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Securities (Tables)
3 Months Ended
Mar. 31, 2016
Schedule of Trading Securities and Other Trading Assets [Line Items]  
Reconciliation of Amortized Cost to Fair Value of Securities Available for Sale
The following tables provide the amortized cost and fair values of securities at March 31, 2016 and December 31, 2015.
Table 28: Reconciliation of Amortized Cost to Fair Value of Securities Available for Sale
Securities Available for Sale
March 31, 2016
 
Amortized
Cost
 
Gross Unrealized
 
Fair
Value
(In Millions)
Gains
 
Losses
 
U.S. Government
$
6,803.3

 
$
53.8

 
$

 
$
6,857.1

Obligations of States and Political Subdivisions
190.5

 
0.3

 
1.0

 
189.8

Government Sponsored Agency
16,866.1

 
56.6

 
30.1

 
16,892.6

Non-U.S. Government
280.5

 
0.2

 

 
280.7

Corporate Debt
3,865.3

 
10.3

 
17.8

 
3,857.8

Covered Bonds
1,377.6

 
2.1

 
4.9

 
1,374.8

Sub-Sovereign, Supranational and Non-U.S. Agency Bonds
1,069.5

 
2.6

 
1.9

 
1,070.2

Other Asset-Backed
2,300.4

 
1.2

 
1.5

 
2,300.1

Auction Rate
16.6

 
0.5

 
0.5

 
16.6

Commercial Mortgage-Backed
406.5

 
0.7

 
0.3

 
406.9

Other
83.6

 
0.1

 
0.1

 
83.6

Total
$
33,259.9

 
$
128.4

 
$
58.1

 
$
33,330.2

Securities Available for Sale
December 31, 2015
 
Amortized
Cost
 
Gross Unrealized
 
Fair
Value
(In Millions)
Gains
 
Losses
 
U.S. Government
$
6,180.4

 
$
3.4

 
$
5.5

 
$
6,178.3

Obligations of States and Political Subdivisions
36.4

 
0.1

 
0.1

 
36.4

Government Sponsored Agency
16,370.5

 
42.8

 
46.5

 
16,366.8

Non-U.S. Government
309.5

 
0.1

 
0.1

 
309.5

Corporate Debt
3,744.4

 
0.9

 
33.1

 
3,712.2

Covered Bonds
1,873.3

 
1.8

 
4.9

 
1,870.2

Sub-Sovereign, Supranational and Non-U.S. Agency Bonds
860.9

 
0.5

 
2.0

 
859.4

Other Asset-Backed
2,504.2

 
0.1

 
4.2

 
2,500.1

Auction Rate
16.7

 
0.5

 
0.1

 
17.1

Commercial Mortgage-Backed
378.1

 

 
3.7

 
374.4

Other
93.4

 
0.1

 

 
93.5

Total
$
32,367.8

 
$
50.3

 
$
100.2

 
$
32,317.9

Reconciliation of Amortized Cost to Fair Values of Securities Held to Maturity
Table 29: Reconciliation of Amortized Cost to Fair Value of Securities Held to Maturity
Securities Held to Maturity
March 31, 2016
 
Amortized
Cost
 
Gross Unrealized
 
Fair
Value
(In Millions)
Gains
 
Losses
 
U.S Government
$
28.0

 
$

 
$

 
$
28.0

Obligations of States and Political Subdivisions
79.3

 
4.9

 

 
84.2

Government Sponsored Agency
9.2

 
0.7

 

 
9.9

Corporate Debt
85.5

 
0.1

 

 
85.6

Covered Bonds
1,578.4

 
5.2

 
1.6

 
1,582.0

Non-U.S. Government
1,077.2

 
6.7

 

 
1,083.9

Certificates of Deposit
730.5

 
0.1

 
0.2

 
730.4

Sub-Sovereign, Supranational and Non-U.S. Agency Bonds
2,186.8

 
10.4

 
0.5

 
2,196.7

Other
94.7

 

 
33.9

 
60.8

Total
$
5,869.6

 
$
28.1

 
$
36.2

 
$
5,861.5

Securities Held to Maturity
December 31, 2015
 
Amortized
Cost
 
Gross Unrealized
 
Fair
Value
(In Millions)
Gains
 
Losses
 
U.S Government
$
26.0

 
$

 
$

 
$
26.0

Obligations of States and Political Subdivisions
89.2

 
5.2

 

 
94.4

Government Sponsored Agency
9.9

 
0.7

 

 
10.6

Covered Bonds
892.4

 
0.4

 
1.9

 
890.9

Non-U.S. Government
1,118.0

 
4.8

 
0.5

 
1,122.3

Certificates of Deposit
691.6

 
0.1

 
0.1

 
691.6

Sub-Sovereign, Supranational and Non-U.S. Agency Bonds
2,326.2

 
8.3

 
0.9

 
2,333.6

Other
95.0

 

 
36.9

 
58.1

Total
$
5,248.3

 
$
19.5

 
$
40.3

 
$
5,227.5

Securities Continuous Unrealized Loss Position
The following tables provide information regarding securities that had been in a continuous unrealized loss position for less than twelve months and for twelve months or longer as of March 31, 2016 and December 31, 2015.
Table 31: Securities with Unrealized Losses
Securities with Unrealized Losses as of March 31, 2016
 
Less than 12 Months
 
12 Months or Longer
 
Total
(In Millions)
 
Fair Value
 
Unrealized
Losses
 
Fair Value
 
Unrealized
Losses
 
Fair Value
 
Unrealized
Losses
Obligations of States and Political Subdivisions
 
$
97.2

 
$
1.0

 
$

 
$

 
$
97.2

 
$
1.0

Government Sponsored Agency
 
6,251.9

 
21.9

 
1,327.1

 
8.2

 
7,579.0

 
30.1

Corporate Debt
 
893.3

 
5.6

 
1,041.7

 
12.2

 
1,935.0

 
17.8

Covered Bonds
 
1,054.8

 
6.5

 

