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Long-term Debt - Summary of Long-Term Debt (Details) - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2016
Dec. 31, 2015
Long-term debt carrying values by contractual maturity    
Under 1 year $ 46,705  
1-5 years 145,950  
After 5 years 102,590  
Long-term debt $ 295,245 $ 288,651
Long Term Debt - Supplemental Information    
Interest rate modified for the effects of hedge accounting, Minimum (0.18%)  
Interest rate modified for the effects of hedge accounting, Maximum 8.88%  
Collateral used to secure Long-term debt $ 205,600 171,600
Zero-coupon notes 7,500 5,500
Zero-coupon notes - aggregate principal amount at maturity 25,100 16,200
Commercial paper 11,738 $ 15,562
Redeemable Long Term Debt 81,800  
Long term debt maturing in 2018 49,400  
Long term debt maturing in 2019 32,200  
Long term debt maturing in 2020 33,800  
Long term debt maturing in 2021 $ 30,600  
Weighted-average contractual interest rates for long term debt 2.49% 2.34%
Modified weighted-average interest rates total long-term debt 2.01% 1.64%
Guarantee of Indebtedness of Others    
Long Term Debt - Supplemental Information    
Guaranteed liabilities $ 3,900 $ 152
Recurring    
Long Term Debt - Supplemental Information    
Long-term debt and junior subordinated deferrable interest debentures 37,686 33,065
Beneficial interest, fair value disclosures 120 787
Long-term beneficial interests    
Long-term debt carrying values by contractual maturity    
Under 1 year 11,602  
1-5 years 19,047  
After 5 years 2,710  
Long-term debt $ 33,359 30,557
Under 1 year, Minimum 0.74%  
Under 1 year, Maximum 5.23%  
1-5 years, Minimum 0.98%  
1-5 years, Maximum 7.87%  
After 5 years, Minimum 0.39%  
After 5 years, maximum 5.94%  
Long Term Debt - Supplemental Information    
Commercial paper $ 5,700 11,300
Junior subordinated debt    
Long-term debt carrying values by contractual maturity    
Under 1 year 0  
1-5 years 0  
After 5 years 2,345  
Long-term debt $ 2,345 3,969
Under 1 year, Minimum 0.00%  
Under 1 year, Maximum 0.00%  
1-5 years, Minimum 0.00%  
1-5 years, Maximum 0.00%  
After 5 years, Minimum 1.39%  
After 5 years, maximum 8.75%  
Secured debt    
Long Term Debt - Supplemental Information    
Long-term debt $ 82,200 76,600
Fixed rate | Long-term beneficial interests    
Long-term debt carrying values by contractual maturity    
Under 1 year 5,164  
1-5 years 12,766  
After 5 years 748  
Long-term debt 18,678 14,199
Fixed rate | Junior subordinated debt    
Long-term debt carrying values by contractual maturity    
Under 1 year 0  
1-5 years 0  
After 5 years 706  
Long-term debt 706 717
Variable rate | Long-term beneficial interests    
Long-term debt carrying values by contractual maturity    
Under 1 year 6,438  
1-5 years 6,281  
After 5 years 1,962  
Long-term debt 14,681 16,358
Variable rate | Junior subordinated debt    
Long-term debt carrying values by contractual maturity    
Under 1 year 0  
1-5 years 0  
After 5 years 1,639  
Long-term debt 1,639 3,252
Parent company    
Long-term debt carrying values by contractual maturity    
Under 1 year 26,939  
1-5 years 73,959  
After 5 years 80,891  
Long-term debt 181,789 179,233
Long Term Debt - Supplemental Information    
Long-term debt 181,789 179,233
Long term debt maturing in 2018 21,200  
Long term debt maturing in 2019 13,000  
Long term debt maturing in 2020 21,900  
Long term debt maturing in 2021 $ 17,900  
Parent company | Senior debt    
Long-term debt carrying values by contractual maturity    
Under 1 year, Minimum 0.09%  
Under 1 year, Maximum 6.40%  
1-5 years, Minimum 0.17%  
1-5 years, Maximum 7.25%  
After 5 years, Minimum 0.45%  
After 5 years, maximum 6.40%  
Parent company | Subordinated debt    
Long-term debt carrying values by contractual maturity    
Under 1 year, Minimum 0.82%  
Under 1 year, Maximum 6.13%  
1-5 years, Minimum 1.93%  
1-5 years, Maximum 8.53%  
After 5 years, Minimum 3.38%  
After 5 years, maximum 8.00%  
Parent company | Fixed rate | Senior debt    
Long-term debt carrying values by contractual maturity    
Under 1 year $ 12,109  
1-5 years 57,938  
After 5 years 58,920  
Long-term debt 128,967 117,758
Parent company | Fixed rate | Subordinated debt    
Long-term debt carrying values by contractual maturity    
Under 1 year 2,096  
1-5 years 152  
After 5 years 14,563  
Long-term debt 16,811 16,250
Parent company | Variable rate | Senior debt    
Long-term debt carrying values by contractual maturity    
Under 1 year 11,870  
1-5 years 15,497  
After 5 years 7,399  
Long-term debt 34,766 44,178
Parent company | Variable rate | Subordinated debt    
Long-term debt carrying values by contractual maturity    
Under 1 year 864  
1-5 years 372  
After 5 years 9  
Long-term debt 1,245 1,047
Subsidiaries    
Long-term debt carrying values by contractual maturity    
Under 1 year 19,766  
