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FAIR VALUE (Tables)
3 Months Ended
Mar. 31, 2024
Fair Value Disclosures [Abstract]  
Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis
Assets and Liabilities Measured at Fair Value - Recurring Basis
dollars in millionsMarch 31, 2024
TotalLevel 1Level 2Level 3
Assets
Investment securities available for sale
U.S. Treasury$11,836 $— $11,836 $— 
Government agency107 — 107 — 
Residential mortgage-backed securities10,110 — 10,110 — 
Commercial mortgage-backed securities2,361 — 2,361 — 
Corporate bonds487 — 326 161 
Municipal bonds14 — 14 — 
Total investment securities available for sale$24,915 $— $24,754 $161 
Marketable equity securities79 32 47 — 
Loans held for sale50 — 50 — 
Derivative assets (1)
Interest rate contracts — qualifying hedges$— $— $— $— 
Interest rate contracts — non-qualifying hedges$573 $— $572 $
Foreign exchange contracts — non-qualifying hedges78 — 78 — 
Other derivative contracts — non-qualifying hedges— — 
Total non-qualifying hedge assets$659 $— $650 $
Total derivative assets$659 $— $650 $
Liabilities
Derivative liabilities (1)
Interest rate contracts — qualifying hedges$— $— $— $— 
Interest rate contracts — non-qualifying hedges$590 $— $590 $— 
Foreign exchange contracts — non-qualifying hedges63 — 63 — 
Other derivative contracts — non-qualifying hedges— — 
Total non-qualifying hedge liabilities$654 $— $653 $
Total derivative liabilities$654 $— $653 $

December 31, 2023
TotalLevel 1Level 2Level 3
Assets
Investment securities available for sale
U.S. Treasury$10,508 $— $10,508 $— 
Government agency117 — 117 — 
Residential mortgage-backed securities6,686 — 6,686 — 
Commercial mortgage-backed securities2,131 — 2,131 — 
Corporate bonds482 — 325 157 
Municipal bonds12 — 12 — 
Total investment securities available for sale$19,936 $— $19,779 $157 
Marketable equity securities84 36 48 — 
Loans held for sale38 — 38 — 
Derivative assets (1)
Interest rate contracts — qualifying hedges$— $— $— $— 
Interest rate contracts — non-qualifying hedges$530 $— $529 $
Foreign exchange contracts — non-qualifying hedges104 — 104 — 
Other derivative contracts — non-qualifying hedges— — 
Total non-qualifying hedge assets$640 $— $633 $
Total derivative assets$640 $— $633 $
Liabilities
Derivative liabilities (1)
Interest rate contracts — qualifying hedges$— $— $— $— 
Interest rate contracts — non-qualifying hedges$518 $— $518 $— 
Foreign exchange contracts — non-qualifying hedges117 — 117 — 
Other derivative contracts — non-qualifying hedges— — 
Total non-qualifying hedge liabilities$636 $— $635 $
Total derivative liabilities$636 $— $635 $
(1)     Derivative fair values include accrued interest.
Schedule of Fair Value Measurement Inputs and Valuation Techniques
The following tables summarize information about significant unobservable inputs related to BancShares’ categories of Level 3 financial assets and liabilities measured on a recurring basis:

Quantitative Information About Level 3 Fair Value Measurements - Recurring Basis
dollars in millions
Financial InstrumentEstimated
Fair Value
Valuation
Technique(s)
Significant Unobservable Inputs
March 31, 2024
Assets
Corporate bonds$161 Indicative bid provided by brokerMultiple factors, including but not limited to, current operations, financial condition, cash flows, and recently executed financing transactions related to the issuer.
Interest rate & other derivative — non-qualifying hedges$Internal valuation modelMultiple factors, including but not limited to, private company valuation, illiquidity discount, and estimated life of the instrument.
Liabilities
Interest rate & other derivative — non-qualifying hedges$Internal valuation modelNot material
December 31, 2023
Assets
Corporate bonds$157 Indicative bid provided by brokerMultiple factors, including but not limited to, current operations, financial condition, cash flows, and recently executed financing transactions related to the issuer.
Interest rate & other derivative — non-qualifying hedges$Internal valuation modelMultiple factors, including but not limited to, private company valuation, illiquidity discount, and estimated life of the instrument.
Liabilities
Interest rate & other derivative — non-qualifying hedges$Internal valuation modelNot material
Schedule of Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation
The following table summarizes the changes in estimated fair value for all assets and liabilities measured at estimated fair value on a recurring basis using significant unobservable inputs (Level 3):

Changes in Estimated Fair Value of Level 3 Financial Assets and Liabilities - Recurring Basis
dollars in millionsThree Months Ended March 31, 2024Three Months Ended March 31, 2023
Corporate BondsOther Derivative Assets — Non-QualifyingOther Derivative Liabilities — Non-QualifyingCorporate BondsOther Derivative Assets — Non-QualifyingOther Derivative Liabilities — Non-Qualifying
Beginning balance$157 $$$174 $— $— 
Purchases— — — — — 
Changes in fair value included in earnings— — — — — 
Changes in fair value included in comprehensive income— — (5)— — 
Transfers in— — — — — 
Transfers out— — — — — — 
Maturity and settlements— (1)— (9)— — 
Ending balance$161 $$$160 $$
Schedule of Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation
The following table summarizes the changes in estimated fair value for all assets and liabilities measured at estimated fair value on a recurring basis using significant unobservable inputs (Level 3):

