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SECURITIES (Tables)
6 Months Ended
Jun. 30, 2024
Investments, Debt and Equity Securities [Abstract]  
Schedule of securities held
The following table presents the major components of securities at amortized cost and fair value:
June 30, 2024December 31, 2023
(dollars in millions)
Amortized Cost(1)
Gross Unrealized GainsGross Unrealized LossesFair Value
Amortized Cost(1)
Gross Unrealized GainsGross Unrealized LossesFair Value
U.S. Treasury and other$5,198 $5 ($191)$5,012 $4,493 $26 ($139)$4,380 
State and political subdivisions— — — — 
Mortgage-backed securities:
Federal agencies and U.S. government sponsored entities28,568 30 (2,220)26,378 26,289 45 (1,857)24,477 
Other/non-agency274 — (21)253 279 — (24)255 
Total mortgage-backed securities28,842 30 (2,241)26,631 26,568 45 (1,881)24,732 
Collateralized loan obligations293 — 294 667 — (3)664 
Total debt securities available for sale, at fair value$34,334 $36 ($2,432)$31,938 $31,729 $71 ($2,023)$29,777 
Mortgage-backed securities:
Federal agencies and U.S. government sponsored entities$8,447 $— ($957)$7,490 $8,696 $9 ($818)$7,887 
Total mortgage-backed securities8,447 — (957)7,490 8,696 (818)7,887 
Asset-backed securities448 (15)434 488 — (25)463 
Total debt securities held to maturity$8,895 $1 ($972)$7,924 $9,184 $9 ($843)$8,350 
Equity securities, at cost(2)
$731 $— $— $731 $869 $— $— $869 
Equity securities, at fair value(2)
192 — — 192 173 — — 173 
(1) Excludes portfolio level basis adjustments of $(113) million and $60 million, respectively, for securities designated in active fair value hedge relationships at June 30, 2024 and December 31, 2023.
(2) Included in other assets in the Consolidated Balance Sheets.
Schedule of investments classified by maturity date
The following table presents the amortized cost and fair value of debt securities by contractual maturity as of June 30, 2024. Expected maturities may differ from contractual maturities because issuers may have the right to call or prepay obligations with or without incurring penalties.
Distribution of Maturities
(dollars in millions)1 Year or LessAfter 1 Year through 5 YearsAfter 5 Years through 10 YearsAfter 10 YearsTotal
Amortized cost:
U.S. Treasury and other$— $3,604 $1,594 $— $5,198 
State and political subdivisions— — — 
Mortgage-backed securities:
Federal agencies and U.S. government sponsored entities— 1,868 1,964 24,736 28,568 
Other/non-agency— — — 274 274 
Collateralized loan obligations— — 59 234 293 
Total debt securities available for sale— 5,472 3,617 25,245 34,334 
Mortgage-backed securities:
Federal agencies and U.S. government sponsored entities— — — 8,447 8,447 
Asset-backed securities— 448 — — 448 
Total debt securities held to maturity— 448 — 8,447 8,895 
Total amortized cost of debt securities$— $5,920 $3,617 $33,692 $43,229 
Fair value:
U.S. Treasury and other$— $3,427 $1,585 $— $5,012 
State and political subdivisions— — — 
Mortgage-backed securities:
Federal agencies and U.S. government sponsored entities— 1,774 1,857 22,747 26,378 
Other/non-agency— — — 253 253 
Collateralized loan obligations— — 59 235 294 
Total debt securities available for sale— 5,201 3,501 23,236 31,938 
Mortgage-backed securities:
Federal agencies and U.S. government sponsored entities— — — 7,490 7,490 
Asset-backed securities— 434 — — 434 
Total debt securities held to maturity— 434 — 7,490 7,924 
Total fair value of debt securities$— $5,635 $3,501 $30,726 $39,862 
Schedule of income recognized on investment securities
The following table presents realized gains and losses on the sale of securities:
Three Months Ended June 30,Six Months Ended June 30,
(dollars in millions)2024202320242023
Gains$— $9 $5 $18 
Losses— — — (4)
Securities gains, net$— $9 $5 $14 
Schedule of financial instruments owned and pledged as collateral
The following table presents the amortized cost and fair value of debt securities pledged:
June 30, 2024December 31, 2023
(dollars in millions)Amortized CostFair ValueAmortized CostFair Value
Pledged against derivatives, to qualify for fiduciary powers, or to secure public and other deposits as required by law$7,527 $6,959 $5,619 $5,305 
Pledged as collateral for FHLB borrowing capacity238 218 242 220 
Pledged against repurchase agreements— — — — 
Schedule of unrealized loss on investments
The following tables present AFS debt securities with fair values below their respective carrying values, separated by the duration the securities have been in a continuous unrealized loss position:
June 30, 2024
Less than 12 Months12 Months or LongerTotal
(dollars in millions)Fair ValueGross Unrealized LossesFair ValueGross Unrealized LossesFair ValueGross Unrealized Losses
U.S. Treasury and other$1,260 ($14)$3,209 ($177)$4,469 ($191)
State and political subdivisions— — — — 
Mortgage-backed securities:
Federal agencies and U.S. government sponsored entities5,990 (56)16,462 (2,164)22,452 (2,220)
Other/non-agency— — 253 (21)253 (21)
Total mortgage-backed securities5,990 (56)16,715 (2,185)22,705 (2,241)
Collateralized loan obligations— — 10 — 10 — 
Total$7,250 ($70)$19,935 ($2,362)$27,185 ($2,432)
December 31, 2023
Less than 12 Months12 Months or LongerTotal
(dollars in millions)Fair ValueGross Unrealized LossesFair ValueGross Unrealized LossesFair ValueGross Unrealized Losses
U.S. Treasury and other$49 $— $3,245 ($139)$3,294 ($139)
Mortgage-backed securities:
Federal agencies and U.S. government sponsored entities2,939 (24)16,398 (1,833)19,337 (1,857)
Other/non-agency— — 255 (24)255 (24)
Total mortgage-backed securities2,939 (24)16,653 (1,857)19,592 (1,881)
Collateralized loan obligations56 — 607 (3)663 (3)
Total$3,044 ($24)$20,505 ($1,999)$23,549 ($2,023)