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Derivatives, Fair Value of Derivatives Contracts (Details) - USD ($)
$ in Thousands
Dec. 31, 2022
Dec. 31, 2021
Derivative Assets, Fair Value, Net [Abstract]    
Derivative Assets, Fair Value, Net of Cash Collateral $ 880,343 $ 1,097,297
Derivative Liabilities, Fair Value, Net [Abstract]    
Derivative Liabilities, Fair Value, Net of Cash Collateral 554,900 275,625
Not Designated as Hedging Instrument [Member]    
Notional Amount of Derivatives [Abstract]    
Derivative Assets, Notional 28,273,268 [1] 45,694,922 [2]
Derivative Liabilities, Notional 25,778,851 [1] 50,930,000 [2]
Derivative Assets, Fair Value, Net [Abstract]    
Derivative Assets, Gross Fair Value 1,736,280 1,588,528
Derivative Assets, Netting Adjustments (669,203) (490,268)
Derivative Assets, Net Fair Value Before Cash Collateral 1,067,077 1,098,260
Derivative Assets, Cash Collateral (186,734) (963)
Derivative Assets, Fair Value, Net of Cash Collateral 880,343 1,097,297
Derivative Liabilities, Fair Value, Net [Abstract]    
Derivative Liabilities, Gross Fair Value 1,708,852 1,627,386
Derivative Liabilities, Netting Adjustments (669,203) (490,268)
Derivative Liabilities, Net Fair Value Before Cash Collateral 1,039,649 1,137,118
Derivative Liabilities, Cash Collateral (484,749) (861,493)
Derivative Liabilities, Fair Value, Net of Cash Collateral 554,900 275,625
Not Designated as Hedging Instrument [Member] | Total customer risk management programs [Member]    
Notional Amount of Derivatives [Abstract]    
Derivative Assets, Notional 10,788,231 [1] 9,232,665 [2]
Derivative Liabilities, Notional 11,561,139 [1] 9,345,519 [2]
Derivative Assets, Fair Value, Net [Abstract]    
Derivative Assets, Gross Fair Value 1,607,870 1,438,147
Derivative Assets, Netting Adjustments (594,543) (385,725)
Derivative Assets, Net Fair Value Before Cash Collateral 1,013,327 1,052,422
Derivative Assets, Cash Collateral (182,088) (242)
Derivative Assets, Fair Value, Net of Cash Collateral 831,239 1,052,180
Derivative Liabilities, Fair Value, Net [Abstract]    
Derivative Liabilities, Gross Fair Value 1,612,300 1,472,882
Derivative Liabilities, Netting Adjustments (594,543) (385,725)
Derivative Liabilities, Net Fair Value Before Cash Collateral 1,017,757 1,087,157
Derivative Liabilities, Cash Collateral (484,326) (837,419)
Derivative Liabilities, Fair Value, Net of Cash Collateral 533,431 249,738
Not Designated as Hedging Instrument [Member] | Interest rate contracts [Member]    
Notional Amount of Derivatives [Abstract]    
Derivative Assets, Notional 2,629,318 [1] 2,614,162 [2]
Derivative Liabilities, Notional 2,629,122 [1] 2,614,162 [2]
Derivative Assets, Fair Value, Net [Abstract]    
Derivative Assets, Gross Fair Value 158,825 53,881
Derivative Assets, Netting Adjustments 0 (10,101)
Derivative Assets, Net Fair Value Before Cash Collateral 158,825 43,780
Derivative Assets, Cash Collateral (114,955) 0
Derivative Assets, Fair Value, Net of Cash Collateral 43,870 43,780
Derivative Liabilities, Fair Value, Net [Abstract]    
Derivative Liabilities, Gross Fair Value 158,816 54,062
Derivative Liabilities, Netting Adjustments 0 (10,101)
Derivative Liabilities, Net Fair Value Before Cash Collateral 158,816 43,961
Derivative Liabilities, Cash Collateral 0 (33,870)
Derivative Liabilities, Fair Value, Net of Cash Collateral 158,816 10,091
Not Designated as Hedging Instrument [Member] | Energy contracts [Member]    
Notional Amount of Derivatives [Abstract]    
Derivative Assets, Notional 7,918,020 [1] 6,360,095 [2]
Derivative Liabilities, Notional 8,696,060 [1] 6,480,840 [2]
Derivative Assets, Fair Value, Net [Abstract]    
Derivative Assets, Gross Fair Value 1,232,283 1,168,363
Derivative Assets, Netting Adjustments (594,543) (375,624)
Derivative Assets, Net Fair Value Before Cash Collateral 637,740 792,739
Derivative Assets, Cash Collateral (67,024) 0
Derivative Assets, Fair Value, Net of Cash Collateral 570,716 792,739
Derivative Liabilities, Fair Value, Net [Abstract]    
Derivative Liabilities, Gross Fair Value 1,242,058 1,210,946
Derivative Liabilities, Netting Adjustments (594,543) (375,624)