Changes in Estimated Fair Value of Level 3 Financial Assets and Liabilities - Recurring Basis
dollars in millionsThree Months Ended March 31, 2024Three Months Ended March 31, 2023
Corporate BondsOther Derivative Assets — Non-QualifyingOther Derivative Liabilities — Non-QualifyingCorporate BondsOther Derivative Assets — Non-QualifyingOther Derivative Liabilities — Non-Qualifying
Beginning balance$157 $$$174 $— $— 
Purchases— — — — — 
Changes in fair value included in earnings— — — — — 
Changes in fair value included in comprehensive income— — (5)— — 
Transfers in— — — — — 
Transfers out— — — — — — 
Maturity and settlements— (1)— (9)— — 
Ending balance$161 $$$160 $$
Schedule of Fair Value Option
The following table summarizes the difference between the aggregate fair value and the UPB for residential mortgage loans originated for sale measured at fair value as of March 31, 2024 and December 31, 2023:

Aggregate Fair Value and UPB - Residential Mortgage Loans
dollars in millionsMarch 31, 2024
Fair ValueUnpaid Principal BalanceDifference
Originated loans held for sale$50 $49 $1 
December 31, 2023
Fair ValueUnpaid Principal BalanceDifference
Originated loans held for sale$38 $37 $
Schedule of Fair Value, Assets Measured on Nonrecurring Basis The following table presents carrying value of assets measured at estimated fair value on a non-recurring basis for which gains and losses have been recorded in the periods. The gains and losses reflect amounts recorded for the respective periods, regardless of whether the asset is still held at period end.
Assets Measured at Fair Value - Non-recurring Basis
dollars in millionsFair Value Measurements
TotalLevel 1Level 2Level 3Total Gains (Losses)
March 31, 2024
Assets held for sale - loans$11 $— $— $11 $(4)
Loans - collateral dependent loans157 — — 157 (30)
Other real estate owned36 — — 36 
Total$204 $— $— $204 $(31)
December 31, 2023
Assets held for sale - loans$12 $— $— $12 $(4)
Loans - collateral dependent loans265 — — 265 (131)
Other real estate owned16 — — 16 
Total$293 $— $— $293 $(131)
Schedule of Carrying Values and Estimated Fair Values for Financial Instruments
The table below presents the carrying values and estimated fair values for financial instruments, excluding leases and certain other assets and liabilities for which these disclosures are not required.

Carrying Values and Fair Values of Financial Assets and Liabilities
dollars in millionsMarch 31, 2024
Estimated Fair Value
Carrying ValueLevel 1Level 2Level 3Total
Financial Assets
Cash and due from banks$698 $698 $— $— $698 
Interest-earning deposits at banks30,792 30,792 — — 30,792 
Securities purchased under agreements to resell394 — 394 — 394 
Investment in marketable equity securities79 32 47 — 79 
Investment securities available for sale24,915 — 24,754 161 24,915 
Investment securities held to maturity10,050 — 8,479 — 8,479 
Loans held for sale83 — 50 34 84 
Net loans131,613 — 1,507 127,057 128,564 
Accrued interest receivable914 — 914 — 914 
Federal Home Loan Bank stock20 — 20 — 20 
Mortgage servicing rights25 — — 44 44 
Derivative assets - qualifying hedges— — — — — 
Derivative assets - non-qualifying hedges659 — 650 659 
Financial Liabilities
Deposits with no stated maturity132,601 — 132,601 — 132,601 
Time deposits17,008 — 17,013 — 17,013 
Credit balances of factoring clients1,152 — — 1,152 1,152 
Securities sold under customer repurchase agreements395 — 395 — 395 
Long-term borrowings37,137 — 36,421 — 36,421 
Accrued interest payable141 — 141 — 141 
Derivative liabilities - qualifying hedges— — — — — 
Derivative liabilities - non-qualifying hedges654 — 653 654 
December 31, 2023
Estimated Fair Value
Carrying ValueLevel 1Level 2Level 3Total
Financial Assets
Cash and due from banks$908 $908 $— $— $908 
Interest-earning deposits at banks33,609 33,609 — — 33,609 
Securities purchased under agreements to resell473 — 473 — 473 
Investment in marketable equity securities84 36 48 — 84 
Investment securities available for sale19,936 — 19,779 157 19,936 
Investment securities held to maturity9,979 — 8,503 — 8,503 
Loans held for sale73 — 38 35 73 
Net loans129,545 — 1,479 125,217 126,696 
Accrued interest receivable832 — 832 — 832 
Federal Home Loan Bank stock20 — 20 — 20 
Mortgage servicing rights25 — — 42 42 
Derivative assets - qualifying hedges— — — — — 
Derivative assets - non-qualifying hedges640 — 633 640 
Financial Liabilities
Deposits with no stated maturity129,427 — 129,427 — 129,427 
Time deposits16,427 — 16,416 — 16,416 
Credit balances of factoring clients1,089 — — 1,089 1,089 
Securities sold under customer repurchase agreements485 — 485 — 485 
Long-term borrowings37,160 — 36,816 — 36,816 
Accrued interest payable137 — 137 — 137 
Derivative liabilities - qualifying hedges— — — — — 
Derivative liabilities - non-qualifying hedges636 — 635 636