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Accumulated Other Comprehensive Loss (Tables)
6 Months Ended
Jun. 30, 2025
Equity [Abstract]  
Schedule of Accumulated Other Comprehensive Loss
The following tables present changes, net of tax, in each component of accumulated other comprehensive loss.
Three months ended June 30,
Investment securities
($ in millions)
Available-
for-sale securities (a)
Held-to-maturity securitiesTranslation adjustments and net investment hedges (b)Cash flow hedges (b)Accumulated other comprehensive loss
Balance at April 1, 2024$(3,317)$(667)$20 $(25)$(3,989)
Net change(36)17 — (1)(20)
Balance at June 30, 2024$(3,353)$(650)$20 $(26)$(4,009)
Balance at April 1, 2025$(2,665)$(601)$20 $(16)$(3,262)
Net change18 17 2 6 43 
Balance at June 30, 2025$(2,647)$(584)$22 $(10)$(3,219)
(a)Represents the after-tax difference between the fair value and amortized cost of our available-for-sale securities portfolio. Refer to Note 7 for additional information.
(b)For additional information on derivative instruments and hedging activities, refer to Note 19.
Six months ended June 30,
Investment securities
($ in millions)
Available-
for-sale securities (a)
Held-to-maturity securitiesTranslation adjustments and net investment hedges (b)Cash flow hedges (b)Accumulated other comprehensive loss
Balance at January 1, 2024$(3,146)$(682)$21 $(9)$(3,816)
Net change(207)32 (1)(17)(193)
Balance at June 30, 2024$(3,353)$(650)$20 $(26)$(4,009)
Balance at January 1, 2025$(3,307)$(616)$20 $(21)$(3,924)
Net change660 32 2 11 705 
Balance at June 30, 2025$(2,647)$(584)$22 $(10)$(3,219)
(a)Represents the after-tax difference between the fair value and amortized cost of our available-for-sale securities portfolio. Refer to Note 7 for additional information.
(b)For additional information on derivative instruments and hedging activities, refer to Note 19.
Schedule of Reclassification Out of Accumulated Other Comprehensive Loss
The following tables present the before- and after-tax changes in each component of accumulated other comprehensive loss.
Three months ended June 30, 2025 ($ in millions)
Before taxTax effectAfter tax
Investment securities
Available-for-sale securities
Net unrealized gains arising during the period$26 $(7)$19 
Less: Net realized gains reclassified to income from continuing operations2 (a)(1)(b)1 
Net change24 (6)18 
Held-to-maturity securities
Less: Amortization of amounts previously recorded upon transfer from available-for-sale(22)(c)5 (b)(17)
Translation adjustments
Net unrealized gains arising during the period12 (3)9 
Net investment hedges (d)
Net unrealized losses arising during the period(9)2 (7)
Cash flow hedges (d)
Net unrealized losses arising during the period(1) (1)
Less: Net realized losses reclassified to income from continuing operations(8)(e)1 (b)(7)
Net change7 (1)6 
Other comprehensive income$56 $(13)$43 
(a)Includes gains reclassified to other gain (loss) on investments, net in our Condensed Consolidated Statement of Comprehensive Income.
(b)Includes amounts reclassified to income tax expense from continuing operations in our Condensed Consolidated Statement of Comprehensive Income
(c)Includes amounts reclassified to interest and dividends on investment securities and other earning assets in our Condensed Consolidated Statement of Comprehensive Income.
(d)For additional information on derivative instruments and hedging activities, refer to Note 19.
(e)Includes losses reclassified to interest and fees on finance receivables and loans in our Condensed Consolidated Statement of Comprehensive Income.
