投资银行的资产负债表.ppt
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1、第二讲第二讲投资银行的资产负债表投资银行的资产负债表及其业务及其业务任课教师:对外经济贸易大学金融学院郭敏教授TEL:一、一、MerrillLynch的公司架构二、二、MerrillLynch的资产负债表的资产负债表三、三、MerrillLynch的损益表的损益表四、投资银行的主要业务四、投资银行的主要业务五、投资银行的性质及经营管理特点五、投资银行的性质及经营管理特点NewMerrillLynchin2009o2008MerrillLynchannouncesaplantoreduceitsriskexposuresby$11.1billion,includingasubstantialsa
2、leofU.S.collateraldebtobligationscomprisedofasset-backedsecurities.oBankofAmericaCorporationagreestoacquireMerrillLynchinanall-stocktransactionthatcreatesacompanyunrivaledinitsbreadthoffinancialservicesandglobalreach.o2009MerrillLynchofficiallybecomesawhollyownedsubsidiaryofBankofAmerica.oFollowing
3、the combination with Merrill Lynch,Bank of America has become:oThe largest brokerage in the world,with more than 20,000 advisors and$2.5 trillion in client assets oA leading provider of global corporate and investment banking services,including commercial lending,global high-yield debt,global equity
4、 and global M&A oA global leader in wealth management,private banking and retail brokerage oA global leader in investment management,with approximately 50 percent ownership in BlackRock,which has$1.4 trillion in assets under management,in addition to the$589 billion in assets under management with B
5、ank of America as of June 30,2008 一、美林集团公司架构o美林公司是一家拥有多个附属和联营公司的控美林公司是一家拥有多个附属和联营公司的控股公司股公司,统称为美林集团统称为美林集团.有几十家左右经营各有几十家左右经营各种投资银行业务的子公司,除美国本土外,业种投资银行业务的子公司,除美国本土外,业务遍布全球:亚洲与太平洋、欧洲中东及非洲务遍布全球:亚洲与太平洋、欧洲中东及非洲区、拉美区,加拿大区。两大业务事业部区、拉美区,加拿大区。两大业务事业部,GMI和和GWM.美林集团部分设于美国本土及国外的美林集团部分设于美国本土及国外的重要附属公司分别隶属于以上事业部重
6、要附属公司分别隶属于以上事业部.。美林主要的控股子公司oMerrillLynch&Co.,Inc.(ML&Co.)andsubsidiaries(MerrillLynch)providesinvestment,financing,insurance,andrelatedservicestoindividualsandinstitutionsonaglobalbasisthroughitsbroker,dealer,banking,insurance,andotherfinancialservicessubsidiaries.Itsprincipalsubsidiariesinclude:oMe
7、rrillLynch,Pierce,Fenner&SmithIncorporated(MLPF&S),aU.S.-basedbroker-dealerinsecuritiesandfuturescommissionmerchant;oMerrillLynchInternational(MLI),aU.K.-basedbroker-dealerinsecuritiesanddealerinequityandcreditderivatives;oMerrillLynchGovernmentSecuritiesInc.(MLGSI),aU.S.-baseddealerinU.S.Government
8、securities;oMerrillLynchCapitalServices,Inc.,(MLCS),aU.S.-baseddealerininterestrate,currency,andderivatives;oMerrillLynchderivativesProductsAG(MLDP)oMerrillLynchInvestmentManagers,LP,aU.S.-basedassetmanagementcompany;oMerrillLynchInvestmentManagersLimited,aU.K.-basedassetmanagementcompany;oMerrillLy
9、nchBankUSA(MLBUSA),aU.S.-basedFDIC-insureddepository;oMerrillLynchBank&TrustCo.(MLB&T),aU.S.-basedFDIC-insureddepository;oMerrillLynchInternationalBankLimited(MLIB),aIreland-basedbank;oMerrillLynchMortgageCapitalInc.(MLMCI)oMerrillLynchJapanSecuritiesCo.,Ltd.,aJapan-basedbroker-dealer;(MLJS)oMerrill
10、LynchInsuranceGroup,Inc.,aU.S.-basedprovideroflifeinsuranceandannuityproducts.oMLIBKPosition,Inc.二、投资银行的资产负债表(以美林为例)附件:美林2007年资产负债表资产负债所有内容由三大部分构成:1、Trading-RelatedAssetsandLiabilities2、Non-Trading-RelatedAssets3、Non-Trading-RelatedLiabilities1、与证券交易直接相关的资产与负债项(Trading-RelatedAssetsandLiabilitiesin2
11、007)资产负债o重售协议(217%)回购协议(23.1%)o借入证券(131%)借出证券(55%)o交易资产(23.o%)交易负债(12.1%)o应收项(12.4%)应付项(13.0%)o合计:7025372、Non-Trading-RelatedAssets(2007)(其它资产):o现金及现金等同63o其它证券投资81o贷款、票据与抵押93o固定资产与商誉083、Non-Trading-RelatedLiabilities(其它负债与资本):o商业票据与短期借贷24o存款10.2o长期借贷26.1o资本金31与证券交易直接相关的资产与负债项(Trading-RelatedAssetsan
12、dLiabilitiesin2008)资产负债o重售协议(13.97%)回购协议(13.88%)o借入证券(5.25%)借出证券(3.66%)o交易资产(26.31%)交易负债(13.40%)o应收项(13.46%)应付项(13.54%)o合计:58.9944.52与证券交易直接相关的资产与负债:与证券交易直接相关的资产与负债:Securities Financing Transactions(包括重售与回购以及借入证券与借出证券)oMerrillLynchentersintosecuredborrowingandlendingtransactionsinordertofinancetradi
