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Fair Value Measurements - Carrying Value and Estimated Fair Value of Financial Instruments (Detail) - USD ($)
$ in Millions
Jun. 30, 2018
Dec. 31, 2017
Jun. 30, 2017
Fair Value Of Other Financial Instrument [Line Items]      
Federal funds sold and securities purchased under agreements to resell $ 10,176 $ 32,618  
Securities held-to-maturity 15,152 13,977  
Loans, net of allowance for credit losses 65,868 [1] 71,882 $ 67,215
Loans held for sale 213 715  
Deposits 114,355 [1] 118,702 $ 117,143
Deposits held for sale 130 673  
Long-term debt 31,749 34,966  
Commercial Loans [Member]      
Fair Value Of Other Financial Instrument [Line Items]      
Loans held for sale 126 648  
Consumer Loans [Member]      
Fair Value Of Other Financial Instrument [Line Items]      
Loans held for sale 87 67  
Consumer Loans [Member] | Residential Mortgage [Member]      
Fair Value Of Other Financial Instrument [Line Items]      
Loans held for sale 31 6  
Consumer Loans [Member] | Other consumer [Member]      
Fair Value Of Other Financial Instrument [Line Items]      
Loans held for sale 56 61  
Level 1 [Member]      
Fair Value Of Other Financial Instrument [Line Items]      
Short-term financial assets 1,340 1,115  
Federal funds sold and securities purchased under agreements to resell 0 0  
Securities held-to-maturity 0 0  
Short-term financial liabilities 0 0  
Deposits held for sale 0 0  
Long-term debt 0 0  
Level 1 [Member] | Commercial Loans [Member]      
Fair Value Of Other Financial Instrument [Line Items]      
Loans, net of allowance for credit losses 0 0  
Loans held for sale 0 0  
Level 1 [Member] | Consumer Loans [Member]      
Fair Value Of Other Financial Instrument [Line Items]      
Loans, net of allowance for credit losses 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 22,078 11,157  
Federal funds sold and securities purchased under agreements to resell 9,781 32,538  
Securities held-to-maturity 14,805 13,902  
Short-term financial liabilities 5,077 2,635  
Deposits held for sale 130 673  
Long-term debt 19,676 22,717  
Level 2 [Member] | Commercial Loans [Member]      
Fair Value Of Other Financial Instrument [Line Items]      
Loans, net of allowance for credit losses 0 0  
Loans held for sale 36 177  
Level 2 [Member] | Consumer Loans [Member]      
Fair Value Of Other Financial Instrument [Line Items]      
Loans, net of allowance for credit losses 0 0  
Level 2 [Member] | Consumer Loans [Member] | Residential Mortgage [Member]      
Fair Value Of Other Financial Instrument [Line Items]      
Loans held for sale 30 5  
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 95,321 100,502  
Level 2 [Member] | Deposits With Fixed Maturities [Member]      
Fair Value Of Other Financial Instrument [Line Items]      
Deposits 11,153 9,782  
Level 3 [Member]      
Fair Value Of Other Financial Instrument [Line Items]      
Short-term financial assets 26 32  
Federal funds sold and securities purchased under agreements to resell 0 0  
Securities held-to-maturity 0 0  
Short-term financial liabilities 26 32  
Deposits held for sale 0 0  
Long-term debt 0 0  
Level 3 [Member] | Commercial Loans [Member]      
Fair Value Of Other Financial Instrument [Line Items]      
Loans, net of allowance for credit losses 48,041 54,210  
Loans held for sale 0 0  
Level 3 [Member] | Consumer Loans [Member]      
Fair Value Of Other Financial Instrument [Line Items]      
Loans, net of allowance for credit losses 18,661 18,598  
Level 3 [Member] | Consumer Loans [Member] | Residential Mortgage [Member]      
Fair Value Of Other Financial Instrument [Line Items]      
Loans held for sale 1 1  
Level 3 [Member] | Consumer Loans [Member] | Other consumer [Member]      
Fair Value Of Other Financial Instrument [Line Items]      
Loans held for sale 56 61  
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 23,444 12,304  
Federal funds sold and securities purchased under agreements to resell 9,781 32,538  
Securities held-to-maturity 15,152 13,977  
Short-term financial liabilities 5,101 2,650  
Deposits held for sale 130 673  
Long-term debt 19,367 22,080  
Carrying Value [Member] | Commercial Loans [Member]      
Fair Value Of Other Financial Instrument [Line Items]      
Loans, net of allowance for credit losses 46,386 52,427  
Loans held for sale 36 177  
Carrying Value [Member] | Consumer Loans [Member]      
Fair Value Of Other Financial Instrument [Line Items]      
Loans, net of allowance for credit losses 19,482 19,455  
Carrying Value [Member] | Consumer Loans [Member] | Residential Mortgage [Member]      
Fair Value Of Other Financial Instrument [Line Items]      
Loans held for sale 31 6  
Carrying Value [Member] | Consumer Loans [Member] | Other consumer [Member]      
Fair Value Of Other Financial Instrument [Line Items]      
Loans held for sale 56 61  
Carrying Value [Member] | Deposits Without Fixed Maturities [Member]      
Fair Value Of Other Financial Instrument [Line Items]      
Deposits 95,321 100,502  
Carrying Value [Member] | Deposits With Fixed Maturities [Member]      
Fair Value Of Other Financial Instrument [Line Items]      
Deposits 11,202 9,834  
Estimate of fair value [Member]      
Fair Value Of Other Financial Instrument [Line Items]      
Short-term financial assets 23,444 12,304  
Federal funds sold and securities purchased under agreements to resell 9,781 32,538  
Securities held-to-maturity 14,805 13,902  
Short-term financial liabilities 5,103 2,667  
Deposits held for sale 130 673  
Long-term debt 19,676 22,717  
Estimate of fair value [Member] | Commercial Loans [Member]      
Fair Value Of Other Financial Instrument [Line Items]      
Loans, net of allowance for credit losses 48,041 54,210  
Loans held for sale 36 177  
Estimate of fair value [Member] | Consumer Loans [Member]      
Fair Value Of Other Financial Instrument [Line Items]      
Loans, net of allowance for credit losses 18,661 18,598  
Estimate of fair value [Member] | Consumer Loans [Member] | Residential Mortgage [Member]      
Fair Value Of Other Financial Instrument [Line Items]      
Loans held for sale 31 6  
Estimate of fair value [Member] | Consumer Loans [Member] | Other consumer [Member]      
Fair Value Of Other Financial Instrument [Line Items]      
Loans held for sale 56 61  
Estimate of fair value [Member] | Deposits Without Fixed Maturities [Member]      
Fair Value Of Other Financial Instrument [Line Items]      
Deposits 95,321 100,502  
Estimate of fair value [Member] | Deposits With Fixed Maturities [Member]      
Fair Value Of Other Financial Instrument [Line Items]      
Deposits $ 11,153 $ 9,782  
[1] In addition to the changes discussed above, in conjunction with HSBC's adoption of the requirements of IFRS 9 we also adopted changes in presentation under the Group Reporting Basis related to affiliate loans and deposits as well as cash collateral posted and received. Beginning January 1, 2018, affiliate loans have been reclassified from other assets to loans, affiliate deposits have been reclassified from other liabilities to deposits, cash collateral posted has been reclassified from loans to other assets and cash collateral received has been reclassified from deposits to other liabilities. As a result of these changes, total loans, net and total deposits in the GB&M segment increased $0.1 billion and $8.4 billion, respectively, and total loans, net and total deposits in the CC segment decreased $2.3 billion and $1.1 billion, respectively, at June 30, 2018.