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Fair Value Measurements - Carrying Value and Estimated Fair Value of Financial Instruments (Detail) - USD ($)
$ in Millions
Sep. 30, 2015
Dec. 31, 2014
Fair Value Of Other Financial Instrument [Line Items]    
Derivatives $ 5,579 $ 7,258
Derivatives 7,193 8,413
Level 1 [Member]    
Fair Value Of Other Financial Instrument [Line Items]    
Short-term financial assets 914 891
Federal funds sold and securities purchased under resale agreements 0 0
Non-derivative trading assets 2,869 2,675
Derivatives 6 10
Securities 19,523 22,048
Commercial loans, net of allowance for credit losses 0 0
Consumer loans, net of allowance for credit losses 0 0
Short-term financial liabilities 0 0
Deposits designated under fair value option 0 0
Non-derivative trading liabilities 671 653
Derivatives 14 8
Short-term borrowings designated under fair value option 0  
Long-term debt 0 0
Long-term debt designated under fair value option 0 0
Level 1 [Member] | Commercial Loans [Member]    
Fair Value Of Other Financial Instrument [Line Items]    
Commercial loans designated under fair value option and held for sale 0 0
Loans held for sale 0 0
Level 1 [Member] | Consumer Loans [Member] | Residential Mortgage [Member]    
Fair Value Of Other Financial Instrument [Line Items]    
Loans held for sale 0 0
Level 1 [Member] | Consumer Loans [Member] | Other consumer [Member]    
Fair Value Of Other Financial Instrument [Line Items]    
Loans held for sale 0 0
Level 1 [Member] | Deposits Without Fixed Maturities [Member]    
Fair Value Of Other Financial Instrument [Line Items]    
Deposits 0 0
Level 1 [Member] | Deposits With Fixed Maturities [Member]    
Fair Value Of Other Financial Instrument [Line Items]    
Deposits 0 0
Level 2 [Member]    
Fair Value Of Other Financial Instrument [Line Items]    
Short-term financial assets 22,300 30,807
Federal funds sold and securities purchased under resale agreements 20,423 1,413
Non-derivative trading assets 5,553 9,722
Derivatives 5,552 7,200
Securities 31,181 21,787
Commercial loans, net of allowance for credit losses 0 0
Consumer loans, net of allowance for credit losses 0 0
Short-term financial liabilities 6,899 12,813
Deposits designated under fair value option 4,731 5,378
Non-derivative trading liabilities 46 52
Derivatives 7,159 8,376
Short-term borrowings designated under fair value option 2,064  
Long-term debt 24,987 19,524
Long-term debt designated under fair value option 7,889 8,144
Level 2 [Member] | Commercial Loans [Member]    
Fair Value Of Other Financial Instrument [Line Items]    
Commercial loans designated under fair value option and held for sale 175 384
Loans held for sale 94 144
Level 2 [Member] | Consumer Loans [Member] | Residential Mortgage [Member]    
Fair Value Of Other Financial Instrument [Line Items]    
Loans held for sale 13 14
Level 2 [Member] | Consumer Loans [Member] | Other consumer [Member]    
Fair Value Of Other Financial Instrument [Line Items]    
Loans held for sale 0 0
Level 2 [Member] | Deposits Without Fixed Maturities [Member]    
Fair Value Of Other Financial Instrument [Line Items]    
Deposits 112,907 105,962
Level 2 [Member] | Deposits With Fixed Maturities [Member]    
Fair Value Of Other Financial Instrument [Line Items]    
Deposits 12,051 2,813
Level 3 [Member]    
Fair Value Of Other Financial Instrument [Line Items]    
Short-term financial assets 29 48
Federal funds sold and securities purchased under resale agreements 0 0
Non-derivative trading assets 3,095 3,093
Derivatives 21 48
Securities 0 0
Commercial loans, net of allowance for credit losses 66,259 58,891
Consumer loans, net of allowance for credit losses 18,921 17,896
Short-term financial liabilities 29 48
Deposits designated under fair value option 1,754 1,968
Non-derivative trading liabilities 0 0
Derivatives 20 29
Short-term borrowings designated under fair value option 0  
Long-term debt 0 0
Long-term debt designated under fair value option 745 647
Level 3 [Member] | Commercial Loans [Member]    
