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Certain Regulatory Requirements and Capital Ratios (Tables)
12 Months Ended
Dec. 31, 2014
Certain Regulatory Requirements and Capital Ratios  
Capital and Risk-Based Capital and Leverage Ratios for the Bancorp and its Significant Subsidiary Banks
The following table presents capital and risk-based capital and leverage ratios for the Bancorp and its banking subsidiary at December 31:
       
  2014 2013
($ in millions) Amount Ratio AmountRatio
Tier I risk-based capital (to risk-weighted assets):      
Fifth Third Bancorp (Consolidated)$12,76410.83%$12,09410.43%
Fifth Third Bank 13,76011.85 13,24511.59
Total risk-based capital (to risk-weighted assets):      
Fifth Third Bancorp (Consolidated) 16,89514.33 16,43114.17
Fifth Third Bank 15,21313.10 14,78512.94
Tier I leverage (to average assets):      
Fifth Third Bancorp (Consolidated) 12,7649.66 12,0949.73
Fifth Third Bank 13,76010.58 13,24510.83