XML 42 R32.htm IDEA: XBRL DOCUMENT v3.20.2
Securities (Tables)
9 Months Ended
Sep. 30, 2020
Investments, Debt and Equity Securities [Abstract]  
Reconciliation of Amortized Cost to Fair Value of Securities Available for Sale The following tables provide the amortized cost and fair values at September 30, 2020 and December 31, 2019, and remaining maturities of debt securities available for sale at September 30, 2020.
TABLE 41: RECONCILIATION OF AMORTIZED COST TO FAIR VALUE OF DEBT SECURITIES AVAILABLE FOR SALE
SEPTEMBER 30, 2020
(In Millions)AMORTIZED COSTGROSS UNREALIZED GAINSGROSS UNREALIZED LOSSESFAIR VALUE
U.S. Government$4,083.9 $81.3 $ $4,165.2 
Obligations of States and Political Subdivisions2,465.2 136.3 1.0 2,600.5 
Government Sponsored Agency24,162.6 427.4 21.2 24,568.8 
Non-U.S. Government936.8 0.9 0.1 937.6 
Corporate Debt2,548.7 80.9 2.2 2,627.4 
Covered Bonds508.5 8.3  516.8 
Sub-Sovereign, Supranational and Non-U.S. Agency Bonds2,486.4 66.7 0.3 2,552.8 
Other Asset-Backed3,522.3 46.6 9.5 3,559.4 
Commercial Mortgage-Backed937.5 78.4 0.7 1,015.2 
Other7.3   7.3 
Total$41,659.2 $926.8 $35.0 $42,551.0 
DECEMBER 31, 2019
(In Millions)AMORTIZED COSTGROSS UNREALIZED GAINSGROSS UNREALIZED LOSSESFAIR VALUE
U.S. Government$4,527.5 $26.7 $5.1 $4,549.1 
Obligations of States and Political Subdivisions1,604.0 24.6 13.3 1,615.3 
Government Sponsored Agency23,247.5 101.8 78.1 23,271.2 
Non-U.S. Government3.3 — — 3.3 
Corporate Debt2,378.9 27.8 4.0 2,402.7 
Covered Bonds766.3 4.4 0.8 769.9 
Sub-Sovereign, Supranational and Non-U.S. Agency Bonds2,091.3 37.4 1.1 2,127.6 
Other Asset-Backed3,324.5 11.3 5.3 3,330.5 
Commercial Mortgage-Backed769.9 28.7 0.9 797.7 
Other9.0 — — 9.0 
Total$38,722.2 $262.7 $108.6 $38,876.3 
Remaining Maturity of Securities Available for Sale and Held to Maturity
TABLE 42: REMAINING MATURITY OF DEBT SECURITIES AVAILABLE FOR SALE
SEPTEMBER 30, 2020ONE YEAR OR LESSONE TO FIVE YEARSFIVE TO TEN YEARSOVER TEN YEARSTOTAL
(In Millions)AMORTIZED COSTFAIR VALUEAMORTIZED COSTFAIR VALUEAMORTIZED COSTFAIR VALUEAMORTIZED COSTFAIR VALUEAMORTIZED COSTFAIR VALUE
U.S. Government$1,802.3 $1,805.4 $1,834.8 $1,876.1 $446.8 $483.7 $ $ $4,083.9 $4,165.2 
Obligations of States and Political Subdivisions16.4 16.4 210.9 222.8 2,187.7 2,311.0 50.2 50.3 2,465.2 2,600.5 
Government Sponsored Agency6,077.0 6,160.5 9,520.9 9,669.4 6,111.1 6,224.2 2,453.6 2,514.7 24,162.6 24,568.8 
Non-U.S. Government737.9 738.2 40.7 40.6 158.2 158.8   936.8 937.6 
Corporate Debt547.1 552.9 2,001.6 2,074.5     2,548.7 2,627.4 
Covered Bonds24.4 24.5 484.1 492.3     508.5 516.8 
Sub-Sovereign, Supranational and Non-U.S. Agency Bonds334.9 335.1 2,046.0 2,111.8 105.5 105.9   2,486.4 2,552.8 
Other Asset-Backed412.4 419.0 2,658.0 2,690.0 356.0 354.5 95.9 95.9 3,522.3 3,559.4 
Commercial Mortgage-Backed16.6 16.7 336.2 360.3 567.1 620.6 17.6 17.6 937.5 1,015.2 
Other7.3 7.3       7.3 7.3 
Total$9,976.3 $10,076.0 $19,133.2 $19,537.8 $9,932.4 $10,258.7 $2,617.3 $2,678.5 $41,659.2 $42,551.0 
Note: Mortgage-backed and asset-backed securities are included in the above table taking into account anticipated future prepayments.