Derivative Liabilities, Net Fair Value Before Cash Collateral 647,515 835,322
Derivative Liabilities, Cash Collateral (484,319) (803,102)
Derivative Liabilities, Fair Value, Net of Cash Collateral 163,196 32,220
Not Designated as Hedging Instrument [Member] | Foreign exchange contracts [Member]    
Notional Amount of Derivatives [Abstract]    
Derivative Assets, Notional 219,791 [1] 216,272 [2]
Derivative Liabilities, Notional 214,855 [1] 208,381 [2]
Derivative Assets, Fair Value, Net [Abstract]    
Derivative Assets, Gross Fair Value 216,569 215,148
Derivative Assets, Netting Adjustments 0 0
Derivative Assets, Net Fair Value Before Cash Collateral 216,569 215,148
Derivative Assets, Cash Collateral 0 0
Derivative Assets, Fair Value, Net of Cash Collateral 216,569 215,148
Derivative Liabilities, Fair Value, Net [Abstract]    
Derivative Liabilities, Gross Fair Value 211,233 207,119
Derivative Liabilities, Netting Adjustments 0 0
Derivative Liabilities, Net Fair Value Before Cash Collateral 211,233 207,119
Derivative Liabilities, Cash Collateral (7) (447)
Derivative Liabilities, Fair Value, Net of Cash Collateral 211,226 206,672
Not Designated as Hedging Instrument [Member] | Equity option contracts [Member]    
Notional Amount of Derivatives [Abstract]    
Derivative Assets, Notional 21,102 [1] 42,136 [2]
Derivative Liabilities, Notional 21,102 [1] 42,136 [2]
Derivative Assets, Fair Value, Net [Abstract]    
Derivative Assets, Gross Fair Value 193 755
Derivative Assets, Netting Adjustments 0 0
Derivative Assets, Net Fair Value Before Cash Collateral 193 755
Derivative Assets, Cash Collateral (109) (242)
Derivative Assets, Fair Value, Net of Cash Collateral 84 513
Derivative Liabilities, Fair Value, Net [Abstract]    
Derivative Liabilities, Gross Fair Value 193 755
Derivative Liabilities, Netting Adjustments 0 0
Derivative Liabilities, Net Fair Value Before Cash Collateral 193 755
Derivative Liabilities, Cash Collateral 0 0
Derivative Liabilities, Fair Value, Net of Cash Collateral 193 755
Not Designated as Hedging Instrument [Member] | Trading [Member]    
Notional Amount of Derivatives [Abstract]    
Derivative Assets, Notional 17,400,037 [1] 35,592,751 [2]
Derivative Liabilities, Notional 14,038,906 [1] 41,285,649 [2]
Derivative Assets, Fair Value, Net [Abstract]    
Derivative Assets, Gross Fair Value 126,910 139,694
Derivative Assets, Netting Adjustments (74,647) (104,326)
Derivative Assets, Net Fair Value Before Cash Collateral 52,263 35,368
Derivative Assets, Cash Collateral (4,646) (721)
Derivative Assets, Fair Value, Net of Cash Collateral 47,617 34,647
Derivative Liabilities, Fair Value, Net [Abstract]    
Derivative Liabilities, Gross Fair Value 94,958 152,947
Derivative Liabilities, Netting Adjustments (74,647) (104,326)
Derivative Liabilities, Net Fair Value Before Cash Collateral 20,311 48,621
Derivative Liabilities, Cash Collateral (423) (24,074)
Derivative Liabilities, Fair Value, Net of Cash Collateral 19,888 24,547
Not Designated as Hedging Instrument [Member] | Internal risk management programs [Member]    
Notional Amount of Derivatives [Abstract]    
Derivative Assets, Notional 85,000 [1] 869,506 [2]
Derivative Liabilities, Notional 178,806 [1] 298,832 [2]
Derivative Assets, Fair Value, Net [Abstract]    
Derivative Assets, Gross Fair Value 1,500 10,687
Derivative Assets, Netting Adjustments (13) (217)
Derivative Assets, Net Fair Value Before Cash Collateral 1,487 10,470
Derivative Assets, Cash Collateral 0 0
Derivative Assets, Fair Value, Net of Cash Collateral 1,487 10,470
Derivative Liabilities, Fair Value, Net [Abstract]    
Derivative Liabilities, Gross Fair Value 1,594 1,557
Derivative Liabilities, Netting Adjustments (13) (217)
Derivative Liabilities, Net Fair Value Before Cash Collateral 1,581 1,340
Derivative Liabilities, Cash Collateral 0 0
Derivative Liabilities, Fair Value, Net of Cash Collateral $ 1,581 $ 1,340
[1] Notional amounts for commodity contracts are converted into dollar-equivalent amounts based on dollar prices at the inception of the contract.
[2] Notional amounts for commodity contracts are converted into dollar-equivalent amounts based on dollar prices at the inception of the contract.