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Total Equity and Other Comprehensive Income (Tables)
6 Months Ended
Jun. 30, 2013
Other Comprehensive Income [Abstract]  
Rollforward of Total Equity
Table 123: Rollforward of Total Equity 
                          
     Shareholders' Equity      
         Capital  Accumulated         
  Shares   CapitalSurplus -   Other         
  Outstanding   Surplus -Common  Comprehensive     Non-   
  Common  Common PreferredStockRetained IncomeTreasury  controllingTotal 
In millionsStock  StockStockand OtherEarnings(Loss)Stock  InterestsEquity 
Balance at January 1, 2012527  $2,683$1,637$12,072$18,253 $(105)$(487)  $3,193$37,246 
Net income          1,356        1 1,357 
Other comprehensive income (loss), net of tax             507       507 
Cash dividends declared                       
 Common ($.75 per share)          (396)          (396) 
 Preferred          (63)          (63) 
Preferred stock discount accretion      1   (1)            
Common stock activity (a)    4   26             30 
Treasury stock activity 2       46      36     82 
Preferred stock issuance - Series P (b)      1,482              1,482 
Other        (46)          15 (31) 
Balance at June 30, 2012 (c)529  $2,687$3,120$12,098$19,149 $402$(451)  $3,209$40,214 
Balance at January 1, 2013528  $2,690$3,590$12,193$20,265 $834$(569)  $2,762$41,765 
Net income          2,135        (8) 2,127 
Other comprehensive income (loss), net of tax             (789)       (789) 
Cash dividends declared                       
 Common ($.84 per share)          (444)          (444) 
 Preferred          (118)          (118) 
Preferred stock discount accretion      3   (3)            
Redemption of noncontrolling interests (d)          (7)        (368)  (375) 
Common stock activity1   3   32            35 
Treasury stock activity 2       (42)      116      74 
Preferred stock redemption - Series L (e)      (150)               (150) 
Preferred stock issuance - Series R (f)      496               496 
Other (g)        51          (731) (680) 
Balance at June 30, 2013 (c)531  $2,693$3,939$12,234$21,828 $45$(453)  $1,655$41,941 
(a)Common stock activity totaled less than .5 million shares issued.
(b)15,000 Series P preferred shares with a $1 par value were issued on April 24, 2012. 
(c)The par value of our preferred stock outstanding was less than $.5 million at each date and, therefore, is excluded from this presentation. 
(d)Relates to the redemption of REIT preferred securities in the first quarter of 2013. See Note 11 Capital Securities of Subsidiary Trusts and Perpetual Trust Securities for additional information. 
(e)1,500 Series L preferred shares with a $1 par value were redeemed on April 19, 2013. 
(f)5,000 Series R preferred shares with a $1 par value were issued on May 7, 2013.  
(g)Includes deconsolidation of low income housing tax credit investments in the amount of $675 million as of June 30, 2013. See Note 3 Loan Sale and Servicing Activities and Variable Interest Entities for additional information. 
Other Comprehensive Income
Table 124: Other Comprehensive Income        
          
Details of other comprehensive income (loss) are as follows:        
          
In millions Pretax  Tax  After-tax
Net unrealized gains (losses) on non-OTTI securities        
Balance at March 31, 2012$ 1,336 $ (490) $ 846
Second Quarter 2012 activity        
Increase in net unrealized gains (losses) on non-OTTI securities  200   (74)   126
Less: Net gains (losses) realized as a yield adjustment reclassified to investment securities in        
 interest income  12   (5)   7
Less: Net gains (losses) realized on sales of securities reclassified to noninterest income  30   (11)   19
Net unrealized gains (losses) on non-OTTI securities  158   (58)   100
Balance at June 30, 2012  1,494   (548)   946
          
Balance at March 31, 2013  1,688   (619)   1,069
Second Quarter 2013 activity        
Increase in net unrealized gains (losses) on non-OTTI securities  (729)   264   (465)
Less: Net gains (losses) realized as a yield adjustment reclassified to investment securities in        
 interest income  11   (4)   7
Less: Net gains (losses) realized on sales of securities reclassified to noninterest income  53   (19)   34
Net unrealized gains (losses) on non-OTTI securities  (793)   287   (506)
Balance at June 30, 2013$ 895 $ (332) $ 563
Net unrealized gains (losses) on OTTI securities        
Balance at March 31, 2012$ (760) $ 279 $ (481)
Second Quarter 2012 activity        
Increase in net unrealized gains (losses) on OTTI securities  (26)   10   (16)
Less: OTTI losses realized on securities reclassified to noninterest income  (34)   13   (21)
Net unrealized gains (losses) on OTTI securities  8   (3)   5
Balance at June 30, 2012  (752)   276   (476)
          
