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Commitments, Contingent Liabilities and Guarantees (Tables)
6 Months Ended
Jun. 30, 2014
Commitments, Contingent Liabilities and Guarantees  
Summary of Significant Commitments
Commitments     
The Bancorp has certain commitments to make future payments under contracts. The following table reflects a summary of significant commitments as of:
     
  June 30, December 31,
($ in millions) 2014 2013
Commitments to extend credit$ 62,121  62,050
Letters of credit  3,978  4,129
Forward contracts to sell mortgage loans  1,074  1,448
Noncancelable lease obligations  728  746
Capital commitments for private equity investments  91  90
Purchase obligations  86  84
Capital expenditures  30  33
Capital lease obligations  16  19
     
Credit Risk Associated With Commitments
Risk ratings under this risk rating system are summarized in the following table as of:
      
  June 30, December 31, 
($ in millions) 2014 2013 
Pass$ 61,290  61,364 
Special mention  372  369 
Substandard  458  316 
Doubtful  1  1 
Total$ 62,121  62,050 
Standby and Commercial Letters of Credit, Conditional Commitments Issued to Guarantee the Performance of a Customer to a Third Party
Standby and commercial letters of credit are conditional commitments issued to guarantee the performance of a customer to a third party and expire as summarized in the following table as of June 30, 2014:
   
($ in millions)  
Less than 1 year(a)$ 2,008
1 - 5 years(a)  1,916
Over 5 years  54
Total$ 3,978

  • Includes $39 and $16 issued on behalf of commercial customers to facilitate trade payments in U.S. dollars and foreign currencies which expire less than one year and between one and five years, respectively.
Credit Risk associated with Letters of Credit
Risk ratings under this risk rating system are summarized in the following table as of:
     
  June 30, December 31,
($ in millions) 2014 2013
Pass$ 3,500  3,651
Special mention  140  99
Substandard  318  355
Doubtful  20  24
Total$ 3,978  4,129
     
Activity in Reserve for Representation and Warranty Provisions
The following table summarizes activity in the reserve for representation and warranty provisions:
        
  For the three months ended June 30, For the six months ended June 30, 
($ in millions) 20142013 20142013 
Balance, beginning of period$ 38 112  44 110 
Net additions to the reserve  1 18  4 37 
Losses charged against the reserve  (3) (13)  (12) (30) 
Balance, end of period$ 36 117  36 117 
Schedule of Liability for Unpaid Claims and Claims Adjustment Expense
The following table provides a rollforward of unresolved demands by claimant type for the six months ended June 30, 2014:
           
 GSE Private Label 
($ in millions)Units  Dollars Units  Dollars 
Balance, beginning of period 264 $ 41  33 $ 5 
New demands 464   59  10   - 
Loan paydowns/payoffs (24)   (2)  (2)   (1) 
Resolved demands (656)   (90)  (34)   (3) 
Balance, end of period 48 $ 8  7 $ 1 

The following table provides a rollforward of unresolved demands by claimant type for the six months ended June 30, 2013:
           
 GSE Private Label 
($ in millions)Units  Dollars Units  Dollars 
Balance, beginning of period 294 $ 48  124 $ 19 
New demands 954   129  153   2 
Loan paydowns/payoffs (7)   (2)  (7)   (1) 
Resolved demands (907)   (128)  (233)   (14) 
Balance, end of period 334 $ 47  37 $ 6 
Visa Funding and Bancorp Cash Payments

After the Bancorp's sale of Visa Class B shares, Visa has funded additional amounts into the litigation escrow account which have resulted in further dilution in the conversion of Class B shares into Class A shares, and along with other terms of the total return swap, required the Bancorp to make cash payments to the swap counterparty as follows:

($ in millions)       
   Visa   Bancorp Cash 
Period  Funding Amount    Payment Amount 
Q2 2010 $500  $20 
Q4 2010  800   35 
Q2 2011 400   19 
Q1 2012 1,565   75 
Q3 2012 150   6