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Consolidated Balance Sheet - USD ($)
Jun. 30, 2015
Dec. 31, 2014
Assets    
Cash and due from banks (includes $5 and $6 for VIEs) (a) [1] $ 4,412,000,000 $ 4,360,000,000
Federal funds sold and resale agreements (includes $150 and $155 measured at fair value) (b) [2] 1,971,000,000 1,852,000,000
Trading securities 2,334,000,000 2,353,000,000
Interest-earning deposits with banks (includes $5 and $6 for VIEs) (a) [1] 33,969,000,000 31,779,000,000
Loans held for sale (includes $2,121 and $2,154 measured at fair value) (b) [2] 2,357,000,000 2,262,000,000
Investment securities 61,362,000,000 55,823,000,000
Loans (includes $1,463 and $1,606 for VIEs) (a) (includes $941 and $1,034 measured at fair value) (b) [1],[2] 205,153,000,000 204,817,000,000
Allowance for loan and lease losses (includes $(44) and $(50) for VIEs) (a) [1] (3,272,000,000) (3,331,000,000)
Net loans 201,881,000,000 201,486,000,000
Goodwill 9,103,000,000 9,103,000,000
Mortgage servicing rights 1,558,000,000 1,351,000,000
Other intangible assets 435,000,000 493,000,000
Equity investments (includes $256 and $492 for VIEs) (a) [1] 10,531,000,000 10,728,000,000
Other (includes $440 and $483 for VIEs) (a) (includes $411 and $412 measured at fair value) (b) [1],[2] 24,032,000,000 23,482,000,000
Total assets 353,945,000,000 345,072,000,000
Deposits    
Noninterest-bearing 77,369,000,000 73,479,000,000
Interest-bearing 162,335,000,000 158,755,000,000
Total deposits 239,704,000,000 232,234,000,000
Borrowed funds    
Federal funds purchased and repurchase agreements 2,190,000,000 3,510,000,000
Federal Home Loan Bank Borrowings 22,193,000,000 20,005,000,000
Bank notes and senior debt 18,529,000,000 15,750,000,000
Subordinated debt 9,121,000,000 9,151,000,000
Commercial paper 2,956,000,000 4,995,000,000
Other (includes $311 and $347 for VIEs) (a) (includes $224 and $273 measured at fair value) (b) [1],[2] 3,287,000,000 3,357,000,000
Borrowed funds 58,276,000,000 56,768,000,000
Allowance for unfunded loan commitments and letters of credit 246,000,000 259,000,000
Accrued expenses (includes $63 and $70 for VIEs) (a) [1] 5,031,000,000 5,187,000,000
Other (includes $136 and $206 for VIEs) (a) [1] 4,776,000,000 4,550,000,000
Total liabilities 308,033,000,000 298,998,000,000
Equity    
Preferred stock (c) 0 0
Common stock ($5 par value, authorized 800 shares, issued 542 and 541 shares) 2,708,000,000 2,705,000,000
Capital surplus - preferred stock 3,449,000,000 3,946,000,000
Capital surplus - common stock and other 12,632,000,000 12,627,000,000
Retained earnings 27,609,000,000 26,200,000,000
Accumulated other comprehensive income 379,000,000 503,000,000
Common stock held in treasury at cost: 26 and 18 shares (2,262,000,000) (1,430,000,000)
Total shareholders' equity 44,515,000,000 44,551,000,000
Noncontrolling interests 1,397,000,000 1,523,000,000
Total equity 45,912,000,000 46,074,000,000
Total liabilities and equity $ 353,945,000,000 $ 345,072,000,000
[1] Amounts represent the assets or liabilities of consolidated variable interest entities (VIEs).
[2] Amounts represent items for which we have elected the fair value option.