XML 132 R101.htm IDEA: XBRL DOCUMENT v3.19.2
DEBT - Trust Preferred Securities (Details)
$ in Millions
Jun. 30, 2019
USD ($)
shares
Dec. 31, 2018
USD ($)
Trust Preferred Securities    
Trust preferred securities $ 1,700 $ 1,700
Liquidation value 2,567  
Junior subordinated debentures owned by the Trust, amount $ 2,573  
Citigroup Capital III    
Trust Preferred Securities    
Securities issued (in shares) | shares 194,053  
Liquidation value $ 194  
Coupon rate 7.625%  
Common shares issued to parent (in shares) | shares 6,003  
Junior subordinated debentures owned by the Trust, amount $ 200  
Citigroup Capital XIII    
Trust Preferred Securities    
Securities issued (in shares) | shares 89,840,000  
Liquidation value $ 2,246  
Common shares issued to parent (in shares) | shares 1,000  
Junior subordinated debentures owned by the Trust, amount $ 2,246  
Citigroup Capital XVIII    
Trust Preferred Securities    
Securities issued (in shares) | shares 99,901  
Liquidation value $ 127  
Common shares issued to parent (in shares) | shares 50  
Junior subordinated debentures owned by the Trust, amount $ 127  
LIBOR | Citigroup Capital XIII    
Trust Preferred Securities    
Coupon rate - basis spread on variable rate 0.0637  
LIBOR | Citigroup Capital XVIII    
Trust Preferred Securities    
Coupon rate - basis spread on variable rate 0.008875