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DEPOSITS (Tables)
12 Months Ended
Dec. 31, 2018
Banking and Thrift [Abstract]  
Schedule of the major components of deposits
The major components of deposits are presented below:
 
December 31,
(in millions)
2018
 
2017
Demand

$29,458

 

$29,279

Checking with interest
23,067

 
22,229

Regular savings
12,007

 
9,518

Money market accounts
35,701

 
37,454

Term deposits
19,342

 
16,609

Total deposits

$119,575

 

$115,089

Schedule of maturity distribution of term deposits
The maturity distribution of term deposits as of December 31, 2018 is presented below:
Year
(in millions)

2019

$15,889

2020
2,519

2021
649

2022
174

2023
106

2024 and thereafter
5

Total

$19,342

Schedule of maturities of term deposits greater than $100,000
The remaining maturities of these deposits are presented below:
(in millions)
 
Three months or less

$5,388

After three months through six months
2,676

After six months through twelve months
3,844

After twelve months
1,936

Total term deposits

$13,844