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Long-term debt - Junior Subordinated Debt (Details)
$ in Millions
12 Months Ended
Apr. 02, 2015
USD ($)
May. 08, 2013
USD ($)
Dec. 31, 2015
USD ($)
entity
Dec. 31, 2014
USD ($)
Debt Instrument [Line Items]        
Number of issuer trusts that had issued guaranteed capital debt securities | entity     8  
Outstanding trust preferred debt security issuance        
Amount of trust preferred capital debt securities issued by trust     $ 3,690  
Principal amount of debenture issued to trust     3,969 $ 5,400
BANK ONE Capital III        
Outstanding trust preferred debt security issuance        
Amount of trust preferred capital debt securities issued by trust     474  
Principal amount of debenture issued to trust     $ 717  
Issue date     Dec. 31, 2000  
Stated maturity of trust preferred securities and debentures     Dec. 31, 2030  
Earliest redemption date     Any time  
Interest rate of trust preferred securities and debentures     8.75%  
Interest payment/distribution dates     Semiannually  
Chase Capital II        
Outstanding trust preferred debt security issuance        
Amount of trust preferred capital debt securities issued by trust     $ 483  
Principal amount of debenture issued to trust     $ 496  
Issue date     Dec. 31, 1997  
Stated maturity of trust preferred securities and debentures     Dec. 31, 2027  
Earliest redemption date     Any time  
Interest payment/distribution dates     Quarterly  
Chase Capital II | LIBOR        
Outstanding trust preferred debt security issuance        
Interest rate spread of trust preferred capital securities and debentures     0.50%  
Chase Capital III        
Outstanding trust preferred debt security issuance        
Amount of trust preferred capital debt securities issued by trust     $ 296  
Principal amount of debenture issued to trust     $ 304  
Issue date     Dec. 31, 1997  
Stated maturity of trust preferred securities and debentures     Dec. 31, 2027  
Earliest redemption date     Any time  
Interest payment/distribution dates     Quarterly  
Chase Capital III | LIBOR        
Outstanding trust preferred debt security issuance        
Interest rate spread of trust preferred capital securities and debentures     0.55%  
Chase Capital VI        
Outstanding trust preferred debt security issuance        
Amount of trust preferred capital debt securities issued by trust     $ 242  
Principal amount of debenture issued to trust     $ 248  
Issue date     Dec. 31, 1998  
Stated maturity of trust preferred securities and debentures     Dec. 31, 2028  
Earliest redemption date     Any time  
Interest payment/distribution dates     Quarterly  
Chase Capital VI | LIBOR        
Outstanding trust preferred debt security issuance        
Interest rate spread of trust preferred capital securities and debentures     0.625%  
First Chicago NBD Capital I        
Outstanding trust preferred debt security issuance        
Amount of trust preferred capital debt securities issued by trust     $ 249  
Principal amount of debenture issued to trust     $ 256  
Issue date     Dec. 31, 1997  
Stated maturity of trust preferred securities and debentures     Dec. 31, 2027  
Earliest redemption date     Any time  
Interest payment/distribution dates     Quarterly  
First Chicago NBD Capital I | LIBOR        
Outstanding trust preferred debt security issuance        
Interest rate spread of trust preferred capital securities and debentures     0.55%  
J.P. Morgan Chase Capital XIII        
Outstanding trust preferred debt security issuance        
Amount of trust preferred capital debt securities issued by trust     $ 466  
Principal amount of debenture issued to trust     $ 477  
Issue date     Dec. 31, 2004  
Stated maturity of trust preferred securities and debentures     Dec. 31, 2034  
Earliest redemption date     Any time  
Interest payment/distribution dates     Quarterly  
J.P. Morgan Chase Capital XIII | LIBOR        
Outstanding trust preferred debt security issuance        
Interest rate spread of trust preferred capital securities and debentures     0.95%  
JPMorgan Chase Capital XXI        
Outstanding trust preferred debt security issuance        
Amount of trust preferred capital debt securities issued by trust     $ 836  
Principal amount of debenture issued to trust     $ 832  
Issue date     Dec. 31, 2007  
Stated maturity of trust preferred securities and debentures     Dec. 31, 2037  
Earliest redemption date     Any time  
Interest payment/distribution dates     Quarterly  
JPMorgan Chase Capital XXI | LIBOR        
Outstanding trust preferred debt security issuance        
Interest rate spread of trust preferred capital securities and debentures     0.95%  
JPMorgan Chase Capital XXIII        
Outstanding trust preferred debt security issuance        
Amount of trust preferred capital debt securities issued by trust     $ 644  
Principal amount of debenture issued to trust     $ 639  
Issue date     Dec. 31, 2007  
Stated maturity of trust preferred securities and debentures     Dec. 31, 2047  
Earliest redemption date     Any time  
Interest payment/distribution dates     Quarterly  
JPMorgan Chase Capital XXIII | LIBOR        
Outstanding trust preferred debt security issuance        
Interest rate spread of trust preferred capital securities and debentures     1.00%  
JPMorgan Chase & Co.        
Outstanding trust preferred debt security issuance        
Payments for repurchase of trust preferred securities $ 1,500 $ 5,000    
Junior subordinated debenture owed to unconsolidated subsidiary trust, liquidation preference, percentage 100.00% 100.00%    
JPMorgan Chase & Co. | Basel III        
Debt Instrument [Line Items]        
Debentures qualified as Tier 1 capital     $ 992 2,700
Debentures qualified as Tier 2 capital     $ 3,000 $ 2,700