TABLE 45: REMAINING MATURITY OF DEBT SECURITIES HELD TO MATURITY
SEPTEMBER 30, 2020ONE YEAR OR LESSONE TO FIVE YEARSFIVE TO TEN YEARSOVER TEN YEARSTOTAL
(In Millions)Amortized CostFair ValueAmortized CostFair ValueAmortized CostFair ValueAmortized CostFair ValueAmortized CostFair Value
U.S. Government$99.0 $99.0 $ $ $ $ $ $ $99.0 $99.0 
Obligations of States and Political Subdivisions1.6 1.6 1.0 1.1     2.6 2.7 
Government Sponsored Agency0.5 0.6 1.5 1.6 0.9 1.0 0.5 0.5 3.4 3.7 
Non-U.S. Government7,291.5 7,293.2 260.3 266.5     7,551.8 7,559.7 
Corporate Debt125.0 125.2 405.3 410.6     530.3 535.8 
Covered Bonds1,228.1 1,233.1 2,133.6 2,153.0     3,361.7 3,386.1 
Certificates of Deposit726.3 726.3       726.3 726.3 
Sub-Sovereign, Supranational and Non-U.S. Agency Bonds832.7 837.1 2,325.2 2,362.7 232.6 233.2   3,390.5 3,433.0 
Other Asset-Backed190.1 190.1 435.4 435.8 20.3 20.4   645.8 646.3 
Other21.3 20.8 251.4 228.1 58.9 49.4 111.0 55.6 442.6 353.9 
Total$10,516.1 $10,527.0 $5,813.7 $5,859.4 $312.7 $304.0 $111.5 $56.1 $16,754.0 $16,746.5 
Note: Mortgage-backed and asset-backed securities are included in the above table taking into account anticipated future prepayments
Debt Securities, Available-for-sale, Unrealized Loss Position, Fair Value The following table provides information regarding debt securities available for sale with no credit losses reported that had been in a continuous unrealized loss position for less than twelve months and for twelve months or longer as of September 30, 2020 and December 31, 2019.
TABLE 43: DEBT SECURITIES AVAILABLE FOR SALE IN UNREALIZED LOSS POSITION WITH NO CREDIT LOSSES REPORTED
AS OF SEPTEMBER 30, 2020LESS THAN 12 MONTHS12 MONTHS OR LONGERTOTAL
(In Millions)FAIR
VALUE
UNREALIZED
LOSSES
FAIR
VALUE
UNREALIZED
LOSSES
FAIR
VALUE
UNREALIZED
LOSSES
Obligations of States and Political Subdivisions$230.4 $1.0 $ $ $230.4 $1.0 
Government Sponsored Agency2,578.6 6.8 2,862.3 14.4 5,440.9 21.2 
Non-U.S. Government 26.5 0.1   26.5 0.1 
Corporate Debt69.1 1.0 76.1 1.2 145.2 2.2 
Sub-Sovereign, Supranational and Non-U.S. Agency Bonds146.3 0.2 158.7 0.1 305.0 0.3 
Other Asset-Backed631.2 1.0 846.3 8.5 1,477.5 9.5 
Commercial Mortgage-Backed76.3 0.7   76.3 0.7 
Total$3,758.4 $10.8 $3,943.4 $24.2 $7,701.8 $35.0 
AS OF DECEMBER 31, 2019LESS THAN 12 MONTHS12 MONTHS OR LONGERTOTAL
(In Millions)FAIR
VALUE
UNREALIZED
LOSSES
FAIR
VALUE
UNREALIZED
LOSSES
FAIR
VALUE
UNREALIZED
LOSSES
U.S. Government$252.2 $2.8 $899.7 $2.3 $1,151.9 $5.1 
Obligations of States and Political Subdivisions902.4 13.3 — — 902.4 13.3 
Government Sponsored Agency5,405.0 35.6 7,818.4 42.5 13,223.4 78.1 
Corporate Debt279.3 1.1 492.7 2.9 772.0 4.0 
Covered Bonds138.7 0.7 25.0 0.1 163.7 0.8 
Sub-Sovereign, Supranational and Non-U.S. Agency Bonds217.5 1.0 155.2 0.1 372.7 1.1 
Other Asset-Backed592.4 1.8 1,164.9 3.5 1,757.3 5.3 
Commercial Mortgage-Backed62.8 0.7 59.3 0.2 122.1 0.9 
Total$7,850.3 $57.0 $10,615.2 $51.6 $18,465.5 $108.6 
Debt Securities, Held-to-maturity The following tables provide the amortized cost and fair values at September 30, 2020 and December 31, 2019, and remaining maturities of debt securities held to maturity at September 30, 2020.
