XML 97 R78.htm IDEA: XBRL DOCUMENT v3.19.2
Fair Value Disclosures - Assets and Liabilities Measured on a Recurring Basis (Details) - USD ($)
$ in Millions
Jun. 30, 2019
Dec. 31, 2018
Assets    
AFS securities $ 25,802 $ 25,038
LHFS at fair value 1,237 988
MSRs 970 1,108
Trading and equity securities 1,848 767
Derivative Asset, Net 498 146
Derivative Asset, Gross 656 246
Private equity investments 449 393
Total assets 30,804 28,540
Liabilities    
Derivative Liability, net 35 118
Derivative Liability, Gross 167 247
Securities sold short 188 145
Total liabilities 223 392
Level 1    
Assets    
AFS securities 0 0
LHFS at fair value 0 0
MSRs 0 0
Trading and equity securities 413 374
Derivative Asset, Net 0  
Derivative Asset, Gross   0
Private equity investments 0 0
Total assets 413 374
Liabilities    
Derivative Liability, net 0  
Derivative Liability, Gross   1
Securities sold short 0 0
Total liabilities 0 1
Level 2    
Assets    
AFS securities 25,420 24,647
LHFS at fair value 1,237 988
MSRs 0 0
Trading and equity securities 1,435 390
Derivative Asset, Net 638  
Derivative Asset, Gross   234
Private equity investments 0 0
Total assets 28,730 26,259
Liabilities    
Derivative Liability, net 156  
Derivative Liability, Gross   246
Securities sold short 188 145
Total liabilities 344 391
Level 3    
Assets    
AFS securities 382 391
LHFS at fair value 0 0
MSRs 970 1,108
Trading and equity securities 0 3
Derivative Asset, Net 18  
Derivative Asset, Gross   12
Private equity investments 449 393
Total assets 1,819 1,907
Liabilities    
Derivative Liability, net 11  
Derivative Liability, Gross   0
Securities sold short 0 0
Total liabilities 11 0
U.S. Treasury    
Assets    
AFS securities 1,112 3,441
U.S. Treasury | Level 1    
Assets    
AFS securities 0 0
U.S. Treasury | Level 2    
Assets    
AFS securities 1,112 3,441
U.S. Treasury | Level 3    
Assets    
AFS securities 0 0
GSE    
Assets    
AFS securities 247 200
GSE | Level 1    
Assets    
AFS securities 0 0
GSE | Level 2    
Assets    
AFS securities 247 200
GSE | Level 3    
Assets    
AFS securities 0 0
Agency MBS    
Assets    
AFS securities 23,441 20,155
Agency MBS | Level 1    
Assets    
AFS securities 0 0
Agency MBS | Level 2    
Assets    
AFS securities 23,441 20,155
Agency MBS | Level 3    
Assets    
AFS securities 0 0
States and political subdivisions    
Assets    
AFS securities 587 701
States and political subdivisions | Level 1    
Assets    
AFS securities 0 0
States and political subdivisions | Level 2    
Assets    
AFS securities 587 701
States and political subdivisions | Level 3    
Assets    
AFS securities 0 0
Non-agency MBS    
Assets    
AFS securities 382 505
Non-agency MBS | Level 1    
Assets    
AFS securities 0 0
Non-agency MBS | Level 2    
Assets    
AFS securities 0 114
Non-agency MBS | Level 3    
Assets    
AFS securities 382 391
Other    
Assets    
AFS securities 33 36
Other | Level 1    
Assets    
AFS securities 0 0
Other | Level 2    
Assets    
AFS securities 33 36
Other | Level 3    
Assets    
AFS securities 0 0
Fair Value, Concentration of Credit Risk, Master Netting Arrangements    
Assets    
Derivative Asset, Net [1] (158)  
Derivative Asset, Gross [1]   0
Total assets [1] (158) 0
Liabilities    
Derivative Liability, net [1] (132)  
Derivative Liability, Gross [1]   0
Total liabilities [1] $ (132) $ 0
[1] Refer to Note 16. Derivative Financial Instruments for additional discussion on netting adjustments.