Fair Value Of Other Financial Instrument [Line Items]    
Commercial loans designated under fair value option and held for sale 0 0
Loans held for sale 0 0
Level 3 [Member] | Consumer Loans [Member] | Residential Mortgage [Member]    
Fair Value Of Other Financial Instrument [Line Items]    
Loans held for sale 3 5
Level 3 [Member] | Consumer Loans [Member] | Other consumer [Member]    
Fair Value Of Other Financial Instrument [Line Items]    
Loans held for sale 83 66
Level 3 [Member] | Deposits Without Fixed Maturities [Member]    
Fair Value Of Other Financial Instrument [Line Items]    
Deposits 0 0
Level 3 [Member] | Deposits With Fixed Maturities [Member]    
Fair Value Of Other Financial Instrument [Line Items]    
Deposits 0 0
Carrying Value [Member]    
Fair Value Of Other Financial Instrument [Line Items]    
Short-term financial assets 23,243 31,746
Federal funds sold and securities purchased under resale agreements 20,423 1,413
Non-derivative trading assets 11,517 15,490
Derivatives 5,579 7,258
Securities 50,416 43,609
Commercial loans, net of allowance for credit losses 64,218 57,595
Consumer loans, net of allowance for credit losses 20,046 19,466
Short-term financial liabilities 6,928 12,861
Deposits designated under fair value option 6,485 7,346
Non-derivative trading liabilities 717 705
Derivatives 7,193 8,413
Short-term borrowings designated under fair value option 2,064  
Long-term debt 24,384 18,733
Long-term debt designated under fair value option 8,634 8,791
Carrying Value [Member] | Commercial Loans [Member]    
Fair Value Of Other Financial Instrument [Line Items]    
Commercial loans designated under fair value option and held for sale 175 384
Loans held for sale 94 144
Carrying Value [Member] | Consumer Loans [Member] | Residential Mortgage [Member]    
Fair Value Of Other Financial Instrument [Line Items]    
Loans held for sale 16 18
Carrying Value [Member] | Consumer Loans [Member] | Other consumer [Member]    
Fair Value Of Other Financial Instrument [Line Items]    
Loans held for sale 83 66
Carrying Value [Member] | Deposits Without Fixed Maturities [Member]    
Fair Value Of Other Financial Instrument [Line Items]    
Deposits 112,907 105,962
Carrying Value [Member] | Deposits With Fixed Maturities [Member]    
Fair Value Of Other Financial Instrument [Line Items]    
Deposits 12,058 2,810
Estimate of fair value [Member]    
Fair Value Of Other Financial Instrument [Line Items]    
Short-term financial assets 23,243 31,746
Federal funds sold and securities purchased under resale agreements 20,423 1,413
Non-derivative trading assets 11,517 15,490
Derivatives 5,579 7,258
Securities 50,704 43,835
Commercial loans, net of allowance for credit losses 66,259 58,891
Consumer loans, net of allowance for credit losses 18,921 17,896
Short-term financial liabilities 6,928 12,861
Deposits designated under fair value option 6,485 7,346
Non-derivative trading liabilities 717 705
Derivatives 7,193 8,413
Short-term borrowings designated under fair value option 2,064  
Long-term debt 24,987 19,524
Long-term debt designated under fair value option 8,634 8,791
Estimate of fair value [Member] | Commercial Loans [Member]    
Fair Value Of Other Financial Instrument [Line Items]    
Commercial loans designated under fair value option and held for sale 175 384
Loans held for sale 94 144
Estimate of fair value [Member] | Consumer Loans [Member] | Residential Mortgage [Member]    
Fair Value Of Other Financial Instrument [Line Items]    
Loans held for sale 16 19
Estimate of fair value [Member] | Consumer Loans [Member] | Other consumer [Member]    
Fair Value Of Other Financial Instrument [Line Items]    
Loans held for sale 83 66
Estimate of fair value [Member] | Deposits Without Fixed Maturities [Member]    
Fair Value Of Other Financial Instrument [Line Items]    
Deposits 112,907 105,962
Estimate of fair value [Member] | Deposits With Fixed Maturities [Member]    
Fair Value Of Other Financial Instrument [Line Items]    
Deposits $ 12,051 $ 2,813