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Securities (Tables)
6 Months Ended
Jun. 30, 2023
Investments, Debt and Equity Securities [Abstract]  
Amortized Cost and Fair Value of the Securities Available-for-Sale and Held-to-Maturity
Our securities available-for-sale and securities held-to-maturity portfolios consisted of the following:
June 30, 2023Amortized
Cost
Allowance for Credit LossesUnrealized
Gains
Unrealized
Losses
Fair
Value
 (in millions)
Securities available-for-sale:
U.S. Treasury$7,370 $ $38 $(188)$7,220 
U.S. Government sponsored enterprises:
Mortgage-backed securities6,291   (983)5,308 
Collateralized mortgage obligations1,490   (314)1,176 
Direct agency obligations1,737  1 (57)1,681 
U.S. Government agency issued or guaranteed:
Mortgage-backed securities7,179   (721)6,458 
Collateralized mortgage obligations3,008   (560)2,448 
Direct agency obligations213  4 (4)213 
Asset-backed securities collateralized by:
Home equity14   (1)13 
Other104   (12)92 
Foreign debt securities(1)
1,655  1 (6)1,650 
Total available-for-sale securities$29,061 $ $44 $(2,846)$26,259 
Securities held-to-maturity:
U.S. Treasury$1,897 $ $ $(38)$1,859 
U.S. Government sponsored enterprises:
Mortgage-backed securities1,104   (81)1,023 
Collateralized mortgage obligations326  2 (19)309 
U.S. Government agency issued or guaranteed:
Mortgage-backed securities8,217  1 (252)7,966 
Collateralized mortgage obligations1,879   (169)1,710 
Obligations of U.S. states and political subdivisions4    4 
Asset-backed securities collateralized by residential mortgages1    1 
Total held-to-maturity securities$13,428 $ $3 $(559)$12,872 
December 31, 2022Amortized
Cost
Allowance for Credit LossesUnrealized
Gains
Unrealized
Losses
Fair
Value
 (in millions)
Securities available-for-sale:
U.S. Treasury$7,662 $— $32 $(242)$7,452 
U.S. Government sponsored enterprises:
Mortgage-backed securities6,537 — — (1,024)5,513 
Collateralized mortgage obligations1,549 — — (323)1,226 
Direct agency obligations1,807 — (71)1,737 
U.S. Government agency issued or guaranteed:
Mortgage-backed securities7,477 — — (772)6,705 
Collateralized mortgage obligations3,163 — — (567)2,596 
Direct agency obligations165 — (4)162 
Asset-backed securities collateralized by:
Home equity16 — — (1)15 
Other105 — — (12)93 
Foreign debt securities(1)
1,854 — (9)1,846 
Total available-for-sale securities$30,335 $— $35 $(3,025)$27,345 
Securities held-to-maturity:
U.S. Treasury$873 $— $— $(15)$858 
U.S. Government sponsored enterprises:
Mortgage-backed securities$1,146 $— $— $(80)$1,066 
Collateralized mortgage obligations358 — (19)342 
U.S. Government agency issued or guaranteed:
Mortgage-backed securities2,895 — — (177)2,718 
Collateralized mortgage obligations2,039 — — (167)1,872 
Obligations of U.S. states and political subdivisions— — — 
Asset-backed securities collateralized by residential mortgages— — — 
Total held-to-maturity securities$7,317 $— $$(458)$6,862 
(1)Foreign debt securities represent public sector entity, bank or corporate debt.
Gross Unrealized Losses and Related Fair Value The following table summarizes gross unrealized losses and related fair values for securities available-for-sale by major security type at June 30, 2023 and December 31, 2022 classified as to the length of time the losses have existed:
 One Year or LessGreater Than One Year
Number
of
Securities
Gross
Unrealized
Losses
Aggregate
Fair Value
of Investment
Number
of
Securities
Gross
Unrealized
Losses
Aggregate
Fair Value
of Investment
 (dollars are in millions)
At June 30, 2023
U.S. Treasury2 $(2)$276 40 $(186)$4,799 
U.S. Government sponsored enterprises9 (3)434 296 (1,351)7,624 
U.S. Government agency issued or guaranteed19 (1)17 139 (1,284)8,990 
Asset-backed securities   6 (13)105 
Foreign debt securities7  886 4 (6)180 
Securities available-for-sale37 $(6)$1,613 485 $(2,840)$21,698 
At December 31, 2022
U.S. Treasury22 $(105)$2,800 19 $(137)$2,013 
U.S. Government sponsored enterprises233 (316)3,270 79 (1,102)4,959 
U.S. Government agency issued or guaranteed107 (534)4,547 55 (809)4,856 
Asset-backed securities(1)14 (12)92 
Foreign debt securities(1)337 (8)286 
Securities available-for-sale369 $(957)$10,968 159 $(2,068)$12,206 
Realized Gains and Losses on Investment Securities Transactions Attributable to Available-for-Sale Securities The following table summarizes realized gains and losses on investment securities transactions attributable to available-for-sale securities:
Three Months Ended June 30,Six Months Ended June 30,
2023202220232022
 (in millions)
Gross realized gains$ $10 $3 $30 
Gross realized losses (1) (1)
Net realized gains$ $$3 $29 
Distribution of Maturities of Debt Securities with the Approximate Yield of the Portfolio The table below also reflects the distribution of maturities of debt securities held at June 30, 2023, together with the approximate yield of the portfolio. The yields shown are calculated by dividing annualized interest income, including the accretion of discounts and the amortization of premiums, by the amortized cost of securities outstanding at June 30, 2023.
 Within
One Year
After One
But Within
Five Years
After Five
But Within
Ten Years
After Ten
Years
AmountYieldAmountYieldAmountYieldAmountYield
 (dollars are in millions)
Available-for-sale:
U.S. Treasury$— — %$3,814 1.65 %$615 1.56 %$2,941 2.71 %
U.S. Government sponsored enterprises
244 .98 1,629 1.96 1,379 2.24 6,266 1.75 
U.S. Government agency issued or guaranteed
— — 68 3.21 5.55 10,331 2.59 
Asset-backed securities— — — — 104 4.15 14 5.38 
Foreign debt securities1,036 (.04)619 3.94 — — — — 
Total amortized cost$1,280 .16 %$6,130 1.98 %$2,099 2.14 %$19,552 2.34 %
Total fair value$1,269 $5,984 $1,984 $17,022 
Held-to-maturity:
U.S. Treasury$— — %$721 3.74 %$1,176 3.72 %$— — %
U.S. Government sponsored enterprises
— — 90 2.39 863 3.31 477 3.11 
U.S. Government agency issued or guaranteed
— — 8.32 6.52 10,088 4.23 
Obligations of U.S. states and political subdivisions
3.48 4.23 — — — — 
Asset-backed securities— — — — — — 7.74 
Total amortized cost$3.48 %$815 3.60 %$2,046 3.56 %$10,566 4.18 %
Total fair value$$797 $1,964 $10,110 
Equity Securities Not Classified as Trading Equity securities that are not classified as trading and are included in other assets consisted of the following:
June 30, 2023December 31, 2022
 (in millions)
Equity securities carried at fair value$267 $267 
Equity securities without readily determinable fair values15 15