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Supplemental Cash Flow Information
12 Months Ended
Dec. 31, 2024
Additional Cash Flow Elements and Supplemental Cash Flow Information [Abstract]  
Supplemental Cash Flow Information Supplemental Cash Flow Information
Cash payments related to interest and income taxes in addition to non-cash investing and financing activities are presented in the following table for the years ended December 31:
($ in millions)202420232022
Cash Payments:
Interest$4,871 3,776 869 
Income taxes195 655 272 
Transfers:
Portfolio loans and leases to loans and leases held for sale$422 513 105 
Loans and leases held for sale to portfolio loans and leases4 409 
Portfolio loans and leases to OREO23 12 
Bank premises and equipment to OREO9 30 24 
Available-for-sale debt securities to held-to-maturity securities(a)
11,593 — — 
Supplemental Disclosures:
Net additions to lease liabilities under operating leases
$74 72 152 
Net additions (reductions) to lease liabilities under finance leases44 (6)27 
(a)Represents the fair value of the securities on the date of transfer. Refer to Note 4 for additional information.