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Book and Fair Values of Financial Instruments (Detail) (USD $)
In Millions, unless otherwise specified
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Dec. 31, 2009
ASSETS        
Cash and Due from Banks $ 3,752.7 $ 4,315.3 $ 2,818.0 $ 2,491.8
Federal Funds Sold and Resell Agreements 60.8 121.3    
Interest-Bearing Deposits with Banks 18,803.5 16,696.4    
Federal Reserve Deposits and Other Interest-Bearing 7,619.7 13,448.6    
Securities        
Available for Sale 28,643.5 30,192.5    
Held to Maturity 2,382.0 799.2    
Trading Account 8.0 8.0    
Loans (excluding Leases)        
Client Security Settlement Receivables 2,049.1 778.3    
Deposits        
Savings Certificates and Other Time 2,466.1 3,058.3    
Non-U.S. Offices Interest-Bearing 39,720.2 35,868.0    
Federal Funds Purchased 780.2 815.3    
Securities Sold under Agreements to Repurchase 699.8 1,198.8    
Other Borrowings 367.4 931.5    
Senior Notes 2,405.8 [1],[2] 2,126.7 [1],[2]    
Other Liabilities        
Contingent Consideration 50.1 56.8    
Carrying (Reported) Amount, Fair Value Disclosure
       
ASSETS        
Cash and Due from Banks 3,752.7 4,315.3    
Federal Funds Sold and Resell Agreements 60.8 121.3    
Interest-Bearing Deposits with Banks 18,803.5 16,696.4    
Federal Reserve Deposits and Other Interest-Bearing 7,619.7 13,448.6    
Securities        
Available for Sale 28,643.5 [3] 30,192.5 [4]    
Held to Maturity 2,382.0 799.2    
Trading Account 8.0 8.0    
Loans (excluding Leases)        
Held for Investment 28,165.4 27,782.7    
Held for Sale 11.7 9.3    
Client Security Settlement Receivables 2,049.1 778.3    
Other Assets        
Federal Reserve and Federal Home Loan Bank Stock 197.6 172.9    
Community Development Investments 253.2 290.8    
Employee Benefit and Deferred Compensation 121.3 106.5    
Deposits        
Demand, Noninterest-Bearing, Savings and Money Market 39,221.5 43,751.2    
Savings Certificates and Other Time 2,466.1 3,058.3    
Non-U.S. Offices Interest-Bearing 39,720.2 35,868.0    
Federal Funds Purchased 780.2 815.3    
Securities Sold under Agreements to Repurchase 699.8 1,198.8    
Other Borrowings 367.4 931.5    
Senior Notes 2,405.8 2,126.7    
Long Term Debt (excluding Leases)        
Subordinated Debt 1,045.4 1,033.4    
Federal Home Loan Bank Borrowings 335.0 1,055.0    
Floating Rate Capital Debt 277.0 276.9    
Other Liabilities        
Standby Letters of Credit 60.5 61.3    
Contingent Consideration 50.1 56.8    
Loan Commitments 38.9 45.5    
Carrying (Reported) Amount, Fair Value Disclosure | Asset And Liability Management | Foreign Exchange Contracts
       
DERIVATIVE INSTRUMENTS        
Assets 21.3 25.2    
Liabilities 42.3 31.8    
Carrying (Reported) Amount, Fair Value Disclosure | Asset And Liability Management | Interest Rate Swap Contracts
       
DERIVATIVE INSTRUMENTS        
Assets 129.7 149.6    
Liabilities 75.3 47.3    
Carrying (Reported) Amount, Fair Value Disclosure | Asset And Liability Management | Credit Default Swap Contracts
       
DERIVATIVE INSTRUMENTS        
Assets   0.7    
Liabilities 1.0 0.1    
Carrying (Reported) Amount, Fair Value Disclosure | Client Related and Trading | Foreign Exchange Contracts
       
DERIVATIVE INSTRUMENTS        
Assets 1,735.3 3,062.1    
Liabilities 1,730.4 2,959.8    
Carrying (Reported) Amount, Fair Value Disclosure | Client Related and Trading | Interest Rate Swap Contracts
       
DERIVATIVE INSTRUMENTS        
Assets 180.6 188.7    
Liabilities 174.0 184.6    
Estimate of Fair Value, Fair Value Disclosure
       
ASSETS        
Cash and Due from Banks 3,752.7 4,315.3    
Federal Funds Sold and Resell Agreements 60.8 121.3    
Interest-Bearing Deposits with Banks 18,803.5 16,696.4    
Federal Reserve Deposits and Other Interest-Bearing 7,619.7 13,448.6    
Securities        
Available for Sale 28,643.5 [3] 30,192.5 [4]    
Held to Maturity 2,394.8 817.1    
Trading Account 8.0 8.0    
Loans (excluding Leases)        
Held for Investment 28,220.2 27,913.7    
Held for Sale 11.7 9.3    
Client Security Settlement Receivables 2,049.1 778.3    
Other Assets        
Federal Reserve and Federal Home Loan Bank Stock 197.6 172.9    
Community Development Investments 275.1 319.9    
Employee Benefit and Deferred Compensation 126.1 117.3    
Deposits        
Demand, Noninterest-Bearing, Savings and Money Market 39,221.5 43,751.2    
Savings Certificates and Other Time 2,476.7 3,065.5    
Non-U.S. Offices Interest-Bearing 39,720.2 35,868.0    
Federal Funds Purchased 780.2 815.3    
Securities Sold under Agreements to Repurchase 699.8 1,198.8    
Other Borrowings 367.4 931.5    
Senior Notes 2,513.4 2,197.3    
Long Term Debt (excluding Leases)        
Subordinated Debt 1,065.3 1,040.0    
Federal Home Loan Bank Borrowings 345.4 1,082.1    
Floating Rate Capital Debt 228.0 211.6    
Other Liabilities        
Standby Letters of Credit 60.5 61.3    
Contingent Consideration 50.1 56.8    
Loan Commitments 38.9 45.5    
Estimate of Fair Value, Fair Value Disclosure | Asset And Liability Management | Foreign Exchange Contracts
       
