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Fair Value Measurements (Fair Value of Financial Instruments) (Details) - USD ($)
$ in Millions
Mar. 31, 2017
Dec. 31, 2016
Mar. 31, 2016
Dec. 31, 2015
Assets        
Cash and Due from Banks $ 4,649.2 $ 5,332.0 $ 6,988.4 $ 6,418.5
Federal Reserve and Other Central Bank Deposits 25,959.5 26,674.2 29.2  
Interest-Bearing Deposits with Banks 5,247.8 4,800.6 $ 17.5  
Federal Funds Sold and Securities Purchased under Agreements to Resell 1,933.8 1,974.3    
Securities        
Available for Sale (Note) 34,997.6 35,579.8    
Held to Maturity 8,938.4 8,921.1    
Trading Account 1.4 0.3    
Loans (excluding Leases)        
Client Security Settlement Receivables 1,559.9 1,043.7    
Deposits        
Savings Certificates and Other Time 1,346.8 1,331.7    
Non U.S. Offices Interest-Bearing 52,757.3 53,648.1    
Federal Funds Purchased 369.5 204.8    
Securities Sold Under Agreements to Repurchase 433.2 473.7    
Other Borrowings 4,077.1 5,109.5    
Senior Notes 1,496.8 1,496.6    
Long Term Debt (excluding Leases)        
Floating Rate Capital Debt 277.4 277.4    
Derivative Instruments        
Fair value asset 1,530.3 3,047.6    
Fair value liability 1,386.3 2,767.6    
Other Financial Derivatives        
Derivative Instruments        
Fair value liability 26.4 25.2    
Asset And Liability Management        
Derivative Instruments        
Fair value asset 67.8 494.8    
Fair value liability 58.9 42.2    
Client Related and Trading        
Derivative Instruments        
Fair value asset 1,928.6 3,361.2    
Fair value liability 1,899.9 3,306.9    
Client Related and Trading | Foreign Exchange Contracts        
Derivative Instruments        
Fair value asset 1,851.8 3,274.2    
Fair value liability 1,832.6 3,221.7    
Client Related and Trading | Interest Rate Contracts        
Derivative Instruments        
Fair value asset 76.8 87.0    
Fair value liability 67.3 85.2    
Level 2        
Securities        
Available for Sale (Note) 28,200.0 28,100.0    
Carrying (Reported) Amount, Fair Value Disclosure        
Assets        
Cash and Due from Banks 4,649.2 5,332.0    
Federal Reserve and Other Central Bank Deposits 25,959.5 26,674.2    
Interest-Bearing Deposits with Banks 5,247.8 4,800.6    
Federal Funds Sold and Securities Purchased under Agreements to Resell 1,933.8 1,974.3    
Securities        
Available for Sale (Note) 34,997.6 35,579.8    
Held to Maturity 8,938.4 8,921.1    
Trading Account 1.4 0.3    
Loans (excluding Leases)        
Held for Investment 33,056.5 33,354.1    
Held for Sale 0.0 13.4    
Client Security Settlement Receivables 1,559.9 1,043.7    
Other Assets        
Federal Reserve and Federal Home Loan Bank Stock 158.1 203.1    
Community Development Investments 209.8 218.9    
Employee Benefit and Deferred Compensation 185.2 166.2    
Deposits        
Demand, Noninterest-Bearing, Savings and Money Market 46,425.4 46,671.9    
Savings Certificates and Other Time 1,346.8 1,331.7    
Non U.S. Offices Interest-Bearing 52,757.3 53,648.1    
Federal Funds Purchased 369.5 204.8    
Securities Sold Under Agreements to Repurchase 433.2 473.7    
Other Borrowings 4,077.1 5,109.5    
Senior Notes 1,496.8 1,496.6    
Long Term Debt (excluding Leases)        
Subordinated Debt 1,302.5 1,307.9    
Floating Rate Capital Debt 277.4 277.4    
Other Liabilities        
Standby Letters of Credit 36.8 37.2    
Loan Commitments 37.5 41.2    
Carrying (Reported) Amount, Fair Value Disclosure | Asset And Liability Management | Foreign Exchange Contracts        
Derivative Instruments        
Fair value asset 30.5 335.4    
Fair value liability 42.1 21.2    
Carrying (Reported) Amount, Fair Value Disclosure | Asset And Liability Management | Interest Rate Contracts        
Derivative Instruments        
Fair value asset 39.4 160.2    
Fair value liability 17.5 22.8    
Carrying (Reported) Amount, Fair Value Disclosure | Asset And Liability Management | Other Financial Derivatives        
Derivative Instruments        
Fair value liability 26.4 25.2    
Carrying (Reported) Amount, Fair Value Disclosure | Client Related and Trading | Foreign Exchange Contracts        
Derivative Instruments        
Fair value asset 1,851.8 3,274.2    
Fair value liability 1,832.6 3,221.7    
Carrying (Reported) Amount, Fair Value Disclosure | Client Related and Trading | Interest Rate Contracts        
Derivative Instruments        
Fair value asset 76.8 87.0    
Fair value liability 67.3 85.2    
Estimate of Fair Value, Fair Value Disclosure        
Assets        
Cash and Due from Banks 4,649.2 5,332.0    
Federal Reserve and Other Central Bank Deposits 25,959.5 26,674.2    
Interest-Bearing Deposits with Banks 5,247.8 4,800.6    
Federal Funds Sold and Securities Purchased under Agreements to Resell 1,933.8 1,974.3    
Securities        
Available for Sale (Note) 34,997.6 35,579.8    
Held to Maturity 8,933.4 8,905.1    
Trading Account 1.4 0.3    
Loans (excluding Leases)        
Held for Investment 33,151.9 33,471.3    
