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Allowance for Credit Losses (Details) (USD $)
In Millions, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Analysis of ending balance of finance receivables and net investment in operating leases    
Finance receivables, net $ 71,510 $ 69,976
Net Investment In Operating Leases 16,451 12,838
Allowance For Credit Losses Policy [Abstract]    
Term When Finance Receivables Are Considered Impaired 120 days  
Term to Charge Off Finance Receivables 120 days  
Financial Services [Member]
   
Allowance for credit losses    
Beginning balance 501 777
Beginning balance (Net Investment In Operating Leases) 40 87
Beginning balance (Total) 541 864
Charge-offs (324) (416)
Charge-offs (Net Investment In Operating Leases) (47) (89)
Charge-offs (Total Allowance) (371) (505)
Recoveries 183 214
Recoveries (Net Investment In Operating Leases) 49 86
Recoveries (Total Allowance) 232 300
Provision for credit losses 26 (73)
Provision for Credit Losses (Net Investment In Operating Leases) (19) (44)
Provision for credit losses (Total Allowance) 7 (117)
Other 3 (1)
Other (Net Investment In Operating Leases)      
Other (Total Allowance) 3 (1)
Ending balance 389 501
Ending balance (Net Investment In Operating Leases) 23 40
Ending balance (Total) 412 541
Analysis of ending balance of allowance for credit losses    
Collective impairment allowance 368 477
Collective impairment allowance (Net Investment in Operating Leases) 23 40
Collective impairment allowance (Total Allowance) 391 517
Specific impairment allowance 21 24
Specific impairment allowance (Net Investment in Operating Leases)      
Specific impairment allowance (Total Allowance) 21 24
Ending balance 389 501
Ending balance (Net Investment In Operating Leases) 23 40
Ending balance (Total) 412 541
Analysis of ending balance of finance receivables and net investment in operating leases    
Collectively evaluated for impairment 75,690 73,385
Collectively evaluated for impairment (Net Investment in Operating Leases) 15,059 11,522
Specifically evaluated for impairment 469 446
Specifically evaluated for impairment (Net Investment in Operating Leases)      
Financing Receivable, Gross 76,159 73,831
Recorded investment (Net Investment in Operating Leases) 15,059 11,522
Finance receivables, net 75,770 73,330
Net Investment In Operating Leases 15,036 11,482
Allowance For Credit Losses Policy [Abstract]    
Number Of Days At Which Finance Receivables Impaired when an account is deemed to be uncollectible or when an account is 120 days delinquent  
Financial Services [Member] | Consumer [Member]
   
Allowance for credit losses    
Beginning balance 457 707
Charge-offs (316) (405)
Recoveries 171 207
Provision for credit losses 45 (51)
Other 3 (1)
Ending balance 360 457
Analysis of ending balance of allowance for credit losses    
Collective impairment allowance 341 441
Specific impairment allowance 19 16
Ending balance 360 457
Analysis of ending balance of finance receivables and net investment in operating leases    
Collectively evaluated for impairment 47,991 47,369
Specifically evaluated for impairment 422 382
Financing Receivable, Gross 48,413 47,751
Finance receivables, net 48,053 47,294
Allowance For Credit Losses Policy [Abstract]    
Number Of Days At Which Finance Receivables Are Charged Off greater than 120 days past due  
Financial Services [Member] | Non-consumer [Member]
   
Allowance for credit losses    
Beginning balance 44 70
Charge-offs (8) (11)
Recoveries 12 7
Provision for credit losses (19) (22)
Other      
Ending balance 29 44
Analysis of ending balance of allowance for credit losses    
Collective impairment allowance 27 36
Specific impairment allowance 2 8
Ending balance 29 44
Analysis of ending balance of finance receivables and net investment in operating leases    
Collectively evaluated for impairment 27,699 26,016
Specifically evaluated for impairment 47 64
Financing Receivable, Gross 27,746 26,080
Finance receivables, net 27,717 26,036
Automotive [Member]
   
Allowance for credit losses    
Beginning balance 29 120
Charge-offs (7) 0
Recoveries (11) (85)
Provision for credit losses 6 2
Other 6 (8)
Ending balance 23 29
Analysis of ending balance of allowance for credit losses    
Ending balance $ 23 $ 29