1-5 years 71,991  
After 5 years 19,354  
Long-term debt $ 111,111 105,449
Subsidiaries | Federal Home Loan Banks (“FHLB”) advances    
Long-term debt carrying values by contractual maturity    
Under 1 year, Minimum 0.84%  
Under 1 year, Maximum 1.01%  
1-5 years, Minimum 0.83%  
1-5 years, Maximum 1.21%  
After 5 years, Minimum 0.41%  
After 5 years, maximum 0.67%  
Subsidiaries | Senior debt    
Long-term debt carrying values by contractual maturity    
Under 1 year, Minimum 1.29%  
Under 1 year, Maximum 1.49%  
1-5 years, Minimum 0.00%  
1-5 years, Maximum 7.50%  
After 5 years, Minimum 1.30%  
After 5 years, maximum 7.50%  
Subsidiaries | Subordinated debt    
Long-term debt carrying values by contractual maturity    
Under 1 year, Minimum 6.00%  
Under 1 year, Maximum 6.00%  
1-5 years, Minimum 0.00%  
1-5 years, Maximum 0.00%  
After 5 years, Minimum 8.25%  
After 5 years, maximum 8.25%  
Subsidiaries | Fixed rate | Federal Home Loan Banks (“FHLB”) advances    
Long-term debt carrying values by contractual maturity    
Under 1 year $ 5  
1-5 years 31  
After 5 years 143  
Long-term debt 179 191
Subsidiaries | Fixed rate | Senior debt    
Long-term debt carrying values by contractual maturity    
Under 1 year 339  
1-5 years 3,100  
After 5 years 4,890  
Long-term debt 8,329 5,550
Subsidiaries | Fixed rate | Subordinated debt    
Long-term debt carrying values by contractual maturity    
Under 1 year 3,562  
1-5 years 0  
After 5 years 322  
Long-term debt 3,884 6,580
Subsidiaries | Variable rate | Federal Home Loan Banks (“FHLB”) advances    
Long-term debt carrying values by contractual maturity    
Under 1 year 11,340  
1-5 years 57,000  
After 5 years 11,000  
Long-term debt 79,340 71,390
Subsidiaries | Variable rate | Senior debt    
Long-term debt carrying values by contractual maturity    
Under 1 year 4,520  
1-5 years 11,860  
After 5 years 2,999  
Long-term debt 19,379 20,588
Subsidiaries | Variable rate | Subordinated debt    
Long-term debt carrying values by contractual maturity    
Under 1 year 0  
1-5 years 0  
After 5 years 0  
Long-term debt $ 0 $ 1,150
Minimum    
Long-term debt carrying values by contractual maturity    
Interest rate of trust preferred securities and debentures 0.00%  
Minimum | Long-term beneficial interests    
Long-term debt carrying values by contractual maturity    
Interest rate of trust preferred securities and debentures 0.39% 0.00%
Minimum | Junior subordinated debt    
Long-term debt carrying values by contractual maturity    
Interest rate of trust preferred securities and debentures 1.39% 0.83%
Minimum | Parent company | Senior debt    
Long-term debt carrying values by contractual maturity    
Interest rate of trust preferred securities and debentures 0.09% 0.16%
Minimum | Parent company | Subordinated debt    
Long-term debt carrying values by contractual maturity    
Interest rate of trust preferred securities and debentures 0.82% 1.06%
Minimum | Subsidiaries | Federal Home Loan Banks (“FHLB”) advances    
Long-term debt carrying values by contractual maturity    
Interest rate of trust preferred securities and debentures 0.41% 0.17%
Minimum | Subsidiaries | Senior debt    
Long-term debt carrying values by contractual maturity    
Interest rate of trust preferred securities and debentures 0.00% 0.47%
Minimum | Subsidiaries | Subordinated debt    
Long-term debt carrying values by contractual maturity    
Interest rate of trust preferred securities and debentures 6.00% 0.83%
Maximum    
Long-term debt carrying values by contractual maturity    
Interest rate of trust preferred securities and debentures 8.75%  
Maximum | Long-term beneficial interests    
Long-term debt carrying values by contractual maturity    
Interest rate of trust preferred securities and debentures 7.87% 15.94%
Maximum | Junior subordinated debt    
Long-term debt carrying values by contractual maturity    
Interest rate of trust preferred securities and debentures 8.75% 8.75%
Maximum | Parent company | Senior debt    
Long-term debt carrying values by contractual maturity    
Interest rate of trust preferred securities and debentures 7.25% 7.25%
Maximum | Parent company | Subordinated debt    
Long-term debt carrying values by contractual maturity    
Interest rate of trust preferred securities and debentures 8.53% 8.53%
Maximum | Subsidiaries | Federal Home Loan Banks (“FHLB”) advances    
Long-term debt carrying values by contractual maturity    
Interest rate of trust preferred securities and debentures 1.21% 0.72%
Maximum | Subsidiaries | Senior debt    
Long-term debt carrying values by contractual maturity    
Interest rate of trust preferred securities and debentures 7.50% 7.28%
Maximum | Subsidiaries | Subordinated debt    
Long-term debt carrying values by contractual maturity    
Interest rate of trust preferred securities and debentures 8.25% 8.25%