TABLE 44: RECONCILIATION OF AMORTIZED COST TO FAIR VALUE OF DEBT SECURITIES HELD TO MATURITY
SEPTEMBER 30, 2020
(In Millions)AMORTIZED
COST
GROSS UNREALIZED GAINSGROSS UNREALIZED LOSSESFAIR
VALUE
U.S Government$99.0 $ $ $99.0 
Obligations of States and Political Subdivisions2.6 0.1  2.7 
Government Sponsored Agency3.4 0.3  3.7 
Non-U.S. Government7,551.8 8.1 0.2 7,559.7 
Corporate Debt530.3 5.5  535.8 
Covered Bonds3,361.7 25.4 1.0 3,386.1 
Certificates of Deposit726.3   726.3 
Sub-Sovereign, Supranational and Non-U.S. Agency Bonds3,390.5 42.8 0.3 3,433.0 
Other Asset-Backed645.8 0.7 0.2 646.3 
Other442.6  88.7 353.9 
Total$16,754.0 $82.9 $90.4 $16,746.5 
DECEMBER 31, 2019
(In Millions)AMORTIZED
COST
GROSS UNREALIZED GAINSGROSS UNREALIZED LOSSES FAIR
VALUE
U.S. Government$138.8 $— $— $138.8 
Obligations of States and Political Subdivisions10.1 0.2 — 10.3 
Government Sponsored Agency4.1 0.2 — 4.3 
Non-U.S. Government4,076.0 5.3 2.5 4,078.8 
Corporate Debt405.1 1.4 0.3 406.2 
Covered Bonds3,006.7 16.1 2.4 3,020.4 
Certificates of Deposit262.9 — — 262.9 
Sub-Sovereign, Supranational and Non-U.S. Agency Bonds3,285.4 21.7 2.1 3,305.0 
Other Asset-Backed804.3 0.7 0.3 804.7 
Other291.1 0.1 73.3 217.9 
Total$12,284.5 $45.7 $80.9 $12,249.3 
Debt Securities, Held-to-maturity, Credit Quality Indicator The following table provides the amortized cost of debt securities held to maturity by credit rating.
TABLE 46: AMORTIZED COST OF DEBT SECURITIES HELD TO MATURITY BY CREDIT RATING
AS OF SEPTEMBER 30, 2020
(In Millions)AAAAAABBBNOT RATEDTOTAL
U.S. Government$99.0 $ $ $ $ $99.0 
Obligations of States and Political Subdivisions 0.6 0.7 1.3  2.6 
Government Sponsored Agency3.4     3.4 
Non-U.S. Government335.6 1,269.7 5,899.8 46.7  7,551.8 
Corporate Debt3.6 254.7 272.0   530.3 
Covered Bonds3,361.7     3,361.7 
Certificates of Deposit    726.3 726.3 
Sub-Sovereign, Supranational and Non-U.S. Agency Bonds2,423.6 966.9    3,390.5 
Other Asset-Backed645.8     645.8 
Other    442.6 442.6 
Total$6,872.7 $2,491.9 $6,172.5 $48.0 $1,168.9 $16,754.0 
Schedule of Realized Gain (Loss)
TABLE 47: INVESTMENT SECURITY GAINS AND LOSSES
THREE MONTHS ENDED SEPTEMBER 30,NINE MONTHS ENDED SEPTEMBER 30,
(In Millions)2020201920202019
Gross Realized Debt Securities Gains$ $0.1 $3.4 $1.6 
Gross Realized Debt Securities Losses (0.4)(3.3)(2.2)
Changes in Other-Than-Temporary Impairment Losses(1)
 (0.1) (0.3)
Net Investment Security (Losses) Gains$ $(0.4)$0.1 $(0.9)
(1) Other-than-temporary impairment losses relate to certain Community Reinvestment Act (CRA) eligible held to maturity debt securities.