13、nginventorypositions,obtainsecuritiesforsettlement,meetcustomersneedsandearnresidualinterestratespreads.MerrillLynchalsoengagesinsecuritiesfinancingforcustomersmarginlending.TradingAssetsandLiabilitieso Trading Assets and Liabilities consist of cash instruments(such as securities)and derivative inst
14、ruments used for trading purposes or for managing risk exposures in other Trading inventory.o Trading inventory principally represents securities purchased(long positions),securities sold but not yet purchased(short positions),and will therefore be obligated to purchase on the future date.oThese pos
15、itions are primarily the result of market-making,hedging,and proprietary activities.Other Receivables and PayablesoCustomer Receivables and PayablesCustomersecuritiesandcommoditiestransactionsarerecordedonasettlementdatebasis.Receivablesfromandpayablestocustomersincludeamountsdueoncashandmargintrans
16、actions.oBrokers and Dealers Receivables and PayablesReceivablesfrombrokersanddealersincludeamountsreceivableforsecuritiesnotdeliveredbyMerrillLynchtoapurchaserbythesettlementdate(failstodeliver),depositsforsecuritiesborrowed,margindeposits,commissions,andnetreceivablesarisingfromunsettledtrades.Pay
17、ablestobrokersanddealersincludeamountspayableforsecuritiesnotreceivedbyMerrillLynchfromasellerbythesettlementdate(failstoreceive),depositsreceivedforsecuritiesloaned,andnetpayablesarisingfromunsettledtrades.oInterest and Other Receivables and PayablesInterestandotherreceivablesincludeinterestreceiva
18、bleoncorporateandgovernmentalobligations,customerorotherreceivables,stockborrowedtransactions,receivablesfromcommissionsandfees,andincometaxes.Interestandotherpayablesincludeinterestpayableforstock-loanedtransactions,long-termborrowings,andamountspayableforemployeecompensationandbenefits,restructuri
19、ngreserves,andincometaxes.Cash and Cash EquivalentsoMerrillLynchdefinescashequivalentsasshort-term,highlyliquidsecuritiesandinterest-earningdepositswithoriginalmaturitiesof90daysorless,otherthanthoseusedfortradingpurposes.Cash and Securities Segregated for Regulatory Purposes or Deposited with Clear
20、ing OrganizationsoItincludescashandsecuritiessegregatedincompliancewithfederalandotherregulationsandrepresentfundsdepositedbycustomersandfundsaccruingtocustomersasaresultoftradesorcontracts.AlsoincludedarefundssegregatedinaspecialreserveaccountforthebenefitofcustomersunderRule15c3-3oftheSecuritiesan
21、dExchangeCommission,aswellasfundssegregatedandheldinseparateaccountsinaccordancewithSection4d(2)andRegulation30.7oftheCommodityExchangeAct.Investment SecuritiesoInvestmentsecuritiesontheConsolidatedBalanceSheetsincludeshighlyliquiddebtsecuritiesincludingthoseheldforliquiditymanagementpurposes,equity
22、securities,theinvestmentportfolioforMerrillLynchsU.S.banks,andinvestmentsofinsurancesubsidiaries.Loans,Notes,and MortgagesoMerrillLynchslendingandrelatedactivitiesincludeloanoriginations,syndications,andsecuritizations.Loanoriginationsincludecommercialandresidentialmortgages,loanstosmall-andmiddle-m
23、arketsbusinesses,andcreditextendedtoindividuals.Separate Accounts Assets and LiabilitiesoMerrillLynchmaintainsseparateaccountsrepresentingsegregatedfundsheldforpurposesoffundingvariablelifeandannuitycontracts.TheseparateaccountassetsarenotsubjecttogeneralclaimsofMerrillLynch.Theseaccountsandtherelat
24、edliabilitiesarerecordedasseparateaccountsassetsandseparateaccountsliabilitiesontheConsolidatedBalanceSheets.Equipment and FacilitiesoEquipmentandfacilitiesprimarilyconsistoftechnologyhardwareandsoftware,leaseholdimprovements,andownedfacilities.Commercial Paper and Short-and Long-Term BorrowingsoMer
25、rillLynchsunsecuredgeneral-purposefundingisprincipallyobtainedfrommedium-termandlong-termborrowings.DepositsoSavingsdepositsareinterest-bearingaccountsthathavenomaturityorexpirationdate,wherebythedepositorisnotrequiredbythedepositcontract,butmayatanytimeberequiredbythedepositoryinstitution,togivewri
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