XML 104 R88.htm IDEA: XBRL DOCUMENT v3.23.1
Fair Value Disclosures - Assets and Liabilities Measured on a Recurring Basis (Details) - USD ($)
$ in Millions
Mar. 31, 2023
Dec. 31, 2022
Assets    
Trading assets $ 4,601 $ 4,905
AFS securities at fair value 71,858 71,801
Loans Held for Sale, Fair Value 1,911 1,065
Loans and leases 17 18
Loan servicing rights at fair value 3,303 3,758
Derivative Asset, Net 692 684
Derivative Asset, Gross 2,454 2,453
Derivative Asset, Fair Value, Gross Liability and Obligation to Return Cash, Offset (1,762) (1,769)
Equity securities 857 898
Total assets 83,239 83,129
Liabilities    
Derivative liabilities 2,589 2,971
Derivative Liability, Gross 4,396 4,749
Amount Offset 1,807 1,778
Financial Instruments Sold, Not yet Purchased, at Fair Value 1,789 1,551
Total liabilities 4,378 4,522
Level 1    
Assets    
Trading assets 260 261
AFS securities at fair value 0 0
Loans Held for Sale, Fair Value 0 0
Loans and leases 0 0
Loan servicing rights at fair value 0 0
Derivative Asset, Gross 625 472
Equity securities 757 796
Total assets 1,642 1,529
Liabilities    
Derivative Liability, Gross 394 364
Financial Instruments Sold, Not yet Purchased, at Fair Value 113 114
Total liabilities 507 478
Level 2    
Assets    
Trading assets 4,341 4,644
AFS securities at fair value 71,858 71,801
Loans Held for Sale, Fair Value 1,911 1,065
Loans and leases 0 0
Loan servicing rights at fair value 0 0
Derivative Asset, Gross 1,816 1,980
Equity securities 100 102
Total assets 80,026 79,592
Liabilities    
Derivative Liability, Gross 3,971 4,348
Financial Instruments Sold, Not yet Purchased, at Fair Value 1,676 1,437
Total liabilities 5,647 5,785
Level 3    
Assets    
Trading assets 0 0
AFS securities at fair value 0 0
Loans Held for Sale, Fair Value 0 0
Loans and leases 17 18
Loan servicing rights at fair value 3,303 3,758
Derivative Asset, Gross 13 1
Equity securities 0 0
Total assets 3,333 3,777
Liabilities    
Derivative Liability, Gross 31 37
Financial Instruments Sold, Not yet Purchased, at Fair Value 0 0
Total liabilities 31 37
U.S. Treasury    
Assets    
Trading assets 120 137
AFS securities at fair value 10,441 10,295
U.S. Treasury | Level 1    
Assets    
Trading assets 0 0
AFS securities at fair value 0 0
U.S. Treasury | Level 2    
Assets    
Trading assets 120 137
AFS securities at fair value 10,441 10,295
U.S. Treasury | Level 3    
Assets    
Trading assets 0 0
AFS securities at fair value 0 0
GSE    
Assets    
Trading assets 112 457
AFS securities at fair value 301 303
GSE | Level 1    
Assets    
Trading assets 0 0
AFS securities at fair value 0 0
GSE | Level 2    
Assets    
Trading assets 112 457
AFS securities at fair value 301 303
GSE | Level 3    
Assets    
Trading assets 0 0
AFS securities at fair value 0 0
Agency MBS - residential    
Assets    
Trading assets 797 804
AFS securities at fair value 55,175 55,225
Agency MBS - residential | Level 1    
Assets    
Trading assets 0 0
AFS securities at fair value 0 0
Agency MBS - residential | Level 2    
Assets    
Trading assets 797 804
AFS securities at fair value 55,175 55,225
Agency MBS - residential | Level 3    
Assets    
Trading assets 0 0
AFS securities at fair value 0 0
Agency MBS - commercial    
Assets    
Trading assets   62
AFS securities at fair value 2,398 2,424
Agency MBS - commercial | Level 1    
Assets    
Trading assets   0
AFS securities at fair value 0 0
Agency MBS - commercial | Level 2    
Assets    
Trading assets   62
AFS securities at fair value 2,398 2,424
Agency MBS - commercial | Level 3    
Assets    
Trading assets   0
AFS securities at fair value 0 0
States and political subdivisions    
Assets    
Trading assets 293 422
AFS securities at fair value 425 416
States and political subdivisions | Level 1    
Assets    
Trading assets 0 0
AFS securities at fair value 0 0
States and political subdivisions | Level 2    
Assets    
Trading assets 293 422
AFS securities at fair value 425 416
States and political subdivisions | Level 3    
Assets    
Trading assets 0 0
AFS securities at fair value 0 0
Corporate and other debt securities    
Assets    
Trading assets 1,118 761
Corporate and other debt securities | Level 1    
Assets    
Trading assets 0 0
Corporate and other debt securities | Level 2    
Assets    
Trading assets 1,118 761
Corporate and other debt securities | Level 3    
Assets    
Trading assets 0 0
Loans    
Assets    
Trading assets 1,869 1,960
Loans | Level 1    
Assets    
Trading assets 0 0
Loans | Level 2    
Assets    
Trading assets 1,869 1,960
Loans | Level 3    
Assets    
Trading assets 0 0
Other    
Assets    
Trading assets 292 302
AFS securities at fair value 20 21
Other | Level 1    
Assets    
Trading assets 260 261
AFS securities at fair value 0 0
Other | Level 2    
Assets    
Trading assets 32 41
AFS securities at fair value 20 21
Other | Level 3    
Assets    
Trading assets 0 0
AFS securities at fair value 0 0
Non-agency MBS    
Assets    
AFS securities at fair value 3,098 3,117
Non-agency MBS | Level 1    
Assets    
AFS securities at fair value 0 0
Non-agency MBS | Level 2    
Assets    
AFS securities at fair value 3,098 3,117
Fair Value, Concentration of Credit Risk, Master Netting Arrangements    
Assets    
Derivative Asset, Fair Value, Gross Liability and Obligation to Return Cash, Offset [1] (1,762) (1,769)
Liabilities    
Amount Offset [1] $ (1,807) $ (1,778)
[1] Refer to “Note 16. Derivative Financial Instruments” for additional discussion on netting adjustments.