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Consolidated Balance Sheets - USD ($)
$ in Millions
Mar. 31, 2025
Dec. 31, 2024
ASSETS    
Cash and due from banks $ 1,083 $ 850
Interest-bearing deposits with banks 4,709 5,954
Other short-term investments 379 375
Investment securities available-for-sale 15,102 15,045
Commercial loans 25,801 26,492
Real estate construction loans 3,393 3,680
Commercial mortgage loans 14,788 14,493
Lease financing 734 722
International loans 1,036 952
Residential mortgage loans 1,916 1,929
Consumer loans 2,244 2,271
Total loans 49,912 50,539
Allowance for loan losses (683) (690)
Net loans 49,229 49,849
Premises and equipment 447 473
Accrued income and other assets 6,673 6,751
Total assets 77,622 79,297
LIABILITIES AND SHAREHOLDERS’ EQUITY    
Noninterest-bearing deposits 23,156 24,425
Money market and interest-bearing checking deposits 32,029 32,714
Savings deposits 2,147 2,138
Customer certificates of deposit 3,095 3,450
Other time deposits 1,052 1,052
Foreign office time deposits 26 32
Total interest-bearing deposits 38,349 39,386
Total deposits 61,505 63,811
Short-term borrowings 1,225 0
Accrued expenses and other liabilities 2,107 2,270
Medium- and long-term debt 5,733 6,673
Total liabilities 70,570 72,754
Fixed rate reset non-cumulative perpetual preferred stock, series A, no par value, $100,000, liquidation preference per share: Issued - 4,000 shares 394 394
Common stock - $5 par value: Issued - 228,164,824 shares 1,141 1,141
Capital surplus 2,198 2,218
Accumulated other comprehensive loss (2,695) (3,161)
Retained earnings 12,093 12,017
Less cost of common stock in treasury - 96,945,906 shares at 3/31/2025 and 96,755,368 shares at 12/31/2024 (6,079) (6,066)
Total shareholders’ equity 7,052 6,543
Total liabilities and shareholders’ equity $ 77,622 $ 79,297