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Commitments (Tables)
6 Months Ended
Jun. 30, 2020
Commitments and Guarantees [Abstract]  
Commitments to Extend Credit and Other Commitments Table 63: Commitments to Extend Credit and Other Commitments
In millions
June 30
2020

 
December 31
2019

 
Commitments to extend credit
 
 
 
 
Total commercial lending
$
137,164

 
$
131,762

 
Home equity lines of credit
17,089

 
16,803

 
Credit card
32,253

 
30,862

 
Other
7,206

 
6,162

 
Total commitments to extend credit
193,712

 
185,589

 
Net outstanding standby letters of credit (a)
9,149

 
9,843

 
Reinsurance agreements (b)
92

 
1,393

 
Standby bond purchase agreements (c)
1,450

 
1,295

 
Other commitments (d)
1,123

 
1,498

 
Total commitments to extend credit and other commitments
$
205,526

 
$
199,618

 
(a)
Net outstanding standby letters of credit include $3.9 billion and $4.1 billion at June 30, 2020 and December 31, 2019, respectively, which support remarketing programs.
(b)
Represents aggregate maximum exposure up to the specified limits of the reinsurance contracts provided by our wholly-owned captive insurance subsidiary. These amounts reflect estimates based on availability of financial information from insurance carriers. As of June 30, 2020, the aggregate maximum exposure amount was zero for accidental death and dismemberment contracts, and $.1 billion for credit life, accident and health contracts. Comparable amounts at December 31, 2019 were $1.3 billion and $.1 billion, respectively.
(c)
We enter into standby bond purchase agreements to support municipal bond obligations.
(d)
Includes $.5 billion and $.6 billion related to investments in qualified affordable housing projects at June 30, 2020 and December 31, 2019, respectively.