DERIVATIVE INSTRUMENTS        
Assets 21.3 25.2    
Liabilities 42.3 31.8    
Estimate of Fair Value, Fair Value Disclosure | Asset And Liability Management | Interest Rate Swap Contracts
       
DERIVATIVE INSTRUMENTS        
Assets 129.7 149.6    
Liabilities 75.3 47.3    
Estimate of Fair Value, Fair Value Disclosure | Asset And Liability Management | Credit Default Swap Contracts
       
DERIVATIVE INSTRUMENTS        
Assets   0.7    
Liabilities 1.0 0.1    
Estimate of Fair Value, Fair Value Disclosure | Client Related and Trading | Foreign Exchange Contracts
       
DERIVATIVE INSTRUMENTS        
Assets 1,735.3 3,062.1    
Liabilities 1,730.4 2,959.8    
Estimate of Fair Value, Fair Value Disclosure | Client Related and Trading | Interest Rate Swap Contracts
       
DERIVATIVE INSTRUMENTS        
Assets 180.6 188.7    
Liabilities 174.0 184.6    
Estimate of Fair Value, Fair Value Disclosure | Fair Value, Inputs, Level 1
       
ASSETS        
Cash and Due from Banks 3,752.7 4,315.3    
Securities        
Available for Sale 1,784.6 [3] 4,029.4 [4]    
Other Assets        
Employee Benefit and Deferred Compensation 86.7 82.4    
Deposits        
Demand, Noninterest-Bearing, Savings and Money Market 39,221.5 43,751.2    
Estimate of Fair Value, Fair Value Disclosure | Fair Value, Inputs, Level 2
       
ASSETS        
Federal Funds Sold and Resell Agreements 60.8 121.3    
Interest-Bearing Deposits with Banks 18,803.5 16,696.4    
Federal Reserve Deposits and Other Interest-Bearing 7,619.7 13,448.6    
Securities        
Available for Sale 26,761.1 [3] 25,984.8 [4]    
Held to Maturity 2,394.8 817.1    
Trading Account 8.0 8.0    
Loans (excluding Leases)        
Client Security Settlement Receivables 2,049.1 778.3    
Other Assets        
Federal Reserve and Federal Home Loan Bank Stock 197.6 172.9    
Community Development Investments 275.1 319.9    
Employee Benefit and Deferred Compensation 39.4 34.9    
Deposits        
Savings Certificates and Other Time 2,476.7 3,065.5    
Non-U.S. Offices Interest-Bearing 39,720.2 35,868.0    
Federal Funds Purchased 780.2 815.3    
Securities Sold under Agreements to Repurchase 699.8 1,198.8    
Other Borrowings 367.4 931.5    
Senior Notes 2,513.4 2,197.3    
Long Term Debt (excluding Leases)        
Subordinated Debt 1,065.3 1,040.0    
Federal Home Loan Bank Borrowings 345.4 1,082.1    
Floating Rate Capital Debt 228.0 211.6    
Estimate of Fair Value, Fair Value Disclosure | Fair Value, Inputs, Level 2 | Asset And Liability Management | Foreign Exchange Contracts
       
DERIVATIVE INSTRUMENTS        
Assets 21.3 25.2    
Liabilities 42.3 31.8    
Estimate of Fair Value, Fair Value Disclosure | Fair Value, Inputs, Level 2 | Asset And Liability Management | Interest Rate Swap Contracts
       
DERIVATIVE INSTRUMENTS        
Assets 129.7 149.6    
Liabilities 75.3 47.3    
Estimate of Fair Value, Fair Value Disclosure | Fair Value, Inputs, Level 2 | Asset And Liability Management | Credit Default Swap Contracts
       
DERIVATIVE INSTRUMENTS        
Assets   0.7    
Liabilities 1.0 0.1    
Estimate of Fair Value, Fair Value Disclosure | Fair Value, Inputs, Level 2 | Client Related and Trading | Foreign Exchange Contracts
       
DERIVATIVE INSTRUMENTS        
Assets 1,735.3 3,062.1    
Liabilities 1,730.4 2,959.8    
Estimate of Fair Value, Fair Value Disclosure | Fair Value, Inputs, Level 2 | Client Related and Trading | Interest Rate Swap Contracts
       
DERIVATIVE INSTRUMENTS        
Assets 180.6 188.7    
Liabilities 174.0 184.6    
Estimate of Fair Value, Fair Value Disclosure | Fair Value, Inputs, Level 3
       
Securities        
Available for Sale 97.8 [3] 178.3 [4]    
Loans (excluding Leases)        
Held for Investment 28,220.2 27,913.7    
Held for Sale 11.7 9.3    
Other Liabilities        
Standby Letters of Credit 60.5 61.3    
Contingent Consideration 50.1 56.8    
Loan Commitments $ 38.9 $ 45.5    
[1] Not redeemable prior to maturity.
[2] Debt issue costs are recorded as an asset and amortized on a straight-line basis over the life of the Note.
[3] Refer to the table located on page 76 for the disaggregation of available for sale securities.
[4] Refer to the table located on page 77 for the disaggregation of available for sale securities.