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Allowance for Credit Losses (Details) - USD ($)
$ in Millions
3 Months Ended 9 Months Ended
Sep. 30, 2019
Sep. 30, 2018
Sep. 30, 2019
Sep. 30, 2018
Dec. 31, 2018
Financing Receivable, Allowance for Credit Losses [Line Items]          
Provision for Loan and Lease Losses $ (93) $ (127) $ (189) $ (290)  
Allowance for credit losses, finance receivables          
Beginning balance 513 587 589 597  
Charge-offs (130) (171) (401) (428)  
Recoveries 41 44 137 132  
Provision for credit losses 93 125 189 289  
Other (4) 1 (1) (4)  
Ending balance 513 586 513 586  
Analysis of ending balance of allowance for credit losses, finance receivables          
Collective impairment allowance 492 552 492 552  
Specific impairment allowance 21 34 21 34  
Ending balance 513 586 513 586  
Analysis of ending balance of finance receivables          
Collectively evaluated for impairment 112,859 116,086 112,859 116,086  
Specifically evaluated for impairment 425 544 425 544  
Financing Receivables 113,284 116,630 113,284 116,630 $ 119,403
Finance receivables, net 112,771 116,044 $ 112,771 116,044 118,814
Net Investment in Operating Leases, Length of Lease     60 months or less    
Net investment in operating lease, term and payment extension     12 months    
Consumer Segment [Member]          
Allowance for credit losses, finance receivables          
Beginning balance 496 573 $ 566 582  
Charge-offs (129) (128) (383) (382)  
Recoveries 41 40 129 126  
Provision for credit losses 93 73 187 237  
Other (3) 1 (1) (4)  
Ending balance 498 559 498 559  
Analysis of ending balance of allowance for credit losses, finance receivables          
Collective impairment allowance 479 538 479 538  
Specific impairment allowance 19 21 19 21  
Ending balance 498 559 498 559  
Analysis of ending balance of finance receivables          
Collectively evaluated for impairment 73,564 76,448 73,564 76,448  
Specifically evaluated for impairment 334 379 334 379  
Financing Receivables 73,898 76,827 73,898 76,827 76,239
Finance receivables, net 73,400 76,268 73,400 76,268  
Non-Consumer Segment [Member]          
Allowance for credit losses, finance receivables          
Beginning balance 17 14 23 15  
Charge-offs (1) (43) (18) (46)  
Recoveries 0 4 8 6  
Provision for credit losses 0 52 2 52  
Other (1) 0 0 0  
Ending balance 15 27 15 27  
Analysis of ending balance of allowance for credit losses, finance receivables          
Collective impairment allowance 13 14 13 14  
Specific impairment allowance 2 13 2 13  
Ending balance 15 27 15 27  
Analysis of ending balance of finance receivables          
Collectively evaluated for impairment 39,295 39,638 39,295 39,638  
Specifically evaluated for impairment 91 165 91 165  
Financing Receivables 39,386 39,803 39,386 39,803 $ 43,164
Finance receivables, net $ 39,371 39,776 39,371 39,776  
Adjustments for New Accounting Pronouncement [Member]          
Financing Receivable, Allowance for Credit Losses [Line Items]          
Provision for Loan and Lease Losses   $ (29)   $ (77)  
Allowance for credit losses, finance receivables          
Beginning balance     $ 78    
Maximum [Member]          
Analysis of ending balance of finance receivables          
Net investment in operating lease, payment extension     6 months