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Condensed Consolidated Balance Sheet - USD ($)
$ in Millions
Dec. 31, 2021
Dec. 31, 2020
Cash and cash equivalents    
Noninterest-bearing $ 502 $ 724
Interest-bearing 4,560 14,897
Total cash and cash equivalents 5,062 15,621
Equity securities 1,102 1,071
Available-for-sale securities (amortized cost of $33,650 and $28,936) [1] 33,587 29,830
Held-to-maturity securities (fair value of $1,204 and $1,331) 1,170 1,253
Loans held-for-sale, net 549 406
Finance receivables and loans, net    
Finance receivables and loans, net of unearned income 122,268 118,534
Allowance for loan losses (3,267) (3,283)
Total finance receivables and loans, net 119,001 115,251
Investment in operating leases, net 10,862 9,639
Premiums receivable and other insurance assets 2,724 2,679
Other assets 8,057 6,415
Total assets 182,114 182,165
Deposit liabilities    
Noninterest-bearing 150 128
Interest-bearing 141,408 136,908
Total deposit liabilities 141,558 137,036
Short-term borrowings 0 2,136
Long-term debt 17,029 22,006
Interest payable 210 412
Unearned insurance premiums and service revenue 3,514 3,438
Accrued expenses and other liabilities 2,753 2,434
Total liabilities 165,064 167,462
Commitments and contingencies (refer to Note 28 and Note 29)
Equity [Abstract]    
Common stock and paid-in capital ($0.01 par value, shares authorized 1,100,000,000; issued 504,521,535 and 501,237,055; and outstanding 337,940,636 and 374,674,415) 21,671 21,544
Preferred stock 2,324 0
Accumulated deficit (1,599) (4,278)
Accumulated other comprehensive (loss) income (158) 631
Treasury stock, at cost (166,580,899 and 126,562,640 shares) (5,188) (3,194)
Total equity 17,050 14,703
Total liabilities and equity $ 182,114 $ 182,165
[1] Refer to Note 8 for discussion of investment securities pledged as collateral.