 

 
1,054.8

 
6.5

Sub-Sovereign, Supranational and Non-U.S. Agency Bonds
 
578.6

 
2.3

 
109.8

 
0.1

 
688.4

 
2.4

Other Asset-Backed
 
1,383.1

 
1.4

 
60.3

 
0.1

 
1,443.4

 
1.5

Certificates of Deposit
 
314.3

 
0.2

 

 

 
314.3

 
0.2

Auction Rate
 

 

 
6.0

 
0.5

 
6.0

 
0.5

Commercial Mortgage-Backed
 
140.5

 
0.3

 

 

 
140.5

 
0.3

Other
 
73.5

 
12.0

 
49.6

 
22.0

 
123.1

 
34.0

Total
 
$
10,787.2

 
$
51.2

 
$
2,594.5

 
$
43.1

 
$
13,381.7

 
$
94.3

Securities with Unrealized Losses as of December 31, 2015
 
Less than 12 Months
 
12 Months or Longer
 
Total
(In Millions)
 
Fair Value
 
Unrealized
Losses
 
Fair Value
 
Unrealized
Losses
 
Fair Value
 
Unrealized
Losses
U.S. Government
 
$
3,888.0

 
$
5.5

 
$

 
$

 
$
3,888.0

 
$
5.5

Obligations of States and Political Subdivisions
 
15.1

 
0.1

 

 

 
15.1

 
0.1

Government Sponsored Agency
 
9,208.5

 
38.7

 
1,213.6

 
7.8

 
10,422.1

 
46.5

Non-U.S. Government
 
314.3

 
0.6

 

 

 
314.3

 
0.6

Corporate Debt
 
2,067.6

 
10.3

 
1,057.1

 
22.8

 
3,124.7

 
33.1

Covered Bonds
 
1,598.4

 
6.7

 
10.0

 
0.1

 
1,608.4

 
6.8

Sub-Sovereign, Supranational and Non-U.S. Agency Bonds
 
1,132.9

 
2.3

 
109.3

 
0.6

 
1,242.2

 
2.9

Other Asset-Backed
 
2,122.7

 
4.0

 
170.6

 
0.2

 
2,293.3

 
4.2

Certificates of Deposit
 
180.3

 
0.1

 

 

 
180.3

 
0.1

Auction Rate
 

 

 
6.4

 
0.1

 
6.4

 
0.1

Commercial Mortgage-Backed
 
374.4

 
3.7

 

 

 
374.4

 
3.7

Other
 
28.7

 
13.3

 
50.7

 
23.6

 
79.4

 
36.9

Total
 
$
20,930.9

 
$
85.3

 
$
2,617.7

 
$
55.2

 
$
23,548.6

 
$
140.5

Credit Related Impairment Losses Recognized in Earnings on Other Than Temporarily Impaired Securities
he table below provides the cumulative credit-related losses recognized in earnings on debt securities other-than-temporarily impaired.
Table 32: Cumulative Credit-Related Losses on Securities
 
Three Months Ended
March 31,
(In Millions)
2016
 
2015
Cumulative Credit-Related Losses on Securities Held — Beginning of Period
$
5.2

 
$
5.2

Plus: Losses on Newly Identified Impairments

 

Additional Losses on Previously Identified Impairments

 

Less: Current and Prior Period Losses on Securities Sold During the Period

 

Cumulative Credit-Related Losses on Securities Held — End of Period
$
5.2

 
$
5.2

Securities Available for Sale  
Schedule of Trading Securities and Other Trading Assets [Line Items]  
Remaining Maturity of Securities
The following table provides the remaining maturity of securities as of March 31, 2016.
Table 30: Remaining Maturity of Securities Available for Sale and Held to Maturity
 
March 31, 2016
(In Millions)
Amortized
Cost
 
Fair
Value
Available for Sale
 
 
 
Due in One Year or Less
$
9,795.2

 
$
9,807.1

Due After One Year Through Five Years
17,443.3

 
17,498.9

Due After Five Years Through Ten Years
4,742.3

 
4,745.1

Due After Ten Years
1,279.1

 
1,279.1

Total
33,259.9

 
33,330.2

Held to Maturity
 
 
 
Due in One Year or Less
1,979.0

 
1,982.8

Due After One Year Through Five Years
3,823.7

 
3,841.9

Due After Five Years Through Ten Years
13.8

 
11.1

Due After Ten Years
53.1

 
25.7

Total
$
5,869.6

 
$
5,861.5

Note: Mortgage-backed and asset-backed securities are included in the above table taking into account anticipated future prepayments.
Held-to-maturity Securities  
Schedule of Trading Securities and Other Trading Assets [Line Items]  
Remaining Maturity of Securities
 
March 31, 2016
(In Millions)
Amortized
Cost
 
Fair
Value
Available for Sale
 
 
 
Due in One Year or Less
$
9,795.2

 
$
9,807.1

Due After One Year Through Five Years
17,443.3

 
17,498.9

Due After Five Years Through Ten Years
4,742.3

 
4,745.1

Due After Ten Years
1,279.1

 
1,279.1

Total
33,259.9

 
33,330.2

Held to Maturity
 
 
 
Due in One Year or Less
1,979.0

 
1,982.8

Due After One Year Through Five Years
3,823.7

 
3,841.9

Due After Five Years Through Ten Years
13.8

 
11.1

Due After Ten Years
53.1

 
25.7

Total
$
5,869.6

 
$
5,861.5

Note: Mortgage-backed and asset-backed securities are included in the above table taking into account anticipated future prepayments.