Held for Sale 0.0 13.4    
Client Security Settlement Receivables 1,559.9 1,043.7    
Other Assets        
Federal Reserve and Federal Home Loan Bank Stock 158.1 203.1    
Community Development Investments 209.8 215.5    
Employee Benefit and Deferred Compensation 182.3 162.5    
Deposits        
Demand, Noninterest-Bearing, Savings and Money Market 46,425.4 46,671.9    
Savings Certificates and Other Time 1,351.4 1,337.5    
Non U.S. Offices Interest-Bearing 52,757.3 53,648.1    
Federal Funds Purchased 369.5 204.8    
Securities Sold Under Agreements to Repurchase 433.2 473.7    
Other Borrowings 4,079.7 5,113.4    
Senior Notes 1,537.3 1,535.5    
Long Term Debt (excluding Leases)        
Subordinated Debt 1,315.5 1,316.0    
Floating Rate Capital Debt 252.6 251.0    
Other Liabilities        
Standby Letters of Credit 36.8 37.2    
Loan Commitments 37.5 41.2    
Estimate of Fair Value, Fair Value Disclosure | Asset And Liability Management | Foreign Exchange Contracts        
Derivative Instruments        
Fair value asset 30.5 335.4    
Fair value liability 42.1 21.2    
Estimate of Fair Value, Fair Value Disclosure | Asset And Liability Management | Interest Rate Contracts        
Derivative Instruments        
Fair value asset 39.4 160.2    
Fair value liability 17.5 22.8    
Estimate of Fair Value, Fair Value Disclosure | Asset And Liability Management | Other Financial Derivatives        
Derivative Instruments        
Fair value liability 26.4 25.2    
Estimate of Fair Value, Fair Value Disclosure | Client Related and Trading | Foreign Exchange Contracts        
Derivative Instruments        
Fair value asset 1,851.8 3,274.2    
Fair value liability 1,832.6 3,221.7    
Estimate of Fair Value, Fair Value Disclosure | Client Related and Trading | Interest Rate Contracts        
Derivative Instruments        
Fair value asset 76.8 87.0    
Fair value liability 67.3 85.2    
Estimate of Fair Value, Fair Value Disclosure | Level 1        
Assets        
Cash and Due from Banks 4,649.2 5,332.0    
Securities        
Available for Sale (Note) 6,830.2 7,522.6    
Held to Maturity 6.0 15.0    
Other Assets        
Employee Benefit and Deferred Compensation 118.3 107.2    
Deposits        
Demand, Noninterest-Bearing, Savings and Money Market 46,425.4 46,671.9    
Estimate of Fair Value, Fair Value Disclosure | Level 2        
Assets        
Federal Reserve and Other Central Bank Deposits 25,959.5 26,674.2    
Interest-Bearing Deposits with Banks 5,247.8 4,800.6    
Federal Funds Sold and Securities Purchased under Agreements to Resell 1,933.8 1,974.3    
Securities        
Available for Sale (Note) 28,163.1 28,052.5    
Held to Maturity 8,927.4 8,890.1    
Trading Account 1.4 0.3    
Loans (excluding Leases)        
Client Security Settlement Receivables 1,559.9 1,043.7    
Other Assets        
Federal Reserve and Federal Home Loan Bank Stock 158.1 203.1    
Community Development Investments 209.8 215.5    
Employee Benefit and Deferred Compensation 64.0 55.3    
Deposits        
Savings Certificates and Other Time 1,351.4 1,337.5    
Non U.S. Offices Interest-Bearing 52,757.3 53,648.1    
Federal Funds Purchased 369.5 204.8    
Securities Sold Under Agreements to Repurchase 433.2 473.7    
Other Borrowings 4,079.7 5,113.4    
Senior Notes 1,537.3 1,535.5    
Long Term Debt (excluding Leases)        
Subordinated Debt 1,315.5 1,316.0    
Floating Rate Capital Debt 252.6 251.0    
Estimate of Fair Value, Fair Value Disclosure | Level 2 | Asset And Liability Management | Foreign Exchange Contracts        
Derivative Instruments        
Fair value asset 30.5 335.4    
Fair value liability 42.1 21.2    
Estimate of Fair Value, Fair Value Disclosure | Level 2 | Asset And Liability Management | Interest Rate Contracts        
Derivative Instruments        
Fair value asset 39.4 160.2    
Fair value liability 17.5 22.8    
Estimate of Fair Value, Fair Value Disclosure | Level 2 | Asset And Liability Management | Other Financial Derivatives        
Derivative Instruments        
Fair value liability 0.0 0.0    
Estimate of Fair Value, Fair Value Disclosure | Level 2 | Client Related and Trading | Foreign Exchange Contracts        
Derivative Instruments        
Fair value asset 1,851.8 3,274.2    
Fair value liability 1,832.6 3,221.7    
Estimate of Fair Value, Fair Value Disclosure | Level 2 | Client Related and Trading | Interest Rate Contracts        
Derivative Instruments        
Fair value asset 76.8 87.0    
Fair value liability 67.3 85.2    
Estimate of Fair Value, Fair Value Disclosure | Level 3        
Securities        
Available for Sale (Note) 4.3 4.7    
Loans (excluding Leases)        
Held for Investment 33,151.9 33,471.3    
Held for Sale 0.0 13.4    
Other Liabilities        
Standby Letters of Credit 36.8 37.2    
Loan Commitments 37.5 41.2    
Estimate of Fair Value, Fair Value Disclosure | Level 3 | Asset And Liability Management | Other Financial Derivatives        
Derivative Instruments        
Fair value liability $ 26.4 $ 25.2