Balance at March 31, 2013  (54)   21   (33)
Second Quarter 2013 activity        
Increase in net unrealized gains (losses) on OTTI securities  (49)   17   (32)
Less: OTTI losses realized on securities reclassified to noninterest income  (4)   1   (3)
Net unrealized gains (losses) on OTTI securities  (45)   16   (29)
Balance at June 30, 2013$ (99) $ 37 $ (62)
Net unrealized gains (losses) on cash flow hedge derivatives        
Balance at March 31, 2012$ 1,041 $ (381) $ 660
Second Quarter 2012 activity        
Increase in net unrealized gains (losses) on cash flow hedge derivatives  154   (57)   97
Less: Net gains (losses) realized as a yield adjustment reclassified to loan interest income (a)  101   (37)   64
Less: Net gains (losses) realized as a yield adjustment reclassified to investment securities         
 interest income (a)  15   (6)   9
Less: Net gains (losses) realized on sales of securities reclassified to noninterest income (a)  32   (12)   20
Net unrealized gains (losses) on cash flow hedge derivatives  6   (2)   4
Balance at June 30, 2012  1,047   (383)   664
          
Balance at March 31, 2013  804   (294)   510
Second Quarter 2013 activity        
Increase in net unrealized gains (losses) on cash flow hedge derivatives  (193)   71   (122)
Less: Net gains (losses) realized as a yield adjustment reclassified to loan interest income (a)  66   (24)   42
Less: Net gains (losses) realized as a yield adjustment reclassified to investment securities         
 interest income (a)  14   (5)   9
Less: Net gains (losses) realized on sales of securities reclassified to noninterest income (a)  8   (3)   5
Net unrealized gains (losses) on cash flow hedge derivatives  (281)   103   (178)
Balance at June 30, 2013$ 523 $ (191) $ 332

In millions Pretax  Tax  After-tax 
Pension and other postretirement benefit plan adjustments         
Balance at March 31, 2012$ (1,143) $ 419 $ (724) 
Second Quarter 2012 activity         
Net pension and other postretirement benefit plan activity  18   (7)   11 
Amortization of actuarial loss (gain) reclassified to other noninterest expense  24   (9)   15 
Amortization of prior service cost (credit) reclassified to other noninterest expense  (3)   1   (2) 
 Total First Quarter 2012 activity  39   (15)   24 
Balance at June 30, 2012  (1,104)   404   (700) 
           
Balance at March 31, 2013  (1,180)   432   (748) 
Second Quarter 2013 activity         
Net pension and other postretirement benefit plan activity  (14)   5   (9) 
Amortization of actuarial loss (gain) reclassified to other noninterest expense  24   (9)   15 
Amortization of prior service cost (credit) reclassified to other noninterest expense  (3)   1   (2) 
 Total Second Quarter 2013 activity  7   (3)   4 
Balance at June 30, 2013$ (1,173) $ 429 $ (744) 
Other          
Balance at March 31, 2012$ (39) $ 19 $ (20) 
Second Quarter 2012 Activity         
BlackRock gains (losses)   (27)   17   (10) 
Net investment hedge derivatives (b)  12   (4)   8 
Foreign currency translation adjustments  (15)   5   (10) 
 Total Second Quarter 2012 activity  (30)   18   (12) 
Balance at June 30, 2012  (69)   37   (32) 
          
Balance at March 31, 2013  (47)   16   (31) 
Second Quarter 2013 Activity         
BlackRock gains (losses)   (7)   (6)   (13) 
Net investment hedge derivatives (b)  (1)      (1) 
Foreign currency translation adjustments  1      1 
 Total Second Quarter 2013 activity  (7)   (6)   (13) 
Balance at June 30, 2013$ (54) $ 10 $ (44) 
(a)Cash flow hedge derivatives are interest rate contract derivatives designated as hedging instruments under GAAP.  
(b)Net investment hedge derivatives are foreign exchange contracts designated as hedging instruments under GAAP. 

         
In millions Pretax  Tax  After-tax
Net unrealized gains (losses) on non-OTTI securities        
Balance at December 31, 2011$ 1,098 $ (402) $ 696
2012 activity        
Increase in net unrealized gains (losses) on non-OTTI securities  481   (177)   304
Less: Net gains (losses) realized as a yield adjustment reclassified to investment         
securities in interest income  19   (7)   12
Less: Net gains (losses) realized on sale of securities reclassified to noninterest income  66   (24)   42
Net unrealized gains (losses) on non-OTTI securities  396   (146)   250
Balance at June 30, 2012  1,494   (548)   946
         
Balance at December 31, 2012  1,858   (681)   1,177
2013 activity        
Increase in net unrealized gains (losses) on non-OTTI securities  (886)   321   (565)
Less: Net gains (losses) realized as a yield adjustment reclassified to investment         
securities in interest income  25   (9)   16
Less: Net gains (losses) realized on sale of securities reclassified to noninterest income  52   (19)   33
Net unrealized gains (losses) on non-OTTI securities  (963)   349   (614)
Balance at June 30, 2013$ 895 $ (332) $ 563
Net unrealized gains (losses) on OTTI securities        
Balance at December 31, 2011$ (1,166) $ 428 $ (738)
2012 activity        
Increase in net unrealized gains (losses) on OTTI securities  336   (123)   213
Less: Net gains (losses) realized on sales of securities reclassified to noninterest income  (6)   2   (4)
Less: OTTI losses realized on securities reclassified to noninterest income  (72)   27   (45)
Net unrealized gains (losses) on OTTI securities  414   (152)   262
Balance at June 30, 2012  (752)   276   (476)
         
