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Allowance for Credit Losses (Details) - USD ($)
$ in Millions
3 Months Ended
Mar. 31, 2019
Mar. 31, 2018
Dec. 31, 2018
Allowance for credit losses, finance receivables      
Beginning balance $ 589 $ 597  
Charge-offs (154) (133)  
Recoveries 45 40  
Provision for credit losses 33 94  
Other 0 2  
Ending balance 513 600  
Analysis of ending balance of allowance for credit losses, finance receivables      
Collective impairment allowance 493 578  
Specific impairment allowance 20 22  
Ending balance 513 600  
Analysis of ending balance of finance receivables      
Collectively evaluated for impairment 119,280 121,048  
Specifically evaluated for impairment 483 488  
Financing Receivables 119,763 121,536 $ 119,403
Ending balance, net of allowance for credit losses 119,250 120,936 118,814
Consumer Segment [Member]      
Allowance for credit losses, finance receivables      
Beginning balance 566 582  
Charge-offs (137) (131)  
Recoveries 43 39  
Provision for credit losses 24 92  
Other 0 2  
Ending balance 496 584  
Analysis of ending balance of allowance for credit losses, finance receivables      
Collective impairment allowance 477 563  
Specific impairment allowance 19 21  
Ending balance 496 584  
Analysis of ending balance of finance receivables      
Collectively evaluated for impairment 74,555 75,989  
Specifically evaluated for impairment 359 380  
Financing Receivables 74,914 76,369 76,239
Ending balance, net of allowance for credit losses 74,418 75,785  
Non-Consumer Segment [Member]      
Allowance for credit losses, finance receivables      
Beginning balance 23 15  
Charge-offs (17) (2)  
Recoveries 2 1  
Provision for credit losses 9 2  
Other 0 0  
Ending balance 17 16  
Analysis of ending balance of allowance for credit losses, finance receivables      
Collective impairment allowance 16 15  
Specific impairment allowance 1 1  
Ending balance 17 16  
Analysis of ending balance of finance receivables      
Collectively evaluated for impairment 44,725 45,059  
Specifically evaluated for impairment 124 108  
Financing Receivables 44,849 45,167 $ 43,164
Ending balance, net of allowance for credit losses $ 44,832 $ 45,151