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Long-Term Debt (Long-Term Debt - Additional Information) (Detail) - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2019
Dec. 31, 2018
Dec. 31, 2017
Dec. 31, 2016
Dec. 31, 2015
Dec. 31, 2014
Dec. 31, 2013
Dec. 31, 2012
Debt Instrument                
Long-term debt $ 14,970 $ 14,426            
Debt, outstanding principal balance 14,600 14,200            
Debt, discounts and premiums 18 20            
Unamortized debt issuance costs 33 30            
Additions for mark-to-market adjustments on hedged debt 402 254            
Debt Instrument, Face Amount $ 1,370              
Principal Amount of Redemption percentage 100.00%              
Subordinated Debt | Floting Rate 3ML LIBOR Plus 64 BPs Senior Notes Due 2022 [Member]                
Debt Instrument                
Maturity date(s) Start Feb. 01, 2019              
Maturity date(s) End Feb. 01, 2022              
Debt Instrument, Face Amount $ 300              
Variable Interest Entity, Primary Beneficiary | Automobile Loans                
Debt Instrument                
Long-term debt 940              
Debt, outstanding principal balance 249              
Carry Value Of Loans Leases Or Lines Of Credit Securitized 1,430              
Parent Company                
Debt Instrument                
Long-term debt 7,513              
Parent Company | Floating Rate 2.37 Percent Notes Due 2021 | Three Month LIBOR                
Debt Instrument                
Issue of senior notes to third party investors   $ 250            
Parent Company | Senior Debt Obligations | Three Month LIBOR                
Debt Instrument                
Basis Points   47            
Parent Company | Senior Debt Obligations | Fixed Rate 2.875 Percent Due 2020                
Debt Instrument                
Long-term debt $ 1,099 $ 1,098            
Issue of senior notes to third party investors         $ 1,100      
Maturity date(s) Start Jul. 27, 2015              
Maturity date(s) End Jul. 27, 2020              
Parent Company | Senior Debt Obligations | Fixed Rate 2.60 Percent Notes Due 2022                
Debt Instrument                
Long-term debt $ 699 698            
Issue of senior notes to third party investors     $ 700          
Maturity date(s) Start Jun. 15, 2017              
Maturity date(s) End Jun. 15, 2022              
Parent Company | Senior Debt Obligations | Fixed Rate 3.50 Percent Due 2022                
Debt Instrument                
Long-term debt $ 499 498            
Issue of senior notes to third party investors               $ 500
Maturity date(s) Start Mar. 07, 2012              
Maturity date(s) End Mar. 15, 2022              
Parent Company | Senior Debt Obligations | Fixed Rate 3.95 Percent Notes Due 2028                
Debt Instrument                
Long-term debt $ 646 646            
Issue of senior notes to third party investors   650            
Maturity date(s) Start Mar. 14, 2018              
Maturity date(s) End Mar. 14, 2028              
Parent Company | Senior Debt Obligations | Floating Rate 2.37 Percent Notes Due 2021                
Debt Instrument                
Long-term debt $ 250 250            
Maturity date(s) Start Jun. 05, 2018              
Maturity date(s) End Jun. 04, 2021              
Parent Company | Senior Debt Obligations | Fixed Rate 3.65 Percent Notes Due 2024                
Debt Instrument                
Issue of senior notes to third party investors $ 1,500              
Maturity date(s) Start Jan. 25, 2019              
Maturity date(s) End Jan. 25, 2024              
Parent Company | Senior Debt Obligations | Fixed Rate 2.375 Percent Notes Due 2025                
Debt Instrument                
Long-term debt $ 746 0            
Issue of senior notes to third party investors $ 750              
Maturity date(s) Start Oct. 28, 2019              
Maturity date(s) End Jan. 28, 2025              
Redemption Date Start Apr. 25, 2020              
Redemption Date End Dec. 29, 2024              
Parent Company | Subordinated Debt | Fixed Rate 4.30 Notes Due 2024                
Debt Instrument                
Long-term debt $ 748 747            
Issue of senior notes to third party investors             $ 750  
Maturity date(s) Start Nov. 20, 2013              
Maturity date(s) End Jan. 16, 2024              
Parent Company | Subordinated Debt | Fixed Rate 8.25 Percent Notes Due 2038                
Debt Instrument                
Long-term debt $ 1,333 1,238            
Issue of senior notes to third party investors 1,000              
Parent Company | Subordinated Debt | Fixed Rate 8.25 Percent Notes Due 2038 | Three Month LIBOR                
Debt Instrument                
Amount of debt converted to floating rate $ 705              
Interest rate paid 4.96%              
Parent Company | Subordinated Debt | Fixed Rate 2.375 Percent Notes Due 2025                
Debt Instrument                
Issue of senior notes to third party investors $ 750              
Subsidiaries                
