XML 67 R49.htm IDEA: XBRL DOCUMENT v3.21.2
BANK DEPOSITS (Tables)
12 Months Ended
Sep. 30, 2021
Deposits [Abstract]  
Summary of Bank Deposits The following table presents a summary of bank deposits, as well as the weighted-average interest rates on such deposits. The calculation of the weighted-average rates were based on the actual deposit balances and rates at each respective period end.
September 30,
 20212020
$ in millionsBalanceWeighted-average rate BalanceWeighted-average rate
Savings and money market accounts
$31,415 0.01 %$25,604 0.01 %
Certificates of deposit
878 1.87 %1,017 1.94 %
NOW accounts
164 1.84 %156 1.92 %
Demand deposits (non-interest-bearing)
38  24 — 
Total bank deposits
$32,495 0.07 %$26,801 0.09 %
Scheduled Maturities of Certificates of Deposit
The following table sets forth the scheduled maturities of certificates of deposit.
September 30,
 20212020
$ in millionsDenominations
greater than or
equal to $100,000
Denominations
less than $100,000
Denominations
greater than or
equal to $100,000
Denominations
less than $100,000
Three months or less
$22 $87 $59 $76 
Over three through six months
21 76 26 18 
Over six through twelve months
32 54 19 26 
Over one through two years
93 170 43 206 
Over two through three years
37 166 67 170 
Over three through four years
6 99 37 165 
Over four through five years
9 6 98 
Total certificates of deposit$220 $658 $258 $759 
Interest Expense on Deposits
Interest expense on deposits, excluding interest expense related to affiliate deposits, is summarized in the following table.
 Year ended September 30,
$ in millions202120202019
Savings, money market, and NOW accounts$6 $21 $120 
Certificates of deposit17 20 12 
Total interest expense on deposits
$23 $41 $132