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Long-Term Debt - Schedule of Aggregate Maturities of Long-Term Debt Obligations (Details) - USD ($)
$ in Millions
Dec. 31, 2020
Dec. 31, 2019
Debt Instrument    
2021 $ 3,162  
2022 1,523  
2023 1,641  
2024 2,340  
2025 1,657  
Thereafter 4,650  
Total [1] 14,973 $ 14,970
Parent Company    
Debt Instrument    
2021 250  
2022 1,198  
2023 498  
2024 2,242  
2025 747  
Thereafter 2,826  
Total 7,761 $ 7,513
Subsidiaries    
Debt Instrument    
2021 2,912  
2022 325  
2023 1,143  
2024 98  
2025 910  
Thereafter 1,824  
Total $ 7,212  
[1] Includes $55 and $74 of other short-term investments, $756 and $1,354 of portfolio loans and leases, $(7) and $(7) of ALLL, $5 and $8 of other assets, $2 and $2 of other liabilities and $656 and $1,253 of long-term debt from consolidated VIEs that are included in their respective captions above at December 31, 2020 and 2019, respectively. For further information, refer to Note 13.