Line of HTML 80K Business (Details) 87: R100 Revenue from Contracts with Customers - Narrative HTML 40K (Details) 99: R101 Revenue from Contracts with Customers - HTML 104K Disaggregation of Revenues (Details) 65: R102 Non-U.S. Activities - Schedule Of Results From HTML 44K Non-U.S. Operations (Details) 19: R103 Non-U.S. Activities - Narrative (Details) HTML 38K 58: XML IDEA XML File -- Filing Summary XML 223K 85: XML XBRL Instance -- stt-2020331_htm XML 10.08M 111: EXCEL IDEA Workbook of Financial Reports XLSX 166K 12: EX-101.CAL XBRL Calculations -- stt-20200331_cal XML 474K 13: EX-101.DEF XBRL Definitions -- stt-20200331_def XML 1.39M 14: EX-101.LAB XBRL Labels -- stt-20200331_lab XML 2.70M 15: EX-101.PRE XBRL Presentations -- stt-20200331_pre XML 1.79M 11: EX-101.SCH XBRL Schema -- stt-20200331 XSD 301K 69: JSON XBRL Instance as JSON Data -- MetaLinks 571± 887K 106: ZIP XBRL Zipped Folder -- 0000093751-20-000760-xbrl Zip 958K
exhibit101mccocagreement |
This ‘10-Q’ Filing | Date | Other Filings | ||
---|---|---|---|---|
12/31/20 | ||||
Filed on: | 4/28/20 | |||
For Period end: | 3/31/20 | 13F-HR, 13F-HR/A | ||
12/31/19 | 10-K, 11-K, 13F-HR | |||
List all Filings |