XML 39 R28.htm IDEA: XBRL DOCUMENT v3.22.2.2
Accumulated Other Comprehensive Income
9 Months Ended
Sep. 30, 2022
Equity [Abstract]  
Accumulated Other Comprehensive Income Accumulated Other Comprehensive Income
The tables below present the activity of the components of OCI and AOCI for the three months ended:

Total OCI Total AOCI
September 30, 2022 ($ in millions)Pre-tax
Activity
Tax
Effect
Net
Activity
Beginning
Balance
Net
Activity
Ending
Balance
Unrealized holding losses on available-for-sale debt securities arising during period$(2,780)651 (2,129)
Reclassification adjustment for net gains on available-for-sale debt securities included in net income   
Net unrealized losses on available-for-sale debt securities(2,780)651 (2,129)(2,546)(2,129)(4,675)
Unrealized holding losses on cash flow hedge derivatives arising during period(688)158 (530)
Reclassification adjustment for net gains on cash flow hedge derivatives included in net income(4)1 (3)
Net unrealized losses on cash flow hedge derivatives(692)159 (533)(63)(533)(596)
Net actuarial loss arising during the year(1) (1)
Reclassification of amounts to net periodic benefit costs1  1 
Defined benefit pension plans, net   (31) (31)
Other   (4) (4)
Total$(3,472)810 (2,662)(2,644)(2,662)(5,306)

Total OCI Total AOCI
September 30, 2021 ($ in millions)Pre-tax
Activity
Tax
Effect
Net
Activity
Beginning
Balance
Net
Activity
Ending
Balance
Unrealized holding losses on available-for-sale debt securities arising during period$(368)87 (281)
Reclassification adjustment for net gains on available-for-sale debt securities included in net income(1)— (1)
Net unrealized gains on available-for-sale debt securities(369)87 (282)1,472 (282)1,190 
Unrealized holding gains on cash flow hedge derivatives arising during period(1)
Reclassification adjustment for net gains on cash flow hedge derivatives included in net income(74)16 (58)
Net unrealized gains on cash flow hedge derivatives(71)15 (56)548 (56)492 
Net actuarial loss arising during the year(1)— (1)
Reclassification of amounts to net periodic benefit costs(1)
Defined benefit pension plans, net(1)(42)(41)
Other— — — (4)— (4)
Total$(438)101 (337)1,974 (337)1,637 
The tables below present the activity of the components of OCI and AOCI for the nine months ended:

Total OCITotal AOCI
September 30, 2022 ($ in millions)Pre-tax
Activity
Tax EffectNet ActivityBeginning BalanceNet ActivityEnding Balance
Unrealized holding losses on available-for-sale debt securities arising during period$(7,249)1,685 (5,564)
Reclassification adjustment for net gains on available-for-sale debt securities included in net income(3)1 (2)
Net unrealized losses on available-for-sale debt securities(7,252)1,686 (5,566)891 (5,566)(4,675)
Unrealized holding losses on cash flow hedge derivatives arising during period(1,092)252 (840)
Reclassification adjustment for net gains on cash flow hedge derivatives included in net income
(140)31 (109)
Net unrealized losses on cash flow hedge derivatives(1,232)283 (949)353 (949)(596)
Net actuarial loss arising during the year(2) (2)
Reclassification of amounts to net periodic benefit costs5 (1)4 
Defined benefit pension plans, net3 (1)2 (33)2 (31)
Other   (4) (4)
Total$(8,481)1,968 (6,513)1,207 (6,513)(5,306)

Total OCITotal AOCI
September 30, 2021 ($ in millions)Pre-tax
Activity
Tax EffectNet ActivityBeginning BalanceNet ActivityEnding Balance
Unrealized holding losses on available-for-sale debt securities arising during period$(978)230 (748)
Reclassification adjustment for net losses on available-for-sale debt securities included in net income(2)
Net unrealized gains on available-for-sale debt securities(969)228 (741)1,931 (741)1,190 
Unrealized holding losses on cash flow hedge derivatives arising during period(67)14 (53)
Reclassification adjustment for net gains on cash flow hedge derivatives included in net income(219)46 (173)
Net unrealized gains on cash flow hedge derivatives(286)60 (226)718 (226)492 
Net actuarial loss arising during the year(2)— (2)
Reclassification of amounts to net periodic benefit costs(2)
Defined benefit pension plans, net(2)(44)(41)
Other— — — (4)— (4)
Total$(1,250)286 (964)2,601 (964)1,637 
The table below presents reclassifications out of AOCI:
Condensed Consolidated Statements of Income CaptionFor the three months ended
September 30,
For the nine months ended
September 30,
($ in millions)2022202120222021
Net unrealized (losses) gains on available-for-sale debt securities:(b)
Net gains (losses) included in net incomeSecurities (losses) gains, net$ 3 (9)
Income before income taxes 3 (9)
Applicable income tax expense — (1)
Net income 2 (7)
Net unrealized (losses) gains on cash flow hedge derivatives:(b)
Interest rate contracts related to C&I, commercial mortgage and commercial construction loansInterest and fees on loans and leases4 74 140 219 
Income before income taxes4 74 140 219 
Applicable income tax expense(1)(16)(31)(46)
Net income3 58 109 173 
Net periodic benefit costs:(b)
Amortization of net actuarial loss
Compensation and benefits(a)
(1)(2)(3)(5)
Settlements
Compensation and benefits(a)
 (1)(2)(2)
Income before income taxes(1)(3)(5)(7)
Applicable income tax expense 1 
Net income(1)(2)(4)(5)
Total reclassifications for the periodNet income$2 57 107 161 
(a)This AOCI component is included in the computation of net periodic benefit cost. Refer to Note 22 of the Notes to Consolidated Financial Statements included in the Bancorp’s Annual Report on Form 10-K for the year ended December 31, 2021 for further information.
(b)Amounts in parentheses indicate reductions to net income.