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FAIR VALUE ELECTIONS (Tables)
3 Months Ended
Mar. 31, 2019
Fair Value, Option, Aggregate Differences [Abstract]  
Schedule of financial instruments selected for changes in fair value gains and losses The following table presents the changes in fair value of those items for which the fair value option has been elected:
 
Changes in fair value—gains (losses)
 
Three Months Ended March 31,
In millions of dollars
2019
2018
Assets
 
 
Federal funds sold and securities borrowed and purchased under agreements to resell
$
29

$
(16
)
Trading account assets
167

(16
)
Investments


Loans
 
 
Certain corporate loans
(133
)
(123
)
Certain consumer loans


Total loans
$
(133
)
$
(123
)
Other assets
 
 
MSRs
$
(27
)
$
46

Certain mortgage loans HFS(1)
16

2

Total other assets
$
(11
)
$
48

Total assets
$
52

$
(107
)
Liabilities
 
 
Interest-bearing deposits
$
(91
)
$
28

Federal funds purchased and securities loaned and sold under agreements to repurchase
35

(111
)
Trading account liabilities
11

(6
)
Short-term borrowings
(175
)
177

Long-term debt(2)
(2,681
)
618

Total liabilities
$
(2,901
)
$
706


(1)
Includes gains (losses) associated with interest rate lock commitments for those loans that have been originated and elected under the fair value option.
(2)
Includes a loss of ($0.7) billion and a gain of $0.2 billion of DVA which is included in AOCI for the three months ended March 31, 2019 and 2018, respectively.
Schedule of fair value of loans and other disclosures for certain credit related products The following table provides information about certain credit products carried at fair value:
 
March 31, 2019
December 31, 2018
In millions of dollars
Trading assets
Loans
Trading assets
Loans
Carrying amount reported on the Consolidated Balance Sheet
$
9,287

$
3,874

$
10,108

$
3,224

Aggregate unpaid principal balance in excess of (less than) fair value
870

750

435

741

Balance of non-accrual loans or loans more than 90 days past due

1


1

Aggregate unpaid principal balance in excess of fair value for non-accrual loans or loans more than 90 days past due




Schedule of fair value of loans and other disclosures for certain mortgage loans The following table provides information about certain mortgage loans HFS carried at fair value:
In millions of dollars
March 31,
2019
December 31, 2018
Carrying amount reported on the Consolidated Balance Sheet
$
459

$
556

Aggregate fair value in excess of (less than) unpaid principal balance
18

21

Balance of non-accrual loans or loans more than 90 days past due


Aggregate unpaid principal balance in excess of fair value for non-accrual loans or loans more than 90 days past due


Schedule of carrying value of structured notes, disaggregated by type of embedded derivative instrument The following table provides information about the carrying value of structured notes, disaggregated by type of embedded derivative instrument:
In billions of dollars
March 31, 2019
December 31, 2018
Interest rate linked
$
18.7

$
17.3

Foreign exchange linked
1.0

0.5

Equity linked
17.9

14.8

Commodity linked
1.2

1.2

Credit linked
2.0

1.9

Total
$
40.8

$
35.7

Schedule of long-term debt carried at fair value, excluding debt issued by consolidated VIEs The following table provides information about long-term debt carried at fair value:
In millions of dollars
March 31, 2019
December 31, 2018
Carrying amount reported on the Consolidated Balance Sheet
$
44,088

$
38,229

Aggregate unpaid principal balance in excess of (less than) fair value
2,610

3,814

Schedule of short-term borrowings carried at fair value The following table provides information about short-term borrowings carried at fair value:
In millions of dollars
March 31, 2019
December 31, 2018
Carrying amount reported on the Consolidated Balance Sheet
$
5,172

$
4,483

Aggregate unpaid principal balance in excess of fair value
631

861