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Loan Sale and Servicing Activities and Variable Interest Entities (Cash Flows Associated with Loan Sale and Servicing Activities) (Details) - USD ($)
$ in Millions
3 Months Ended 6 Months Ended
Jun. 30, 2022
Jun. 30, 2021
Jun. 30, 2022
Jun. 30, 2021
Dec. 31, 2021
Residential mortgage loans held for sale          
Cash flows from sales of loans and related securitization activity $ 1,454 $ 2,283 $ 3,348 $ 3,522  
Cash flows from repurchases of previously transferred loans 57 51 105 144  
Cash flows from servicing fees 91 83 184 165  
Cash flows from servicing advances recovered/(funded), net 1 (5) 33 12  
Cash flows on mortgage-backed securities held 1,029 2,660 2,325 5,215  
Carrying value of mortgage-backed securities held 19,100 17,500 19,100 17,500 $ 17,600
Commercial mortgage loans held for sale          
Cash flows from sales of loans and related securitization activity 929 735 1,839 1,723  
Cash flows from repurchases of previously transferred loans   9 27 42  
Cash flows from servicing fees 47 38 89 76  
Cash flows from servicing advances recovered/(funded), net (17) (26) 4 (36)  
Cash flows on mortgage-backed securities held 14 19 28 48  
Carrying value of mortgage-backed securities held $ 800 $ 700 $ 800 $ 700 $ 600