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Investment Securities (Tables)
6 Months Ended
Jun. 30, 2014
Investment Securities (Tables) [Abstract]  
Schedule of Available for Sale Securities by Type

The following is a summary of investment securities as of June 30, 2014 and December 31, 2013:

    2014 2013
        Gross  Gross  Estimated     Gross  Gross  Estimated
       Unrealized Unrealized  Fair   Unrealized Unrealized  Fair
Description of Securities (Millions)  Cost Gains Losses  Value Cost Gains Losses  Value
State and municipal obligations  $ 3,814 $ 125 $ (4) $ 3,935 $ 4,060 $ 54 $ (79) $ 4,035
U.S. Government agency                         
 obligations    3       3   3       3
U.S. Government treasury                         
 obligations    346   4     350   318   3   (1)   320
Corporate debt securities    44   2     46   43   3     46
Mortgage-backed securities (a)   144   7     151   160   5   (1)   164
Equity securities (b)   6   18     24   29   95     124
Foreign government bonds and                         
 obligations    288   9     297   272   5   (1)   276
Other (c)   50     (1)   49   50     (2)   48
Total  $ 4,695 $ 165 $ (5) $ 4,855 $4,935 $165 $(84) $5,016

  • Represents mortgage-backed securities guaranteed by Fannie Mae, Freddie Mac or Ginnie Mae.
  • Primarily represents the Company's investment in the Industrial and Commercial Bank of China (ICBC).
  • Other comprises investments in various mutual funds.

 

Available-for-sale Securities, Continuous Unrealized Loss Position, Fair Value

The following table provides information about the Company's investment securities with gross unrealized losses and the length of time that individual securities have been in a continuous unrealized loss position as of June 30, 2014 and December 31, 2013:

 

    2014 2013
    Less than 12 months 12 months or more Less than 12 months 12 months or more
        Gross     Gross     Gross     Gross
     Estimated Unrealized Estimated Unrealized  Estimated Unrealized Estimated Unrealized
Description of Securities (Millions)  Fair Value Losses Fair Value Losses  Fair Value Losses Fair Value Losses
State and municipal obligations  $ $ $ 83 $ (4) $ 1,320 $ (63) $ 106 $ (16)
Foreign government bonds and                         
 obligations            208   (1)    
U.S. Government treasury                        
 obligations           166   (1)    
Mortgage-backed securities           35   (1)    
Other        33   (1)   30   (1)   17   (1)
Total  $ $ $ 116 $ (5) $ 1,759 $ (67) $ 123 $ (17)
Available for Sale Securities Ratio of Fair Value to Amortized Cost

The following table summarizes the gross unrealized losses due to temporary impairments by ratio of fair value to amortized cost as of June 30, 2014 and December 31, 2013:

 

  Less than 12 months 12 months or more Total
Ratio of Fair Value to       Gross       Gross       Gross
Amortized Cost Number of Estimated Unrealized Number of Estimated Unrealized Number of Estimated Unrealized
(Dollars in millions) Securities Fair Value Losses Securities Fair Value Losses Securities Fair Value Losses
2014:                        
90%–100%  $ $ 19 $116 $(5)  19 $ 116 $ (5)
Less than 90%               
Total as of June 30, 2014  $ $  19 $ 116 $ (5)  19 $ 116 $ (5)
                          
2013:                        
90%–100% 228 $1,665 $(53) 6 $24 $(2) 234 $1,689 $(55)
Less than 90% 13  94  (14) 5  99  (15) 18  193  (29)
Total as of December 31, 2013 241 $1,759 $(67) 11 $123 $(17) 252 $1,882 $(84)
Contractual maturities of investment securities

Contractual maturities of investment securities, excluding equity securities and other securities, as of June 30, 2014 were as follows:

       Estimated
(Millions) Cost  Fair Value
Due within 1 year $ 426 $ 426
Due after 1 year but within 5 years   521   529
Due after 5 years but within 10 years   210   225
Due after 10 years   3,482   3,602
Total $ 4,639 $ 4,782