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BENEFIT PLANS (Tables)
12 Months Ended
Dec. 31, 2025
Retirement Benefits [Abstract]  
Schedule of Weighted-average Assumptions Used
The following table shows the weighted-average assumptions used to determine the benefit obligation and the net periodic benefit cost.
At December 31,
20252024
Weighted-average assumptions used to determine benefit obligations:
Discount rate5.50 %5.67 %
Weighted-average assumptions used to determine net periodic benefit cost:
Discount rate5.67 5.15 
Expected return on plan assets5.50 5.50 
Schedule of Changes in Projected Benefit Obligation
The following table reconciles the beginning and ending balances of the benefit obligation of the Plan with the amounts recognized in the consolidated balance sheets.
At December 31,
(dollar amounts in millions)20252024
Projected benefit obligation at beginning of measurement year$646 $687 
Changes due to:
Service cost
Interest cost34 34 
Benefits paid(35)(34)
Settlements(13)(9)
Actuarial (losses) gains
(35)
Total changes(5)(41)
Projected benefit obligation at end of measurement year$641 $646 
Schedule of Changes in Fair Value of Plan Assets
The following table reconciles the beginning and ending balances of the fair value of Plan assets.
At December 31,
(dollar amounts in millions)20252024
Fair value of plan assets at beginning of measurement year$678 $729 
Changes due to:
Actual return on plan assets80 (8)
Settlements(13)(9)
Benefits paid(35)(34)
Total changes32 (51)
Fair value of plan assets at end of measurement year$710 $678 
Schedule of Net Periodic Benefit Costs
The following table shows the components of net periodic benefit costs recognized.
Year Ended December 31, (1)
(dollar amounts in millions)202520242023
Service cost$$$
Interest cost34 34 36 
Expected return on plan assets(43)(46)(43)
Amortization of loss
Settlements
Benefit costs$$(3)$
(1)    Pension costs are recognized in other noninterest income in the Consolidated Statements of Income.
Schedule of Allocation of Plan Assets The Plan assets consisted of investments in a variety of cash equivalent, corporate and government fixed income, and equity investments as follows.
Fair Value at December 31,
(dollar amounts in millions)20252024
Cash equivalents:
Mutual funds-money market$11 %$11 %
Fixed income:
Corporate obligations223 31 212 31 
U.S. Government obligations75 11 69 10 
Municipal obligations— — 
Collective trust funds287 41 273 40 
Equities:
Limited liability companies11 
Collective trust funds60 78 12 
Limited partnerships46 23 
Fair value of plan assets$710 100 %$678 100 %
Schedule of Expected Benefit Payments
At December 31, 2025, the following table shows when benefit payments are expected to be paid.
(dollar amounts in millions)Pension Benefits
2026$53 
202753 
202853 
202953 
203052 
2031 through 2035247 
Schedule of Huntington Stock Statistics for Defined Contribution Plan
The following table shows the number of shares, market value, and dividends received on shares of Huntington stock held by the defined contribution plan.
At December 31,
(dollar amounts in millions, share amounts in thousands)20252024
Shares in Huntington common stock 10,458 10,910 
Market value of Huntington common stock$181 $178 
Dividends received on shares of Huntington stock