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Accumulated Other Comprehensive Loss (Schedule Of Accumulated Other Comprehensive Income (Loss)) (Details) - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
Accumulated Other Comprehensive Income (Loss), Net of Tax [Abstract]      
Investment Securities, Balance at beginning of period, net of tax $ (2,043) $ (2,319) $ (99)
Net unrealized holding (losses) gains arising during the period (182) 361 (2,903)
Investment Securities, Less: (Benefit) provision for income taxes (43) 85 (683)
Net unrealized holding (losses) gains arising during period, net of tax (139) 276 (2,220)
Net realized losses included in net securities losses 19 0 0
Investment Securities, Less: Benefit for income taxes 4 0 0
Reclassification adjustment for net securities losses included in net income, net of tax 15 0 0
Change in net unrealized losses on investment securities, net of tax (154) 276 (2,220)
Investment Securities, Balance at end of period, net of tax (2,197) (2,043) (2,319)
Cash Flow Hedges, Balance at beginning of period, net of tax (605) (942) 55
Net cash flow hedge (losses) gains arising during the period (624) 34 (1,329)
Reclassification of loss related to de-designation of derivatives to other noninterest income 0 (195) 0
Cash Flow Hedges, Less: Benefit for income taxes (181) (38) (313)
Change in net cash flow hedge losses arising during the period, net of tax (443) (123) (1,016)
Net cash flow losses included in interest and fees on loans (629) (576) (25)
Amortization of unrealized losses related to de-designated derivatives (8) (26) 0
Cash Flow Hedges, Less: Benefit for income taxes (185) (142) (6)
Reclassification adjustment for net cash flow hedge losses included in net income, net of tax (452) (460) (19)
Change in net cash flow hedge losses, net of tax 9 337 (997)
Cash Flow Hedges, Balance at end of period, net of tax (596) (605) (942)
Benefit plans, Balance at beginning of period, net of tax (400) (481) (168)
Benefit plans, Actuarial loss arising during the period 35 96 (415)
Benefit plans, Less: Provision (benefit) for income taxes 8 25 (98)
Benefit plans, Net defined benefit pension and other postretirement adjustment arising during the period, net of tax 27 71 (317)
Benefit plans, Amortization of actuarial net loss 27 36 28
Benefit plans, Amortization of prior service (credit) cost (22) (23) (23)
Benefit plans, Total amounts recognized in employee benefits expense 5 13 5
Benefit plans, Less: Provision for income taxes 0 3 1
Benefit plans, Adjustment for amounts recognized as components of net periodic benefit cost during the period, net of tax 5 10 4
Benefit plans, Change in defined benefit pension and other postretirement plans adjustment, net of tax 32 81 (313)
Benefit plans, Balance at end of period, net of tax (368) (400) (481)
Total accumulated other comprehensive loss at end of period, net of tax $ (3,161) $ (3,048) $ (3,742)
Cash flow hedge loss to be reclassified within 12 months 198 million