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Other Short Term Borrowings (Tables)
6 Months Ended
Jun. 30, 2015
Short Term Borrowings [Abstract]  
Schedule Of Short Term Debt Text Block
        
The following table presents a summary of the Bancorp's other short-term borrowings as of: 
        
   June 30, December 31, 
($ in millions)  2015 2014 
FHLB advances $ 2,850  - 
Securities sold under repurchase agreements   765  995 
Derivative collateral   521  561 
Total other short-term borrowings $ 4,136  1,556 
        
Schedule Of Assets Sold Under Agreements To Repurchase Table
          
The following table summarizes the Bancorp's securities sold under repurchase agreements by the type of collateral securing the borrowing and remaining contractual maturity as of:
          
($ in millions)  June 30, 2015 December 31, 2014 
    AmountRemaining Contractual Maturity AmountRemaining Contractual Maturity 
Collateral type:        
 Agency residential mortgage-backed securities $ 682Overnight  896Overnight 
 U.S. Treasury and federal agencies securities   83Overnight  99Overnight 
Total securities sold under repurchase agreements $ 765   995