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DERIVATIVES (Tables)
3 Months Ended
Mar. 31, 2023
Derivative Instruments and Hedging Activities Disclosure [Abstract]  
Schedule of derivative instruments in consolidated balance sheets
The following table presents derivative instruments included in the Consolidated Balance Sheets:
March 31, 2023December 31, 2022
(dollars in millions)Notional AmountDerivative AssetsDerivative LiabilitiesNotional AmountDerivative AssetsDerivative Liabilities
Derivatives designated as hedging instruments:
Interest rate contracts$58,750 $99 $18 $42,250 $16 $53 
Derivatives not designated as hedging instruments:
Interest rate contracts195,041 278 1,276 174,384 331 1,579 
Foreign exchange contracts30,187 456 407 29,475 527 519 
Commodities contracts998 819 789 1,103 953 942 
TBA contracts3,406 14 14 2,370 14 
Other contracts1,261 13 — 913 
Total derivatives not designated as hedging instruments1,580 2,486 1,823 3,058 
Gross derivative fair values1,679 2,504 1,839 3,111 
Less: Gross amounts offset in the Consolidated Balance Sheets(1)
(613)(613)(623)(623)
Less: Cash collateral applied(1)
(497)(187)(374)(579)
Total net derivative fair values presented in the Consolidated Balance Sheets$569 $1,704 $842 $1,909 
(1) Amounts represent the impact of enforceable master netting agreements that allow the Company to net settle positive and negative positions, as well as collateral paid and received.
Schedule of fair value hedges
The following table presents the change in fair value of interest rate contracts designated as fair value hedges, as well as the change in fair value of the related hedged items attributable to the risk being hedged, included in the Consolidated Statements of Operations:
Three Months Ended March 31,
(dollars in millions)20232022Affected Line Item in the Consolidated Statements of Operations
Interest rate swaps hedging borrowed funds$8 ($37)Interest expense - long-term borrowed funds
Hedged long-term borrowed funds attributable to the risk being hedged(8)37 Interest expense - long-term borrowed funds
Interest rate swaps hedging debt securities available for sale— 29 Interest income - investment securities
Hedged debt securities available for sale attributable to the risk being hedged— (29)Interest income - investment securities
The following table reflects amounts recorded in the Consolidated Balance Sheets related to cumulative basis adjustments for fair value hedges on long-term borrowed funds:    
(dollars in millions)March 31, 2023December 31, 2022
Carrying amount of hedged liabilities$481 $972 
Cumulative amount of fair value hedging adjustments included in the carrying amount of the hedged items(18)(27)
Schedule of effect of cash flow hedges on net income and stockholders' equity
The following table presents the pre-tax net gains (losses) recorded in the Consolidated Statements of Operations and in the Consolidated Statements of Comprehensive Income related to derivative instruments designated as cash flow hedges:
Three Months Ended March 31,
(dollars in millions)20232022
Amount of pre-tax net gains (losses) recognized in OCI$233 ($661)
Amount of pre-tax net gains (losses) reclassified from AOCI into interest income(127)37 
Amount of pre-tax net gains (losses) reclassified from AOCI into interest expense— (5)
Schedule of effect of derivative Instruments on net income
The following table presents the effect of economic hedges on noninterest income:
Amounts Recognized in
Noninterest Income for the
Three Months Ended March 31,Affected Line Item in the Consolidated Statements of Operations
(dollars in millions)20232022
Economic hedge type:
Customer interest rate contracts$34 ($767)Foreign exchange and derivative products
Derivatives hedging interest rate risk(19)793 Foreign exchange and derivative products
Customer foreign exchange contracts(4)26 Foreign exchange and derivative products
Derivatives hedging foreign exchange risk(2)Foreign exchange and derivative products
Customer commodity contracts(475)1,152 Foreign exchange and derivative products
Derivatives hedging commodity price risk486 (1,148)Foreign exchange and derivative products
Residential loan commitments(161)Mortgage banking fees
Derivatives hedging residential loan commitments and mortgage loans held for sale, at fair value(11)271 Mortgage banking fees
Derivative contracts used to hedge residential MSRs16 (146)Mortgage banking fees
Total$27 $23