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Derivative And Credit-Related Financial Instruments (Schedule Of Derivative Instruments) (Details) (USD $)
In Millions, unless otherwise specified
Sep. 30, 2014
Dec. 31, 2013
Derivatives, Fair Value [Line Items]    
Notional/Contract Amount $ 21,396 [1] $ 20,538 [1]
Fair Value of Gross Derivative Assets 420 500
Fair Value of Gross Derivative Liabilities 210 249
Derivative Asset, Netting Adjustment - Offsetting Liabilities (123) (187)
Derivative Liability, Netting Adjustment - Offsetting Assets (123) (187)
Derivative Asset, Netting Adjustment - Cash Collateral Received (11) (2)
Derivative Liability, Netting Adjustment, Cash Collateral Posted 0 (10)
Net Derivative Assets Included in the Consolidated Balance Sheets 286 [2] 311 [2]
Net Derivative Liabilities Included in the Consolidated Balance Sheets 87 [2] 52 [2]
Derivative Asset, Securities Pledged As Collateral (121) (138)
Derivative Liability, Securities Pledged As Collateral (1) (10)
Net Derivative Assets After Deducting Amounts Not Offset in the Consolidated Balance Sheets 165 173
Net Derivative Liabilities After Deducting Amounts Not Offset in the Consolidated Balance Sheets 86 42
Derivative Credit Risk Valuation Adjustment, Derivative Assets 2 2
Risk Management Purposes
   
Derivatives, Fair Value [Line Items]    
Notional/Contract Amount 2,226 [1] 1,703 [1]
Fair Value of Gross Derivative Assets 165 199
Fair Value of Gross Derivative Liabilities 6 0
Risk Management Purposes | Designated as Hedging Instrument | Fair Value Hedging | Interest Rate Swaps
   
Derivatives, Fair Value [Line Items]    
Notional/Contract Amount 1,800 [1] 1,450 [1]
Fair Value of Gross Derivative Assets 164 198
Fair Value of Gross Derivative Liabilities 2 0
Risk Management Purposes | Derivatives Used As Economic Hedges | Foreign Exchange Spot Forward And Swaps
   
Derivatives, Fair Value [Line Items]    
Notional/Contract Amount 426 [1] 253 [1]
Fair Value of Gross Derivative Assets 1 1
Fair Value of Gross Derivative Liabilities 4 0
Customer-Initiated And Other Activities
   
Derivatives, Fair Value [Line Items]    
Notional/Contract Amount 19,170 [1] 18,835 [1]
Fair Value of Gross Derivative Assets 255 301
Fair Value of Gross Derivative Liabilities 204 249
Customer-Initiated And Other Activities | Interest Rate Contracts
   
Derivatives, Fair Value [Line Items]    
Notional/Contract Amount 11,957 [1] 11,697 [1]
Fair Value of Gross Derivative Assets 142 182
Fair Value of Gross Derivative Liabilities 95 133
Customer-Initiated And Other Activities | Interest Rate Caps And Floors Written
   
Derivatives, Fair Value [Line Items]    
Notional/Contract Amount 277 [1] 277 [1]
Fair Value of Gross Derivative Assets 0 0
Fair Value of Gross Derivative Liabilities 0 1
Customer-Initiated And Other Activities | Interest Rate Caps and Floors Purchased
   
Derivatives, Fair Value [Line Items]    
Notional/Contract Amount 277 [1] 277 [1]
Fair Value of Gross Derivative Assets 0 1
Fair Value of Gross Derivative Liabilities 0 0
Customer-Initiated And Other Activities | Interest Rate Swaps
   
Derivatives, Fair Value [Line Items]    
Notional/Contract Amount 11,403 [1] 11,143 [1]
Fair Value of Gross Derivative Assets 142 181
Fair Value of Gross Derivative Liabilities 95 132
Customer-Initiated And Other Activities | Energy Contracts
   
Derivatives, Fair Value [Line Items]    
Notional/Contract Amount 5,181 [1] 5,374 [1]
Fair Value of Gross Derivative Assets 86 105
Fair Value of Gross Derivative Liabilities 85 102
Customer-Initiated And Other Activities | Energy Caps and Floors Written
   
Derivatives, Fair Value [Line Items]    
Notional/Contract Amount 1,349 [1] 1,325 [1]
Fair Value of Gross Derivative Assets 3 1
Fair Value of Gross Derivative Liabilities 40 48
Customer-Initiated And Other Activities | Energy Caps and Floors Purchased
   
Derivatives, Fair Value [Line Items]    
Notional/Contract Amount 1,349 [1] 1,325 [1]
Fair Value of Gross Derivative Assets 40 48
Fair Value of Gross Derivative Liabilities 3 1
Customer-Initiated And Other Activities | Energy Swaps
   
Derivatives, Fair Value [Line Items]    
Notional/Contract Amount 2,483 [1] 2,724 [1]
Fair Value of Gross Derivative Assets 43 56
Fair Value of Gross Derivative Liabilities 42 53
Customer-Initiated And Other Activities | Foreign Exchange Spot, Forwards, Options and Swaps
   
Derivatives, Fair Value [Line Items]    
Notional/Contract Amount 2,032 [1] 1,764 [1]
Fair Value of Gross Derivative Assets 27 14
Fair Value of Gross Derivative Liabilities $ 24 $ 14
[1] Notional or contractual amounts, which represent the extent of involvement in the derivatives market, are used to determine the contractual cash flows required in accordance with the terms of the agreement. These amounts are typically not exchanged, significantly exceed amounts subject to credit or market risk and are not reflected in the consolidated balance sheets.
[2] Net derivative assets are included in “accrued income and other assets” and net derivative liabilities are included in “accrued expenses and other liabilities” on the consolidated balance sheets. Included in the fair value of net derivative assets and net derivative liabilities are credit valuation adjustments reflecting counterparty credit risk and credit risk of the Corporation. The fair value of net derivative assets included credit valuation adjustments for counterparty credit risk of $2 million at both September 30, 2014 and December 31, 2013.