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FINANCIAL INSTRUMENTS - Fair Value of Instruments (Details) - USD ($)
$ in Millions
Dec. 31, 2019
Dec. 31, 2018
Financial assets    
Credit card and loan receivables, net $ 18,292.0 $ 16,816.7
Credit card receivables held for sale 408.0 1,951.6
Redemption settlement assets, restricted 600.8 558.6
Other investments 259.8 291.3
Financial liabilities    
Deposits 12,303.6 11,768.7
Non-recourse borrowings of consolidated securitization entities 7,333.6 7,626.9
Long-term and other debt 2,878.8 5,755.3
Carrying Amount    
Financial assets    
Credit card and loan receivables, net 18,292.0 16,816.7
Credit card receivables held for sale 408.0 1,951.6
Redemption settlement assets, restricted 600.8 558.6
Other investments 259.8 291.3
Derivative instruments 0.2 3.8
Financial liabilities    
Derivative instruments 0.3 0.3
Deposits 12,151.7 11,793.7
Non-recourse borrowings of consolidated securitization entities 7,284.0 7,651.7
Long-term and other debt 2,849.9 5,725.4
Fair Value.    
Financial assets    
Credit card and loan receivables, net 19,126.0 17,472.7
Credit card receivables held for sale 436.2 1,995.5
Redemption settlement assets, restricted 600.8 558.6
Other investments 259.8 291.3
Derivative instruments 0.2 3.8
Financial liabilities    
Derivative instruments 0.3 0.3
Deposits 12,303.6 11,768.7
Non-recourse borrowings of consolidated securitization entities 7,333.6 7,626.9
Long-term and other debt $ 2,878.8 $ 5,755.3