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Guarantees and Contingent Liabilities (Tables)
9 Months Ended
Sep. 30, 2014
Commitments and Contingencies Disclosure [Abstract]  
Summary of Other Guarantees and Contingent Liabilities

The following table is a summary of other guarantees and contingent liabilities of the Company at September 30, 2014:

 

(Dollars in Millions)   Collateral
Held
     Carrying
Amount
     Maximum
Potential
Future
Payments
 

Standby letters of credit

  $       $ 63       $ 15,201   

Third-party borrowing arrangements

                    16   

Securities lending indemnifications

    5,166                 5,002   

Asset sales

            160         4,040  (a) 

Merchant processing

    780         66         92,835   

Contingent consideration arrangements

            2         2   

Tender option bond program guarantee

    4,079                 3,915   

Minimum revenue guarantees

            7         7   

Other

                    525   

 

(a) The maximum potential future payments do not include loan sales where the Company provides standard representation and warranties to the buyer against losses related to loan underwriting documentation defects that may have existed at the time of sale that generally are identified after the occurrence of a triggering event such as delinquency. For these types of loan sales, the maximum potential future payments is generally the unpaid principal balance of loans sold measured at the end of the current reporting period. Actual losses will be significantly less than the maximum exposure, as only a fraction of loans sold will have a representation and warranty breach, and any losses on repurchase would generally be mitigated by any collateral held against the loans.
Representation and Warranty Reserve Rollforward

The following table is a rollforward of the Company’s representation and warranty reserve:

 

    Three Months Ended
September 30,
     Nine Months Ended
September 30,
 
(Dollars in Millions)   2014     2013      2014     2013  

Balance at beginning of period

  $ 69      $ 190       $ 83      $ 240   

Net realized losses

    (1     (13      (13     (52

Change in reserve

    (6     (1      (8     (12

Balance at end of period

  $ 62      $ 176       $ 62      $ 176