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Fair Value Measurements (Schedule Of Carrying Amounts And Estimated Fair Values Of Financial Instruments) (Details) - USD ($)
Jun. 30, 2021
Dec. 31, 2020
Financial Assets [Abstract]    
Debt securities held to maturity $ 1,064,000,000 $ 1,215,000,000
Debt securities available for sale 29,290,000,000 27,154,000,000
Loans held for sale 991,000,000 1,446,000,000
Other earning assets 1,246,000,000 1,217,000,000
Derivative Assets [1] 704,000,000 921,000,000
Financial Liabilities [Abstract]    
Derivative Liabilities [1] 52,000,000 53,000,000
Capital leases, carrying amount excluded 1,400,000,000 1,500,000,000
Operating leases, carrying amount excluded 163,000,000 200,000,000
Fair Value Premium on Loan Portfolio, Amount $ 652,000,000 $ 1,200,000,000
Fair Value Premium on Loan Portfolio, Rate 0.80% 1.40%
Recurring Fair Value Measurements [Member]    
Financial Assets [Abstract]    
Debt securities available for sale $ 29,290,000,000 $ 27,154,000,000
Loans held for sale 991,000,000 1,446,000,000
Derivative Assets 2,061,000,000 3,349,000,000
Other Assets, Fair Value Disclosure 0 74,000,000
Financial Liabilities [Abstract]    
Derivative Liabilities 1,254,000,000 1,598,000,000
Estimate of Fair Value [Member]    
Financial Assets [Abstract]    
Cash and cash equivalents [2] 25,594,000,000 17,956,000,000
Debt securities held to maturity [2] 1,064,000,000 1,215,000,000
Debt securities available for sale [2] 29,290,000,000 27,154,000,000
Loans held for sale [2] 1,194,000,000 1,905,000,000
Loans (excluding leases), net of unearned income and allowance for loan losses [2],[3],[4] 81,715,000,000 82,773,000,000
Other earning assets 1,083,000,000 [2],[5] 1,017,000,000 [6],[7]
Derivative Assets [2] 2,061,000,000 3,349,000,000
Other Assets, Fair Value Disclosure   74,000,000
Financial Liabilities [Abstract]    
Derivative Liabilities [2] 1,254,000,000 1,598,000,000
Deposits [2] 131,500,000,000 122,511,000,000
Long-term borrowings [2] 3,363,000,000 4,063,000,000
Loan commitments and letters of credit [2] 118,000,000 151,000,000
Carrying Amount [Member]    
Financial Assets [Abstract]    
Cash and cash equivalents 25,594,000,000 17,956,000,000
Debt securities held to maturity 993,000,000 1,122,000,000
Debt securities available for sale 29,290,000,000 27,154,000,000
Loans held for sale 1,194,000,000 1,905,000,000
Loans (excluding leases), net of unearned income and allowance for loan losses 81,063,000,000 [3],[4] 81,597,000,000 [8],[9]
Other earning assets 1,083,000,000 [5] 1,017,000,000 [7]
Derivative Assets 2,061,000,000 3,349,000,000
Other Assets, Fair Value Disclosure   74,000,000
Financial Liabilities [Abstract]    
Derivative Liabilities 1,254,000,000 1,598,000,000
Deposits 131,484,000,000 122,479,000,000
Long-term borrowings 2,870,000,000 3,569,000,000
Loan commitments and letters of credit 118,000,000 151,000,000
Level 1 [Member]    
Financial Assets [Abstract]    
Cash and cash equivalents 25,594,000,000 17,956,000,000
Debt securities held to maturity 0 0
Debt securities available for sale 737,000,000 183,000,000
Loans held for sale 0 0
Loans (excluding leases), net of unearned income and allowance for loan losses 0 [3],[4] 0 [8],[9]
Other earning assets 447,000,000 [5] 388,000,000 [7]
Derivative Assets 1,000,000 2,000,000
Other Assets, Fair Value Disclosure   0
Financial Liabilities [Abstract]    
Derivative Liabilities 1,000,000 2,000,000
Deposits 0 0
Long-term borrowings 0 0
Loan commitments and letters of credit 0 0
Level 1 [Member] | Recurring Fair Value Measurements [Member]    
Financial Assets [Abstract]    
Debt securities available for sale 737,000,000 183,000,000
Loans held for sale 0 0
Derivative Assets 1,000,000 2,000,000
Other Assets, Fair Value Disclosure 0 0
Financial Liabilities [Abstract]    
Derivative Liabilities 1,000,000 2,000,000
Level 2 [Member]    
Financial Assets [Abstract]    
Cash and cash equivalents 0 0
Debt securities held to maturity 1,064,000,000 1,215,000,000
Debt securities available for sale 28,548,000,000 26,966,000,000
Loans held for sale 1,066,000,000 1,901,000,000
Loans (excluding leases), net of unearned income and allowance for loan losses 0 [3],[4] 0 [8],[9]
