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Derivative And Credit-Related Financial Instruments (Schedule Of Derivative Instruments) (Details) - USD ($)
$ in Millions
Mar. 31, 2023
Dec. 31, 2022
Derivatives, Fair Value [Line Items]    
Notional/Contract Amount [1] $ 72,947 $ 67,665
Fair Value of Gross Derivative Assets 1,215 1,279
Fair Value of Gross Derivative Liabilities 1,465 1,695
Derivative asset, Netting adjustment - Offsetting derivative assets (605) (644)
Derivative liabilities, Netting adjustment - Offsetting derivative assets (605) (644)
Derivative assets, Netting adjustment - Cash collateral received (246) (180)
Derivative liabilities, Netting adjustment, Cash collateral posted (3) (4)
Net derivative assets included in the Consolidated Balance Sheets [2] 364 455
Net derivative liabilities included in the Consolidated Balance Sheets [2] 857 1,047
Derivative asset, securities pledged as collateral (232) (70)
Derivative liability, securities pledged as collateral (18) (202)
Net derivative assets after deducting amounts not offset in the Consolidated Balance Sheets 132 385
Net derivative liabilities after deducting amounts not offset in the Consolidated Balance Sheets 839 845
Credit valuation adjustments for counterparty credit risk 1 2
Risk management purposes    
Derivatives, Fair Value [Line Items]    
Notional/Contract Amount [1] 33,754 30,142
Fair Value of Gross Derivative Assets 1 1
Fair Value of Gross Derivative Liabilities 1 53
Risk management purposes | Derivatives designated as hedging instruments | Fair value swaps - receive fixed/pay floating | Swaps    
Derivatives, Fair Value [Line Items]    
Notional/Contract Amount [1] 7,150 3,150
Fair Value of Gross Derivative Assets 0 0
Fair Value of Gross Derivative Liabilities 0 0
Risk management purposes | Derivatives designated as hedging instruments | Cash flow swaps - receive fixed/pay floating | Swaps    
Derivatives, Fair Value [Line Items]    
Notional/Contract Amount [1],[3] 26,150 26,600
Fair Value of Gross Derivative Assets [3] 0 0
Fair Value of Gross Derivative Liabilities [3] 0 50
Risk management purposes | Derivatives designated as hedging instruments | Cash flow swaps - receive fixed/pay floating | Forward Starting Swap    
Derivatives, Fair Value [Line Items]    
Notional/Contract Amount 4,100 4,600
Risk management purposes | Derivatives used as economic hedges | Spot, forwards and swaps    
Derivatives, Fair Value [Line Items]    
Notional/Contract Amount [1] 454 392
Fair Value of Gross Derivative Assets 1 1
Fair Value of Gross Derivative Liabilities 1 3
Customer-initiated and other activities    
Derivatives, Fair Value [Line Items]    
Notional/Contract Amount [1] 39,193 37,523
Fair Value of Gross Derivative Assets 1,214 1,278
Fair Value of Gross Derivative Liabilities 1,464 1,642
Customer-initiated and other activities | Interest rate contracts    
Derivatives, Fair Value [Line Items]    
Notional/Contract Amount [1] 20,643 20,298
Fair Value of Gross Derivative Assets 199 206
Fair Value of Gross Derivative Liabilities 473 594
Customer-initiated and other activities | Caps and floors written    
Derivatives, Fair Value [Line Items]    
Notional/Contract Amount [1] 1,098 924
Fair Value of Gross Derivative Assets 0 0
Fair Value of Gross Derivative Liabilities 23 25
Customer-initiated and other activities | Caps and floors purchased    
Derivatives, Fair Value [Line Items]    
Notional/Contract Amount [1] 1,098 924
Fair Value of Gross Derivative Assets 23 25
Fair Value of Gross Derivative Liabilities 0 0
Customer-initiated and other activities | Swaps    
Derivatives, Fair Value [Line Items]    
Notional/Contract Amount [1] 18,447 18,450
Fair Value of Gross Derivative Assets 176 181
Fair Value of Gross Derivative Liabilities 450 569
Customer-initiated and other activities | Energy contracts    
Derivatives, Fair Value [Line Items]    
Notional/Contract Amount [1] 15,643 14,521
Fair Value of Gross Derivative Assets 960 1,020
Fair Value of Gross Derivative Liabilities 942 1,006
Customer-initiated and other activities | Caps and floors written    
Derivatives, Fair Value [Line Items]    
Notional/Contract Amount [1] 4,324 4,051
Fair Value of Gross Derivative Assets 0 0
Fair Value of Gross Derivative Liabilities 400 430
Customer-initiated and other activities | Caps and floors purchased    
Derivatives, Fair Value [Line Items]    
Notional/Contract Amount [1] 4,324 4,051
Fair Value of Gross Derivative Assets 401 431
Fair Value of Gross Derivative Liabilities 0 0
Customer-initiated and other activities | Swaps    
Derivatives, Fair Value [Line Items]    
Notional/Contract Amount [1] 6,995 6,419
Fair Value of Gross Derivative Assets 559 589
Fair Value of Gross Derivative Liabilities 542 576
Customer-initiated and other activities | Spot, forwards, options and swaps    
Derivatives, Fair Value [Line Items]    
Notional/Contract Amount [1] 2,907 2,704
Fair Value of Gross Derivative Assets 55 52
Fair Value of Gross Derivative Liabilities $ 49 $ 42
[1] Notional or contractual amounts, which represent the extent of involvement in the derivatives market, are used to determine the contractual cash flows required in accordance with the terms of the agreement. These amounts are typically not exchanged, significantly exceed amounts subject to credit or market risk and are not reflected in the Consolidated Balance Sheets.
[2] Net derivative assets are included in accrued income and other assets and net derivative liabilities are included in accrued expenses and other liabilities on the Consolidated Balance Sheets. Included in the fair value of net derivative assets and net derivative liabilities are credit valuation adjustments reflecting counterparty credit risk and credit risk of the Corporation. The fair value of net derivative assets included credit valuation adjustments for counterparty credit risk of $1 million and $2 million at March 31, 2023 and December 31, 2022, respectively.
[3] March 31, 2023 included $4.1 billion of forward starting swaps that will become effective on their contractual start dates in 2023 and 2024.