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Derivative and Hedging Activities (Tables)
6 Months Ended
Jun. 30, 2020
Derivative Instruments and Hedging Activities Disclosure [Abstract]  
Summary Of Other derivative instruments not designated as hedging instruments The following table presents the total notional amounts and gross fair values of the Company’s derivatives, as well as the balance sheet netting adjustments as of June 30, 2020 and December 31, 2019. The derivative assets and liabilities are presented on a gross basis prior to the application of bilateral collateral and master netting agreements, but after the variation margin payments with central clearing organizations have been applied as settlement, as applicable. Total derivative assets and liabilities are adjusted to take into consideration the effects of legally enforceable master netting agreements and cash collateral received or paid as of June 30, 2020 and December 31, 2019. The resulting net derivative asset and liability fair values are included in other assets and accrued expenses and other liabilities, respectively, on the consolidated balance sheets.
 June 30, 2020December 31, 2019
AssetLiabilityAssetLiability
($ in Thousands)Notional AmountFair ValueNotional AmountFair ValueNotional AmountFair ValueNotional AmountFair Value
Not designated as hedging instruments
Interest rate-related instruments$3,564,015  $238,003  $3,564,015  $31,472  $3,029,877  $77,024  $3,029,877  $13,073  
Foreign currency exchange forwards337,015  4,200  290,557  4,102  272,636  4,226  264,653  4,048  
Commodity contracts163,307  38,543  158,756  36,998  255,089  20,528  255,165  19,624  
Mortgage banking(a)
299,330  12,837  393,184  1,293  255,291  2,527  263,000  710  
Gross derivatives before netting$293,583  $73,865  $104,305  $37,455  
Less: Legally enforceable master netting agreements1,586  1,586  10,410  10,410  
Less: Cash collateral pledged/received36,234  32,285  1,408  11,365  
Total derivative instruments, after netting$255,763  $39,994  $92,487  $15,680  
(a) Mortgage derivative assets include interest rate lock commitments and mortgage derivative liabilities include forward commitments.
Schedule of cash flow hedging instruments, statements of financial performance and financial position location
The table below identifies the effect of fair value hedge accounting on the Corporation's consolidated statements of income for the three and six months ended June 30, 2020 and 2019:
Location and Amount of Gain or (Loss) Recognized in Income on
Fair Value and Cash Flow Hedging Relationships
Three Months Ended June 30,Six Months Ended June 30,
2020201920202019
($ in Thousands)Interest IncomeOther Income (Expense)Interest IncomeOther Income (Expense)Interest IncomeOther Income (Expense)Interest IncomeOther Income (Expense)
Total amounts of income and expense line items presented on the consolidated statements of income in which the effects of the fair value hedge is recorded$(542) $—  $53  $—  $(864) $(262) $219  $—  
The effects of fair value hedging: Gain or (loss) on fair value hedging relationships in Subtopic 815-20
Interest contracts
Hedged items (542) —  4,165  —  (864) (262) 6,222  —  
Derivatives designated as hedging instruments(a)
—  —  (4,112) —  —  —  (6,003) —  
(a) Includes net settlements on the derivatives.
Gain (loss) on derivative instruments not designated as hedging instruments
The table below identifies the effect of derivatives not designated as hedging instruments on the Corporation's consolidated statements of income for the three and six months ended June 30, 2020 and 2019:
Consolidated Statements of Income Category of
Gain / (Loss) 
Recognized in Income
Three Months Ended June 30,Six Months Ended June 30,
($ in Thousands)2020201920202019
Derivative Instruments
Interest rate-related instruments — customer and mirror, netCapital markets, net$(65) $(1,018) $(3,155) $(1,690) 
Foreign currency exchange forwardsCapital markets, net41  186  (81) 212  
Commodity contractsCapital markets, net(105) (1,678) 641  (2,245) 
Interest rate lock commitments (mortgage)Mortgage banking, net382  1,837  10,310  2,661  
Forward commitments (mortgage)Mortgage banking, net9,679  (78) (582) 169