Other earning assets 636,000,000 [5] 629,000,000 [7]
Derivative Assets 2,034,000,000 3,303,000,000
Other Assets, Fair Value Disclosure   74,000,000
Financial Liabilities [Abstract]    
Derivative Liabilities 1,249,000,000 1,590,000,000
Deposits 131,500,000,000 122,511,000,000
Long-term borrowings 3,019,000,000 3,592,000,000
Loan commitments and letters of credit 0 0
Level 2 [Member] | Recurring Fair Value Measurements [Member]    
Financial Assets [Abstract]    
Debt securities available for sale 28,548,000,000 26,966,000,000
Loans held for sale 991,000,000 1,446,000,000
Derivative Assets 2,034,000,000 3,303,000,000
Other Assets, Fair Value Disclosure 0  
Financial Liabilities [Abstract]    
Derivative Liabilities 1,249,000,000 1,590,000,000
Level 3 [Member]    
Financial Assets [Abstract]    
Cash and cash equivalents 0 0
Debt securities held to maturity 0 0
Debt securities available for sale 5,000,000 5,000,000
Loans held for sale 128,000,000 4,000,000
Loans (excluding leases), net of unearned income and allowance for loan losses 81,715,000,000 [3],[4] 82,773,000,000 [8],[9]
Other earning assets 0 [5] 0 [7]
Derivative Assets 26,000,000 44,000,000
Other Assets, Fair Value Disclosure   0
Financial Liabilities [Abstract]    
Derivative Liabilities 4,000,000 6,000,000
Deposits 0 0
Long-term borrowings 344,000,000 471,000,000
Loan commitments and letters of credit 118,000,000 151,000,000
Level 3 [Member] | Recurring Fair Value Measurements [Member]    
Financial Assets [Abstract]    
Debt securities available for sale [10] 5,000,000 5,000,000
Loans held for sale 0 0 [10]
Derivative Assets [10] 26,000,000 44,000,000
Other Assets, Fair Value Disclosure 0 0
Financial Liabilities [Abstract]    
Derivative Liabilities [10] $ 4,000,000 $ 6,000,000
[1] The gain amounts, which are not collateralized with cash or other assets or reserved for, represent the net credit risk on all trading and other derivative positions. As of June 30, 2021 and December 31, 2020, financial instruments posted of $24 million, for both periods, were not offset in the consolidated balance sheets.
[2] Estimated fair values are consistent with an exit price concept. The assumptions used to estimate the fair values are intended to approximate those that a market participant would use in a hypothetical orderly transaction. In estimating fair value, the Company makes adjustments for estimated changes in interest rates, market liquidity and credit spreads in the periods they are deemed to have occurred.
[3] Excluded from this table is the sales-type, direct financing, and leveraged lease carrying amount of $1.4 billion at June 30, 2021.
[4] The estimated fair value of portfolio loans assumes sale of the loans to a third-party financial investor. Accordingly, the value to the Company if the loans were held to maturity is not reflected in the fair value estimate. The fair value premium on the loan portfolio's net carrying amount at June 30, 2021 was $652 million or 0.8 percent.
[5] Excluded from this table is the operating lease carrying amount of $163 million at June 30, 2021
[6] Estimated fair values are consistent with an exit price concept. The assumptions used to estimate the fair values are intended to approximate those that a market participant would use in a hypothetical orderly transaction. In estimating fair value, the Company makes adjustments for estimated changes in interest rates, market liquidity and credit spreads in the periods they are deemed to have occurred.
[7] Excluded from this table is the operating lease carrying amount of $200 million at December 31, 2020.
[8] Excluded from this table is the sales-type, direct financing, and leveraged lease carrying amount of $1.5 billion at December 31, 2020.
[9] The estimated fair value of portfolio loans assumes sale of the loans to a third-party financial investor. Accordingly, the value to the Company if the loans were held to maturity is not reflected in the fair value estimate. The fair value premium on the loan portfolio's net carrying amount at December 31, 2020 was $1.2 billion or 1.4 percent.
[10] All following disclosures related to Level 3 recurring and non-recurring assets do not include those deemed to be immaterial.