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CONDENSED CONSOLIDATED BALANCE SHEETS Unaudited (Parenthetical) (USD $)
In Millions, except Share data, unless otherwise specified
Mar. 31, 2014
Dec. 31, 2013
Cash and due from banks $ 3,153 [1] $ 3,178 [1]
Other Short-term Investments 2,202 [1] 5,116 [1]
Commercial mortgage loans 7,958 [1] 8,066 [1]
Automobile loans 12,088 [1] 11,984 [1]
Allowance for loan and lease losses (1,483) [1] (1,582) [1]
Other assets 7,355 [1] 8,358 [1]
Other liabilities 2,029 [1] 3,487 [1]
Long-term debt 11,233 [1] 9,633 [1]
Available-for-sale and other securities, amortized cost 20,393 18,409
Held-to-maturity securities, fair value 195 208
Residential mortgage loans held for sale 649 890
Residential mortgage loans measured at fair value 103 92
Common stock, stated value $ 2.22 $ 2.22
Common stock, authorized 2,000,000,000 2,000,000,000
Common stock, outstanding 847,568,728 855,305,745
Common stock, treasury shares 76,323,853 68,586,836
Variable Interest Entities
   
Cash and due from banks 102 49
Other Short-term Investments 7  
Commercial mortgage loans 48 48
Automobile loans 2,031 1,010
Allowance for loan and lease losses (18) (15)
Other assets 23 13
Other liabilities 3 1
Long-term debt $ 2,119 $ 1,048
Preferred Stock
   
Preferred stock, authorized 458,000 458,000
Preferred stock Series H
   
Preferred stock, authorized 24,000 24,000
Preferred stock, liquidation preference $ 25,000 $ 25,000
Preferred stock, issued 24,000 24,000
Preferred stock, outstanding 24,000 24,000
Preferred stock Series I
   
Preferred stock, authorized 18,000 18,000
Preferred stock, liquidation preference $ 25,000 $ 25,000
Preferred stock, issued 18,000 18,000
Preferred stock, outstanding 18,000 18,000
[1] Includes $102 and $49 of cash and due from banks, $7 and $0 of other short-term investments, $48 and $48 of commercial mortgage loans, $2,031 and $1,010 of automobile loans, $(18) and $(15) of ALLL, $23 and $13 of other assets, $3 and $1 of other liabilities, and $2,119 and $1,048 of long-term debt from consolidated VIEs that are included in their respective captions above at March 31, 2014 and December 31, 2013, respectively. See Note 8.