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INVESTMENTS - Overview (Details) - USD ($)
$ in Millions
3 Months Ended 9 Months Ended
Sep. 30, 2015
Sep. 30, 2014
Sep. 30, 2015
Sep. 30, 2014
Dec. 31, 2014
Investment Holdings          
Investments $ 342,439   $ 342,439   $ 333,443
Interest and dividends on investments          
Taxable interest 1,596 $ 1,627 4,773 $ 4,638  
Interest exempt from U.S. federal income tax 44 96 116 407  
Dividends 87 101 305 343  
Total interest and dividends 1,727 1,824 5,194 5,388  
Gross realized investments losses, excluding losses from other-than-temporary impairment          
Gross realized investment gains 213 229 926 689  
Gross realized investment losses (62) (93) (285) (341)  
Net realized gains (losses) [1] 151 136 $ 641 348  
HTM securities sold, percent of principal collected, minimum     85.00%    
Available-for-sale Securities transferred from Held-to-maturity          
Carrying value of HTM securities sold 314 0 $ 363 5  
Net realized gain on sale of HTM securities 6 0 11 0  
Carrying value of securities reclassified to available-for-sale 144 700 238 766  
OTTI losses on securities reclassified to available-for-sale (9) $ (2) (14) $ (11)  
Securities available-for-sale          
Amortized cost 299,971   299,971   299,381
Gross unrealized gains 2,594   2,594   2,527
Gross unrealized losses 1,849   1,849   1,765
Fair value 300,716   300,716   300,143
Unrealized gains from impact of securities reclassified to held-for-sale 63   63    
Unrealized loss from impact of securities reclassified to held-for-sale 16   16    
Mortgage-backed securities - U.S. agency-sponsored          
Securities available-for-sale          
Amortized cost 35,772   35,772   35,647
Gross unrealized gains 521   521   603
Gross unrealized losses 99   99   159
Fair value 36,194   36,194   36,091
Mortgage-backed securities - Prime          
Securities available-for-sale          
Amortized cost 2   2   12
Gross unrealized gains 0   0   0
Gross unrealized losses 0   0   0
Fair value 2   2   12
Mortgage-backed securities - Alt-A          
Securities available-for-sale          
Amortized cost 120   120   43
Gross unrealized gains 11   11   1
Gross unrealized losses 0   0   0
Fair value 131   131   44
Mortgage-backed securities - Non-U.S. residential          
Securities available-for-sale          
Amortized cost 7,066   7,066   8,247
Gross unrealized gains 42   42   67
Gross unrealized losses 14   14   7
Fair value 7,094   7,094   8,307
Mortgage-backed securities - Commercial          
Securities available-for-sale          
Amortized cost 522   522   551
Gross unrealized gains 7   7   6
Gross unrealized losses 1   1   3
Fair value 528   528   554
Mortgage-backed securities          
Securities available-for-sale          
Amortized cost 43,482   43,482   44,500
Gross unrealized gains 581   581   677
Gross unrealized losses 114   114   169
Fair value 43,949   43,949   45,008
U.S. Treasury          
Securities available-for-sale          
Amortized cost 111,263   111,263   110,492
Gross unrealized gains 1,116   1,116   353
Gross unrealized losses 117   117   127
Fair value 112,262   112,262   110,718
Agency obligations          
Securities available-for-sale          
Amortized cost 10,024   10,024   12,925
Gross unrealized gains 92   92   60
Gross unrealized losses 6   6   13
Fair value 10,110   10,110   12,972
U.S. Treasury and federal agency securities          
Securities available-for-sale          
Amortized cost 121,287   121,287   123,417
Gross unrealized gains 1,208   1,208   413
Gross unrealized losses 123   123   140
Fair value 122,372   122,372   123,690
State and municipal securities          
Securities available-for-sale          
Amortized cost 12,176   12,176   13,526
Gross unrealized gains 117   117   150
Gross unrealized losses 897   897   977
Fair value 11,396   11,396   12,699
Foreign government          
Securities available-for-sale          
Amortized cost 95,601   95,601   90,249
Gross unrealized gains 498   498   734
Gross unrealized losses 494   494   286
Fair value 95,605   95,605   90,697
Corporate          
Securities available-for-sale          
Amortized cost 15,969   15,969   12,033
Gross unrealized gains 164   164   215
Gross unrealized losses 109   109   91
Fair value 16,024   16,024   12,157
Asset-backed securities          
Securities available-for-sale          
Amortized cost 9,939   9,939   12,534
Gross unrealized gains 9   9   30
Gross unrealized losses 78   78   58
Fair value 9,870   9,870   12,506
Other debt securities          
Securities available-for-sale          
Amortized cost 671   671   661
Gross unrealized gains 0   0   0
Gross unrealized losses 0   0   0
Fair value 671   671   661
Debt securities          
Securities available-for-sale          
Amortized cost 299,125   299,125   296,920
Gross unrealized gains 2,577   2,577   2,219
Gross unrealized losses 1,815   1,815   1,721
Fair value 299,887   299,887   297,418
Equity securities          
Securities available-for-sale          
Amortized cost 846   846   2,461
Gross unrealized gains 17   17   308
Gross unrealized losses 34   34   44
Fair value 829   829   2,725
Securities available-for-sale (AFS)          
Investment Holdings          
Investments 300,716   300,716   300,143
Held-to-maturity Securities          
Investment Holdings          
Investments 33,940   33,940   23,921
Non-marketable equity securities | Fair value          
Investment Holdings          
Investments 2,262   2,262   2,758
Non-marketable equity securities | Carried at cost          
Investment Holdings          
Investments $ 5,521   $ 5,521   $ 6,621
[1] Certain prior-period revenue and expense lines and totals were reclassified to conform to the current period’s presentation. See Note 3 to the Consolidated Financial Statements.