Balance at December 31, 2012  (195)   72   (123)
2013 activity        
Increase in net unrealized gains (losses) on OTTI securities  82   (30)   52
Less: OTTI losses realized on securities reclassified to noninterest income  (14)   5   (9)
Net unrealized gains (losses) on OTTI securities  96   (35)   61
Balance at June 30, 2013$ (99) $37 $ (62)
Net unrealized gains (losses) on cash flow hedge derivatives        
Balance at December 31, 2011$ 1,131 $ (414) $ 717
2012 activity        
Increase in net unrealized gains (losses) on cash flow hedge derivatives  207   (76)   131
Less: Net gains (losses) realized as a yield adjustment reclassified to loan interest income (a)  201   (74)   127
Less: Net gains (losses) realized as a yield adjustment reclassified to investment securities        
interest income (a)  31   (11)   20
Less: Net gains (losses) realized on sales of securities reclassified to noninterest income (a)  59   (22)   37
Net unrealized gains (losses) on cash flow hedge derivatives  (84)   31   (53)
Balance at June 30, 2012  1,047   (383)   664
         
Balance at December 31, 2012  911   (333)   578
2013 activity        
Increase in net unrealized gains (losses) on cash flow hedge derivatives  (179)   66   (113)
Less: Net gains (losses) realized as a yield adjustment reclassified to loan interest income (a)  153   (56)   97
Less: Net gains (losses) realized as a yield adjustment reclassified to investment securities        
interest income (a)  33   (12)   21
Less: Net gains (losses) realized on sales of securities reclassified to noninterest income (a)  23   (8)   15
Net unrealized gains (losses) on cash flow hedge derivatives  (388)   142   (246)
Balance at June 30, 2013$ 523 $ (191) $ 332

In millions Pretax  Tax  After-tax
Pension and other postretirement benefit plan adjustments        
Balance at December 31, 2011$ (1,191) $ 436 $ (755)
2012 Activity        
Net pension and other postretirement benefit plan activity  45   (16)   29
Amortization of actuarial loss (gain) reclassified to other noninterest expense  48   (18)   30
Amortization of prior service cost (credit) reclassified to other noninterest expense  (6)   2   (4)
 Total 2012 activity  87   (32)   55
Balance at June 30, 2012  (1,104)   404   (700)
          
Balance at December 31, 2012  (1,226)   449   (777)
2013 Activity        
Net pension and other postretirement benefit plan activity  11   (4)   7
Amortization of actuarial loss (gain) reclassified to other noninterest expense  48   (18)   30
Amortization of prior service cost (credit) reclassified to other noninterest expense  (6)   2   (4)
 Total 2013 Activity  53   (20)   33
Balance at June 30, 2013$ (1,173) $ 429 $ (744)
Other        
Balance at December 31, 2011$ (51) $ 26 $ (25)
2012 Activity        
BlackRock gains (losses)  (20)   12   (8)
Foreign currency translation adjustments  2   (1)   1
 Total 2012 activity  (18)   11   (7)
 Balance at June 30, 2012 (69)   37   (32)
          
Balance at December 31, 2012  (41)   20   (21)
2013 Activity        
BlackRock gains (losses)  (11)   (11)   (22)
Net investment hedge derivatives (b)  56   (21)   35
Foreign currency translation adjustments  (58)   22   (36)
 Total 2013 activity  (13)   (10)   (23)
Balance at June 30, 2013$ (54) $ 10 $ (44)
(a)Cash flow hedge derivatives are interest rate contract derivatives designated as hedging instruments under GAAP.
(b)Net investment hedge derivatives are foreign exchange contracts designated as hedging instruments under GAAP.
Accumulated Other Comprehensive Income (Loss) Components
Table 125: Accumulated Other Comprehensive Income (Loss) Components 
                
  June 30, 2013  December 31, 2012 
In millions Pretax After-tax  Pretax After-tax 
Net unrealized gains (losses) on non-OTTI securities $ 895 $ 563  $ 1,858 $ 1,177 
Net unrealized gains (losses) on OTTI securities   (99)   (62)    (195)   (123) 
Net unrealized gains (losses) on cash flow hedge derivatives    523   332    911   578 
Pension and other postretirement benefit plan adjustments   (1,173)   (744)    (1,226)   (777) 
Other   (54)   (44)    (41)   (21) 
Accumulated other comprehensive income (loss) $ 92 $ 45  $ 1,307 $ 834