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Derivative Financial Instruments (Details) - USD ($)
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Derivative Financial Instruments    
Notional Amount $ 20,979,193,000 $ 21,351,715,000
Estimated Fair Value Gain $ 211,016,000 $ 414,742,000
Derivative, Gain, Statement of Income or Comprehensive Income [Extensible Enumeration] Noninterest Income, Other Noninterest Income, Other
Estimated Fair Value Loss $ 1,034,143,000 $ 288,561,000
Derivative, Loss, Statement of Income or Comprehensive Income [Extensible Enumeration] Noninterest Income, Other Noninterest Income, Other
Cash flow hedge liability $ 0 $ 0
Gain or loss recorded $ 174,000 0
Derivative, Gain (Loss), Statement of Income or Comprehensive Income [Extensible Enumeration] Noninterest Income, Other  
Fair value of the interest rate swap derivatives, other assets $ 209,800,000 408,800,000
Reduction in derivative asset fair value 824,300,000  
Fair value of the interest rate swap derivatives, other liabilities 1,000,000,000.0 287,200,000
Reduction in derivative liability fair value   121,600,000
Estimated gain (loss) on fair value (163,000) 1,200,000
Obligation under forward commitments, the fair value of those obligations along with the fair value of derivative instruments associated with forward commitments    
Fair value of forward commitments (1,034,143,000) (288,561,000)
Mortgage loan pipeline    
Obligation under forward commitments, the fair value of those obligations along with the fair value of derivative instruments associated with forward commitments    
Obligation 40,850,000,000 264,000,000,000
Expected closures    
Obligation under forward commitments, the fair value of those obligations along with the fair value of derivative instruments associated with forward commitments    
Obligation 37,210,000,000 233,265,000,000
Cash flow hedge    
Derivative Financial Instruments    
Collateral provided 0 0
Cash flow hedge | Borrower    
Derivative Financial Instruments    
Collateral provided 183,700,000  
Cash flow hedge | Interest-bearing deposits | Counterparty    
Derivative Financial Instruments    
Cash collateral 166,300,000  
Interest rate contracts    
Derivative Financial Instruments    
Notional Amount 20,900,000,000 20,800,000,000
Mortgage servicing rights hedging | Non-designated hedges    
Derivative Financial Instruments    
Notional Amount 35,000,000.0 205,000,000.0
Mortgage servicing rights hedging | Non-designated hedges | Other Assets and Other Liabilities    
Derivative Financial Instruments    
Notional Amount $ 35,000,000 205,000,000
Estimated Fair Value Gain   $ 1,228,000
Derivative, Gain, Statement of Income or Comprehensive Income [Extensible Enumeration] Noninterest Income, Other Noninterest Income, Other
Estimated Fair Value Loss $ 163,000  
Mortgage loan pipeline commitments hedging    
Obligation under forward commitments, the fair value of those obligations along with the fair value of derivative instruments associated with forward commitments    
Obligation 524,000,000 $ 4,759,000,000
Mortgage loan pipeline commitments hedging | Non-designated hedges | Other Assets    
Derivative Financial Instruments    
Notional Amount 51,000,000 324,000,000
Estimated Fair Value Gain $ 800,000 $ 4,738,000
Derivative, Gain, Statement of Income or Comprehensive Income [Extensible Enumeration] Noninterest Income, Other Noninterest Income, Other
Forward commitments    
Obligation under forward commitments, the fair value of those obligations along with the fair value of derivative instruments associated with forward commitments    
Obligation $ 51,000,000,000 $ 324,000,000,000
Fair value of forward commitments 276,000,000 (21,000,000)
Customer swaps | Cash flow hedge    
Derivative Financial Instruments    
Collateral provided 114,900,000  
Interest rate swap | Fair Value Hedging | Counterparty    
Derivative Financial Instruments    
Notional Amount 12,300,000 15,700,000
Interest rate swap | Fair Value Hedging | Other Liabilities | Counterparty    
Derivative Financial Instruments    
Notional Amount 12,289,000 15,716,000
Estimated Fair Value Gain $ 414,000  
Estimated Fair Value Loss   $ 1,355,000
Derivative, Loss, Statement of Income or Comprehensive Income [Extensible Enumeration] Other Comprehensive Income (Loss), Net of Tax, Portion Attributable to Parent Other Comprehensive Income (Loss), Net of Tax, Portion Attributable to Parent
Interest rate swap | Non-designated hedges | Other Assets and Other Liabilities | Borrower    
Derivative Financial Instruments    
Notional Amount $ 10,480,171,000 $ 10,404,605,000
Estimated Fair Value Gain $ 8,539,000 $ 408,776,000
Derivative, Gain, Statement of Income or Comprehensive Income [Extensible Enumeration] Noninterest Income, Other Noninterest Income, Other
Estimated Fair Value Loss $ 1,033,980,000 $ 69,998,000
Derivative, Loss, Statement of Income or Comprehensive Income [Extensible Enumeration] Noninterest Income, Other Noninterest Income, Other
Interest rate swap | Non-designated hedges | Other Assets and Other Liabilities | Counterparty    
Derivative Financial Instruments    
Notional Amount $ 10,400,733,000 $ 10,402,394,000
Estimated Fair Value Gain $ 201,263,000  
Derivative, Gain, Statement of Income or Comprehensive Income [Extensible Enumeration] Noninterest Income, Other Noninterest Income, Other
Estimated Fair Value Loss   $ 217,208,000
Derivative, Loss, Statement of Income or Comprehensive Income [Extensible Enumeration] Noninterest Income, Other Noninterest Income, Other
Foreign exchange contract    
Derivative Financial Instruments    
Gain or loss recorded $ 0 $ 0