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INVESTMENTS (Details 10) (Purchased Credit Impaired (PCI) Securities, USD $)
In Millions, unless otherwise specified
3 Months Ended
Mar. 31, 2013
Mar. 31, 2012
Dec. 31, 2012
Purchased Credit Impaired (PCI) Securities
     
Purchased Credit Impaired (PCI) Securities      
Contractually required payments (principal and interest) $ 19,807    
Cash flows expected to be collected 15,543    
Recorded investment in acquired securities 10,011    
Outstanding principal balance 12,257   11,791
Amortized cost 8,122   7,718
Fair value 9,551   8,823
Changes in activity for the accretable yield on PCI securities:      
Balance, beginning of period 4,766 4,135  
Newly purchased PCI securities 345 1,222  
Disposals (60) (47)  
Accretion (160) (168)  
Effect of changes in interest rate indices 84 (28)  
Net reclassification from non-accretable difference, including effects of prepayments 139 32  
Balance, end of period $ 5,114 $ 5,146