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Accumulated Other Comprehensive Income (Tables)
6 Months Ended
Jun. 30, 2014
Accumulated Other Comprehensive Income  
Activity of the Components of Other Comprehensive Income and Accumulated Other Comprehensive Income
The activity of the components of other comprehensive income and accumulated other comprehensive income for the three months ended June 30, 2014 and 2013 was as follows:
               
   Total Other Total Accumulated Other 
   Comprehensive Income Comprehensive Income 
   PretaxTaxNetBeginningNetEnding
($ in millions) ActivityEffectActivityBalanceActivityBalance
June 30, 2014             
Unrealized holding gains on available-for-sale securities arising              
 during period$288 (100) 188       
Reclassification adjustment for net gains included in net income (14) 5 (9)       
Net unrealized gains on available-for-sale securities 274 (95) 179 231 179 410 
               
Unrealized holding gains on cash flow hedge derivatives arising             
 during period 19 (7) 12       
Reclassification adjustment for net gains on cash flow             
 hedge derivatives included in net income (11) 5 (6)       
Net unrealized gains on cash flow hedge derivatives 8 (2) 6 16 6 22 
               
Reclassification of amounts to net periodic benefit costs 1  - 1       
Defined benefit plans, net 1  - 1 (51) 1 (50) 
Total$283 (97) 186 196 186 382 

   Total Other Total Accumulated Other 
   Comprehensive Income Comprehensive Income 
   PretaxTaxNetBeginningNetEnding
($ in millions) ActivityEffectActivityBalanceActivityBalance
June 30, 2013             
Unrealized holding losses on available-for-sale securities arising              
 during period$(324) 113 (211)       
Reclassification adjustment for net losses included in net income 51 (18) 33       
Net unrealized gains on available-for-sale securities (273) 95 (178) 381 (178) 203 
               
Unrealized holding losses on cash flow hedge derivatives arising             
 during period (2)  - (2)       
Reclassification adjustment for net gains on cash flow             
 hedge derivatives included in net income (10) 4 (6)       
Net unrealized gains on cash flow hedge derivatives (12) 4 (8) 37 (8) 29 
               
Reclassification of amounts to net periodic benefit costs 3 (1) 2       
Defined benefit plans, net 3 (1) 2 (85) 2 (83) 
Total$(282) 98 (184) 333 (184) 149 

The activity of the components of other comprehensive income and accumulated other comprehensive income for the six months ended June 30, 2014 and 2013 was as follows:
               
   Total Other Total Accumulated Other 
   Comprehensive Income Comprehensive Income 
   PretaxTaxNetBeginningNetEnding
($ in millions) ActivityEffectActivityBalanceActivityBalance
June 30, 2014             
Unrealized holding gains on available-for-sale securities arising              
 during period$461 (160) 301       
Reclassification adjustment for net gains included in net income (19) 7 (12)       
Net unrealized gains on available-for-sale securities 442 (153) 289 121 289 410 
               
Unrealized holding gains on cash flow hedge derivatives arising             
 during period 34 (12) 22       
Reclassification adjustment for net gains on cash flow             
 hedge derivatives included in net income (21) 8 (13)       
Net unrealized gains on cash flow hedge derivatives 13 (4) 9 13 9 22 
               
Reclassification of amounts to net periodic benefit costs 3 (1) 2       
Defined benefit plans, net 3 (1) 2 (52) 2 (50) 
Total$458 (158) 300 82 300 382 

               
   Total Other Total Accumulated Other 
   Comprehensive Income Comprehensive Income 
   PretaxTaxNetBeginningNetEnding
($ in millions) ActivityEffectActivityBalanceActivityBalance
June 30, 2013             
Unrealized holding losses on available-for-sale securities arising              
 during period$(380) 133 (247)       
Reclassification adjustment for net losses included in net income 58 (20) 38       
Net unrealized gains on available-for-sale securities (322) 113 (209) 412 (209) 203 
               
Unrealized holding losses on cash flow hedge derivatives arising             
 during period (1)  - (1)       
Reclassification adjustment for net gains on cash flow             
 hedge derivatives included in net income (31) 11 (20)       
Net unrealized gains on cash flow hedge derivatives (32) 11 (21) 50 (21) 29 
               
Reclassification of amounts to net periodic benefit costs 6 (2) 4       
Defined benefit plans, net 6 (2) 4 (87) 4 (83) 
Total$(348) 122 (226) 375 (226) 149 
Reclassification Out of Accumulated Other Comprehensive Income to Net Income
The table below presents reclassifications out of accumulated other comprehensive income:
         
  Affected Line Item For the three months For the six months
  in the Condensed Consolidated ended June 30, ended June 30,
Components of AOCI: ($ in millions) Statements of Income 20142013 20142013
         
Net unrealized gains on available-for-sale securities: (b)      
Net gains (losses) included in net income Securities gains, net$ 14 (51)  19 (58)
  Income before income taxes  14 (51)  19 (58)
  Applicable income tax expense  (5) 18  (7) 20
  Net income  9 (33)  12 (38)
         
Net unrealized gains on cash flow hedge derivatives: (b)      
Interest rate contracts related to C&I loans Interest and fees on loans and leases   11 10  21 32
Interest rate contracts related to long-term debt Interest on long-term debt   - -  - (1)
  Income before income taxes  11 10  21 31
  Applicable income tax expense  (5) (4)  (8) (11)
  Net income  6 6  13 20
         
Net periodic benefit costs: (b)      
Amortization of net actuarial loss Employee benefits expense(a)  (1) (3)  (3) (6)
  Income before income taxes  (1) (3)  (3) (6)
  Applicable income tax expense  - 1  1 2
  Net income  (1) (2)  (2) (4)
         
Total reclassifications for the period Net income$ 14 (29)  23 (22)

  • This AOCI component is included in the computation of net periodic benefit cost. Refer to Note 21 in the Bancorp's Annual Report on Form 10-K for the year ended December 31, 2013 for information on the computation of net periodic benefit cost.
  • Amounts in parentheses indicate reductions to net income