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Basis of Presentation (Tables)
6 Months Ended
Jun. 30, 2016
Organization, Consolidation and Presentation of Financial Statements [Abstract]  
Schedule of effects of the change in presentation
The table below shows the effect of the change in presentation on the Corporation’s consolidated balance sheets and statements of cash flows for the periods presented.

Table 29: Change in Presentation

Consolidated Balance Sheets
 
December 31, 2015
(In Millions)
 
Previously Reported
 
Adjustment
 
Revised
Cash and Due from Banks
 
$
6,444.6

 
$
(26.1
)
 
$
6,418.5

Federal Reserve Deposits
 
16,398.5

 
(16,398.5
)
 

Federal Reserve and Other Central Bank Deposits
 

 
23,695.5

 
23,695.5

Interest-Bearing Deposits with Banks
 
14,143.1

 
(7,270.9
)
 
6,872.2


Consolidated Statements of Cash Flows
 
Six Months Ended June 30, 2015
(In Millions)
 
Previously Reported
 
Adjustment
 
Revised
Change in Interest-Bearing Deposits with Banks
 
$
(1,036.1
)
 
$
(1,965.3
)
 
$
(3,001.4
)
Net Change in Federal Reserve Deposits
 
(102.4
)
 
102.4

 

Net Change in Federal Reserve and Other Central Bank Deposits
 

 
1,855.1

 
1,855.1

Net Cash Used in Investing Activities
 
(7,660.7
)
 
(7.8
)
 
(7,668.5
)
Effect of Foreign Currency Exchange Rates on Cash
 
5.9

 
0.7

 
6.6

Increase in Cash and Due from Banks
 
4,102.3

 
(7.1
)
 
4,095.2

Cash and Due from Banks at Beginning of Year
 
3,050.6

 
(29.6
)
 
3,021.0

Cash and Due from Banks at End of Period
 
7,152.9

 
(36.7
)
 
7,116.2