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Fair Value Measurement - Assets and Liabilities Measured at Fair Value on Recurring Basis (Details) - USD ($)
$ in Millions
Mar. 31, 2025
Dec. 31, 2024
Mar. 31, 2024
Assets:      
Fair Value $ 84,362 $ 83,013  
Loans held for sale $ 285 $ 87  
Derivative Asset, Statement of Financial Position [Extensible Enumeration] Other assets Other assets  
Other assets:      
Derivative assets, gross amount $ 2,255 $ 2,232  
Derivative Asset, netting adjustments (691) (1,056)  
Derivative asset 1,564 1,176  
Liabilities:      
Derivative liabilities, gross amount 2,230 2,032  
Derivative Liability, netting adjustments (427) (304)  
Derivative liability $ 1,803 $ 1,728  
Derivative Liability, Statement of Financial Position [Extensible Enumeration] Other liabilities Other liabilities  
Net valuation allowance $ 3 $ 1  
Level 1      
Assets:      
Loans held for sale 0 0  
Level 2      
Assets:      
Loans held for sale 387 115  
Level 3      
Assets:      
Loans held for sale 14 0  
Recurring      
Assets:      
Fair Value 84,362 83,013  
Loans held for sale 285 87  
Other assets:      
Derivative asset 1,564 1,176  
Other 733 723  
Total 86,944 84,999  
Liabilities:      
Derivative liability 1,803 1,728  
Recurring | Level 1      
Assets:      
Fair Value 6,348 6,233  
Loans held for sale 0 0  
Other assets:      
Derivative assets, gross amount 527 510  
Other 701 689  
Total 7,576 7,432  
Liabilities:      
Derivative liabilities, gross amount 720 384  
Deferred compensation plan assets 701 688  
Recurring | Level 2      
Assets:      
Fair Value 77,869 76,662  
Loans held for sale 285 87  
Other assets:      
Derivative assets, gross amount 1,158 1,039  
Other 0 0  
Total 79,312 77,788  
Liabilities:      
Derivative liabilities, gross amount 1,029 1,034  
Recurring | Level 3      
Assets:      
Fair Value 145 118  
Loans held for sale 0 0  
Other assets:      
Derivative assets, gross amount 570 683 $ 974
Other 32 34  
Total 747 835  
Liabilities:      
Derivative liabilities, gross amount 481 614 $ 920
Retained interests in securitizations 32 34  
Recurring | Fair Value Inputs Level 1 And Level 2      
Liabilities:      
Equity securities   1  
U.S. Treasury securities      
Assets:      
Fair Value 6,221 6,110  
U.S. Treasury securities | Recurring      
Assets:      
Fair Value 6,221 6,110  
U.S. Treasury securities | Recurring | Level 1      
Assets:      
Fair Value 6,221 6,110  
U.S. Treasury securities | Recurring | Level 2      
Assets:      
Fair Value 0 0  
U.S. Treasury securities | Recurring | Level 3      
Assets:      
Fair Value 0 0  
Total RMBS      
Assets:      
Fair Value 66,616 65,328  
Total RMBS | Recurring      
Assets:      
Fair Value 66,616 65,328  
Total RMBS | Recurring | Level 1      
Assets:      
Fair Value 0 0  
Total RMBS | Recurring | Level 2      
Assets:      
Fair Value 66,473 65,212  
Total RMBS | Recurring | Level 3      
Assets:      
Fair Value 143 116  
CMBS | Recurring      
Assets:      
Fair Value 7,974 7,825  
CMBS | Recurring | Level 1      
Assets:      
Fair Value 0 0  
CMBS | Recurring | Level 2      
Assets:      
Fair Value 7,972 7,823  
CMBS | Recurring | Level 3      
Assets:      
Fair Value 2 2  
Other securities      
Assets:      
Fair Value 3,551 3,750  
Other securities | Recurring      
Assets:      
Fair Value 3,551 3,750  
Other securities | Recurring | Level 1      
Assets:      
Fair Value 127 123  
Other securities | Recurring | Level 2      
Assets:      
Fair Value 3,424 3,627  
Other securities | Recurring | Level 3      
Assets:      
Fair Value $ 0 $ 0