Debt Instrument                
Long-term debt 7,457              
Debt, available for future issuance 19,300              
Global Bank Note Program 25,000              
Subsidiaries | Automobile Loans                
Debt Instrument                
Long-term debt reatined 68              
Subsidiaries | FHLB Advances 0.05 To 6.87 Percent Due 2020 Through 2047 | FHLB advances                
Debt Instrument                
Residential mortgage loans and securities serving as FHLB collateral 17,600              
Advances from Federal Home Loan Banks 91              
Federal Home Loan Bank, Advances, Maturities Summary, Due in Next Twelve Months 2              
Federal Home Loan Bank, Advances, Maturities Summary, Due in Year Two 2              
Federal Home Loan Bank, Advances, Maturities Summary, Due in Year Three 1              
Federal Home Loan Bank, Advances, Maturities Summary, Due in Year Four 72              
Federal Home Loan Bank, Advances, Maturities Summary, Due after Year Five 14              
Subsidiaries | Senior Debt Obligations | Fixed Rate 2.20 Percent Notes Due 2020                
Debt Instrument                
Long-term debt $ 752 742            
Debt, outstanding principal balance     1,100          
Maturity date(s) Start Oct. 30, 2017              
Maturity date(s) End Oct. 30, 2020              
Basis Points 24              
Subsidiaries | Senior Debt Obligations | Fixed Rate 2.20 Percent Notes Due 2020 | Three Month LIBOR                
Debt Instrument                
Issue of senior notes to third party investors     $ 300          
Basis Points 25              
Subsidiaries | Senior Debt Obligations | Fixed Rate 2.25 Percent Notes Due 2021                
Debt Instrument                
Long-term debt $ 1,249 1,248            
Issue of senior notes to third party investors       $ 1,300        
Maturity date(s) Start Jun. 14, 2016              
Maturity date(s) End Jun. 14, 2021              
Subsidiaries | Senior Debt Obligations | Fixed rate 2.875 percent Notes due 2021                
Debt Instrument                
Long-term debt $ 848 847            
Issue of senior notes to third party investors           $ 850    
Maturity date(s) Start Sep. 05, 2014              
Maturity date(s) End Oct. 01, 2021              
Subsidiaries | Senior Debt Obligations | Fixed Rate 3.35 Percent Notes Due 2021                
Debt Instrument                
Long-term debt $ 508 502            
Debt, outstanding principal balance   1,550            
Issue of senior notes to third party investors   500            
Maturity date(s) Start Jul. 26, 2018              
Maturity date(s) End Jul. 26, 2021              
Basis Points 53              
Subsidiaries | Senior Debt Obligations | Fixed Rate 3.35 Percent Notes Due 2021 | Three Month LIBOR                
Debt Instrument                
Issue of senior notes to third party investors   300            
Basis Points 44              
Subsidiaries | Senior Debt Obligations | Fixed Rate 3.95 Percent Notes Due 2025                
Debt Instrument                
Long-term debt $ 797 764            
Issue of senior notes to third party investors   750            
Basis Points 104              
Subsidiaries | Senior Debt Obligations | Fixed Rate 4.00 Percent Notes Due 2027                
Debt Instrument                
Issue of senior notes to third party investors $ 175              
Maturity date(s) End Dec. 01, 2027              
Redemption Date Start Dec. 01, 2022              
Subsidiaries | Subordinated Debt | Fixed Rate 3.85 Percent Notes Due 2026                
Debt Instrument                
Long-term debt $ 748 747            
Issue of senior notes to third party investors       $ 750        
Maturity date(s) Start Mar. 15, 2016              
Maturity date(s) End Mar. 15, 2026              
Subsidiaries | Subordinated Debt | Fixed Rate 3.95 Percent Notes Due 2025                
Debt Instrument                
Maturity date(s) Start Jul. 26, 2018              
Maturity date(s) End Jul. 28, 2025              
Subsidiaries | Subordinated Debt | Fixed Rate 4.00 Percent Notes Due 2027                
Debt Instrument                
Long-term debt $ 171 0            
Subsidiaries | Junior Subordinated Debt | Floating Rate 4.21% - 4.48% Debentures Due 2035                
Debt Instrument                
Long-term debt $ 53 52            
Subsidiaries | Junior Subordinated Debt | Floating Rate 4.21% - 4.48% Debentures Due 2035 | Trust Preferred Securities | Three Month LIBOR | First Charter Capital Trust I                
Debt Instrument                
Basis Points 169              
Subsidiaries | Junior Subordinated Debt | Floating Rate 4.21% - 4.48% Debentures Due 2035 | Trust Preferred Securities | Three Month LIBOR | First Charter Capital Trust II                
Debt Instrument                
Basis Points 142              
Subsidiaries | Junior Subordinated Debt | FHLB Advances 0.05 To 6.87 Percent Due 2020 Through 2047                
Debt Instrument                
Long-term debt $ 91 $ 22