Three months ended June 30, 2024 ($ in millions)
Before taxTax effectAfter tax
Investment securities
Available-for-sale securities
Net unrealized losses arising during the period$(47)$11 $(36)
Held-to-maturity securities
Less: Amortization of amounts previously recorded upon transfer from available-for-sale(22)(a)(b)(17)
Translation adjustments
Net unrealized losses arising during the period(2)— (2)
Net investment hedges (c)
Net unrealized gains arising during the period— 
Cash flow hedges (c)
Net unrealized losses arising during the period(3)(2)
Less: Net realized losses reclassified to income from continuing operations(2)(d)(b)(1)
Net change(1)— (1)
Other comprehensive loss$(26)$$(20)
(a)Includes amounts reclassified to interest and dividends on investment securities and other earning assets in our Condensed Consolidated Statement of Comprehensive Income.
(b)Includes amounts reclassified to income tax expense from continuing operations in our Condensed Consolidated Statement of Comprehensive Income.
(c)For additional information on derivative instruments and hedging activities, refer to Note 19.
(d)Includes losses reclassified to interest and fees on finance receivables and loans in our Condensed Consolidated Statement of Comprehensive Income.
Six months ended June 30, 2025 ($ in millions)
Before taxTax effectAfter tax
Investment securities
Available-for-sale securities
Net unrealized gains arising during the period$372 $(88)$284 
Less: Net realized losses reclassified to income from continuing operations(493)(a)117 (b)(376)
Net change865 (205)660 
Held-to-maturity securities
Less: Amortization of amounts previously recorded upon transfer from available-for-sale(42)(c)10 (b)(32)
Translation adjustments
Net unrealized gains arising during the period12 (3)9 
Net investment hedges (d)
Net unrealized losses arising during the period(9)2 (7)
Cash flow hedges (d)
Net unrealized losses arising during the period(1) (1)
Less: Net realized losses reclassified to income from continuing operations(15)(e)3 (b)(12)
Net change14 (3)11 
Other comprehensive income$924 $(219)$705 
(a)Includes losses reclassified to other gain (loss) on investments, net in our Condensed Consolidated Statement of Comprehensive Income related to the balance sheet repositioning of our available-for-sale securities portfolio. Refer to Note 7 for additional information.
(b)Includes amounts reclassified to income tax expense from continuing operations in our Condensed Consolidated Statement of Comprehensive Income.
(c)Includes amounts reclassified to interest and dividends on investment securities and other earning assets in our Condensed Consolidated Statement of Comprehensive Income.
(d)For additional information on derivative instruments and hedging activities, refer to Note 19.
(e)Includes losses reclassified to interest and fees on finance receivables and loans in our Condensed Consolidated Statement of Comprehensive Income.
Six months ended June 30, 2024 ($ in millions)
Before taxTax effectAfter tax
Investment securities
Available-for-sale securities
Net unrealized losses arising during the period$(270)$64 $(206)
Less: Net realized gains reclassified to income from continuing operations1(a)— (b)1
Net change(271)64 (207)
Held-to-maturity securities
Less: Amortization of amounts previously recorded upon transfer from available-for-sale(42)(c)10 (b)(32)
Translation adjustments
Net unrealized losses arising during the period(7)(6)
Net investment hedges (d)
Net unrealized gains arising during the period(1)
Cash flow hedges (d)
Net unrealized losses arising during the period(25)(19)
Less: Net realized losses reclassified to income from continuing operations(3)(e)(b)(2)
Net change(22)(17)
Other comprehensive loss$(252)$59 $(193)
(a)Includes gains reclassified to other gain (loss) on investments, net in our Condensed Consolidated Statement of Comprehensive Income.
(b)Includes amounts reclassified to income tax expense from continuing operations in our Condensed Consolidated Statement of Comprehensive Income.
(c)Includes amounts reclassified to interest and dividends on investment securities and other earning assets in our Condensed Consolidated Statement of Comprehensive Income.
(d)For additional information on derivative instruments and hedging activities, refer to Note 19.
(e)Includes losses reclassified to interest and fees on finance receivables and loans in our Condensed Consolidated Statement of Comprehensive Income.