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Securities - Maturity Distribution and Yield of Investment Securities Portfolio (Details) - USD ($)
$ in Millions
Sep. 30, 2025
Dec. 31, 2024
Securities available-for-sale, Amount:    
Within 1 year $ 5,684  
1-5 years 48,703  
5-10 years 5,608  
After 10 years 2,048  
Fair value $ 99,989 $ 88,031
Securities available-for-sale (Yield):    
Within 1 year 3.45%  
1-5 years 3.20%  
5-10 years 3.09%  
After 10 years 2.95%  
Total 3.59%  
Securities held-to-maturity, Amount:    
Within 1 year $ 4,916  
1-5 years 12,077  
5-10 years 1,075  
After 10 years 44  
Available-for-sale, amount $ 49,539 48,596
Securities held-to-maturity (Yield):    
Within 1 year 1.26%  
1-5 years 1.95%  
5-10 years 1.68%  
After 10 years 2.11%  
Total 2.37%  
Total securities $ 10,600  
Total securities (percent) 2.44%  
Total securities $ 60,780  
Total securities (percent) 2.95%  
Total securities $ 6,683  
Total securities (percent) 2.86%  
Total securities $ 2,092  
Total securities (percent) 2.94%  
Total securities $ 149,528  
Total securities (percent) 3.19%  
Non-U.S. government    
Securities available-for-sale, Amount:    
Within 1 year $ 3,808  
1-5 years 20,386  
5-10 years 4,187  
After 10 years 114  
Fair value $ 28,495 24,747
Securities available-for-sale (Yield):    
Within 1 year 3.73%  
1-5 years 3.31%  
5-10 years 3.03%  
After 10 years 3.18%  
Total 3.32%  
Securities held-to-maturity, Amount:    
Within 1 year $ 533  
1-5 years 5,078  
5-10 years 204  
After 10 years 0  
Available-for-sale, amount $ 5,815 4,479
Securities held-to-maturity (Yield):    
Within 1 year 2.10%  
1-5 years 2.71%  
5-10 years 2.11%  
After 10 years 0.00%  
Total 2.64%  
U.S. Treasury    
Securities available-for-sale, Amount:    
Within 1 year $ 565  
1-5 years 21,351  
5-10 years 376  
After 10 years 1,934  
Fair value $ 24,226 16,403
Securities available-for-sale (Yield):    
Within 1 year 1.73%  
1-5 years 3.11%  
5-10 years 4.44%  
After 10 years 2.94%  
Total 3.09%  
Securities held-to-maturity, Amount:    
Within 1 year $ 3,738  
1-5 years 4,702  
5-10 years 378  
After 10 years 0  
Available-for-sale, amount $ 8,818 8,833
Securities held-to-maturity (Yield):    
Within 1 year 1.08%  
1-5 years 1.20%  
5-10 years 1.32%  
After 10 years 0.00%  
Total 1.16%  
Foreign covered bonds    
Securities available-for-sale, Amount:    
Within 1 year $ 1,296  
1-5 years 5,983  
5-10 years 483  
After 10 years 0  
Fair value $ 7,762 7,068
Securities available-for-sale (Yield):    
Within 1 year 3.37%  
1-5 years 3.07%  
5-10 years 3.14%  
After 10 years 0.00%  
Total 3.13%  
Securities held-to-maturity, Amount:    
Within 1 year $ 190  
1-5 years 544  
5-10 years 0  
After 10 years 0  
Available-for-sale, amount $ 734 555
Securities held-to-maturity (Yield):    
Within 1 year 2.50%  
1-5 years 2.59%  
5-10 years 0.00%  
After 10 years 0.00%  
Total 2.57%  
U.S. government agencies    
Securities available-for-sale, Amount:    
Within 1 year $ 15  
1-5 years 983  
5-10 years 562  
After 10 years 0  
Fair value $ 1,560 2,289
Securities available-for-sale (Yield):    
Within 1 year 4.43%  
1-5 years 3.52%  
5-10 years 2.61%  
After 10 years 0.00%  
Total 3.20%  
Securities held-to-maturity, Amount:    
Within 1 year $ 455  
1-5 years 1,753  
5-10 years 482  
After 10 years 44  
Available-for-sale, amount $ 2,734 3,669
Securities held-to-maturity (Yield):    
Within 1 year 1.22%  
1-5 years 1.55%  
5-10 years 1.71%  
After 10 years 2.11%  
Total 1.53%  
Other debt securities    
Securities held-to-maturity, Amount:    
Within 1 year $ 0  
1-5 years 0  
5-10 years 11  
After 10 years 0  
Available-for-sale, amount $ 11 11
Securities held-to-maturity (Yield):    
Within 1 year 0.00%  
1-5 years 0.00%  
5-10 years 4.75%  
After 10 years 0.00%  
Total 4.75%  
Agency residential mortgage-backed securities (“RMBS”)    
Securities available-for-sale, Amount:    
Fair value $ 21,017 19,900
Securities available-for-sale (Yield):    
Total 4.49%  
Securities held-to-maturity, Amount:    
Available-for-sale, amount $ 26,439 25,824
Securities held-to-maturity (Yield):    
Total 2.53%  
Agency commercial mortgage-backed securities (“MBS”)    
Securities available-for-sale, Amount:    
Fair value $ 6,785 7,225
Securities available-for-sale (Yield):    
Total 3.04%  
Securities held-to-maturity, Amount:    
Available-for-sale, amount $ 3,017 3,395
Securities held-to-maturity (Yield):    
Total 2.63%  
Non-agency commercial MBS    
Securities available-for-sale, Amount:    
Fair value $ 2,210 2,487
Securities available-for-sale (Yield):    
Total 2.87%  
Non-agency RMBS    
Securities available-for-sale, Amount:    
Fair value $ 1,407 1,478
Securities available-for-sale (Yield):    
Total 3.29%  
Securities held-to-maturity, Amount:    
Available-for-sale, amount   14
Collateralized loan obligations (“CLOs”)    
Securities available-for-sale, Amount:    
Fair value $ 6,125 5,819
Securities available-for-sale (Yield):    
Total 5.47%  
Securities held-to-maturity, Amount:    
Available-for-sale, amount $ 1,971 1,816
Securities held-to-maturity (Yield):    
Total 5.66%  
Other asset-backed securities (“ABS”)    
Securities available-for-sale, Amount:    
Fair value $ 402 $ 615
Securities available-for-sale (Yield):    
Total 2.60%