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Fair Value Measurements (Estimated Fair Values Of Financial Instruments Not Recorded At Fair Value In Their Entirety On A Recurring Basis) (Details) - USD ($)
$ in Millions
Jun. 30, 2018
Dec. 31, 2017
Cash and due from banks $ 1,424 $ 1,438
Interest-bearing deposits with banks 4,236 4,407
Investment securities held-to-maturity 0 1,266
Total loans, net of allowance for loan losses 49,115 48,461
Demand deposits (noninterest-bearing) 30,316 32,071
Customer certificates of deposit 2,089 2,165
Total deposits 57,210 57,903
Short-term borrowings 58 10
Medium- and long-term debt 5,583 4,622
Carrying Amount    
Cash and due from banks 1,424 1,438
Interest-bearing deposits with banks 4,236 4,407
Investment securities held-to-maturity   1,266
Loans held-for-sale 2 4
Total loans, net of allowance for loan losses [1] 49,115 48,461
Customers' liability on acceptances outstanding 3 2
Restricted equity investments 248 207
Nonmarketable equity securities [2] 6 6
Demand deposits (noninterest-bearing) 30,316 32,071
Interest-bearing deposits 24,805 23,667
Customer certificates of deposit 2,089 2,165
Total deposits 57,210 57,903
Short-term borrowings 58 10
Acceptances outstanding 3 2
Medium- and long-term debt 5,583 4,622
Credit-related financial instruments (60) (67)
Estimated Fair Value    
Cash and due from banks 1,424 1,438
Interest-bearing deposits with banks 4,236 4,407
Investment securities held-to-maturity   1,246
Loans held-for-sale 2 4
Total loans, net of allowance for loan losses [1] 48,929 48,153
Customers' liability on acceptances outstanding 3 2
Restricted equity investments 248 207
Nonmarketable equity securities [2] 11 9
Demand deposits (noninterest-bearing) 30,316 32,071
Interest-bearing deposits 24,805 23,667
Customer certificates of deposit 2,061 2,142
Total deposits 57,182 57,880
Short-term borrowings 58 10
Acceptances outstanding 3 2
Medium- and long-term debt 5,588 4,636
Credit-related financial instruments (60) (67)
Level 1 | Estimated Fair Value    
Cash and due from banks 1,424 1,438
Interest-bearing deposits with banks 4,236 4,407
Investment securities held-to-maturity   0
Loans held-for-sale 0 0
Total loans, net of allowance for loan losses [1] 0 0
Customers' liability on acceptances outstanding 3 2
Restricted equity investments 248 207
Demand deposits (noninterest-bearing) 0 0
Interest-bearing deposits 0 0
Customer certificates of deposit 0 0
Total deposits 0 0
Short-term borrowings 58 10
Acceptances outstanding 3 2
Medium- and long-term debt 0 0
Credit-related financial instruments 0 0
Level 2 | Estimated Fair Value    
Cash and due from banks 0 0
Interest-bearing deposits with banks 0 0
Investment securities held-to-maturity   1,246
Loans held-for-sale 2 4
Total loans, net of allowance for loan losses [1] 0 0
Customers' liability on acceptances outstanding 0 0
Restricted equity investments 0 0
Demand deposits (noninterest-bearing) 30,316 32,071
Interest-bearing deposits 24,805 23,667
Customer certificates of deposit 2,061 2,142
Total deposits 57,182 57,880
Short-term borrowings 0 0
Acceptances outstanding 0 0
Medium- and long-term debt 5,588 4,636
Credit-related financial instruments 0 0
Level 3 | Estimated Fair Value    
Cash and due from banks 0 0
Interest-bearing deposits with banks 0 0
Investment securities held-to-maturity   0
Loans held-for-sale 0 0
Total loans, net of allowance for loan losses [1] 48,929 48,153
Customers' liability on acceptances outstanding 0 0
Restricted equity investments 0 0
Demand deposits (noninterest-bearing) 0 0
Interest-bearing deposits 0 0
Customer certificates of deposit 0 0
Total deposits 0 0
Short-term borrowings 0 0
Acceptances outstanding 0 0
Medium- and long-term debt 0 0
Credit-related financial instruments (60) (67)
Nonrecurring    
Total loans, net of allowance for loan losses $ 80 $ 116
[1] Included $80 million and $116 million of impaired loans recorded at fair value on a nonrecurring basis at June 30, 2018 and December 31, 2017, respectively.
[2] Certain investments that are measured at fair value using the net asset value have not been classified in the fair value hierarchy. The fair value amounts presented in the table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Consolidated Balance Sheets.