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DEBT (Details 3) (USD $)
In Millions, except Share data, unless otherwise specified
3 Months Ended 6 Months Ended
Jun. 30, 2011
Jun. 30, 2011
Trust Securities    
Liquidation value $ 17,656 $ 17,656
Junior subordinated debentures owned by the Trust, proceeds received from the Trust at the date of issuance 17,782 17,782
Citigroup Capital III
   
Trust Securities    
Securities issued (in shares) 194,053 194,053
Liquidation value 194 194
Coupon rate (as a percent)   0.07625
Common shares issued to parent (in shares)   6,003
Junior subordinated debentures owned by the Trust, proceeds received from the Trust at the date of issuance 200 200
Citigroup Capital VII
   
Trust Securities    
Securities issued (in shares) 35,885,898 35,885,898
Liquidation value 897 897
Coupon rate (as a percent)   0.07125
Common shares issued to parent (in shares)   1,109,874
Junior subordinated debentures owned by the Trust, proceeds received from the Trust at the date of issuance 925 925
Citigroup Capital VIII
   
Trust Securities    
Securities issued (in shares) 43,651,597 43,651,597
Liquidation value 1,091 1,091
Coupon rate (as a percent)   0.06950
Common shares issued to parent (in shares)   1,350,050
Junior subordinated debentures owned by the Trust, proceeds received from the Trust at the date of issuance 1,125 1,125
Citigroup Capital IX
   
Trust Securities    
Securities issued (in shares) 33,874,813 33,874,813
Liquidation value 847 847
Coupon rate (as a percent)   0.06000
Common shares issued to parent (in shares)   1,047,675
Junior subordinated debentures owned by the Trust, proceeds received from the Trust at the date of issuance 873 873
Citigroup Capital X
   
Trust Securities    
Securities issued (in shares) 14,757,823 14,757,823
Liquidation value 369 369
Coupon rate (as a percent)   0.06100
Common shares issued to parent (in shares)   456,428
Junior subordinated debentures owned by the Trust, proceeds received from the Trust at the date of issuance 380 380
Citigroup Capital XI
   
Trust Securities    
Securities issued (in shares) 18,387,128 18,387,128
Liquidation value 460 460
Coupon rate (as a percent)   0.06000
Common shares issued to parent (in shares)   568,675
Junior subordinated debentures owned by the Trust, proceeds received from the Trust at the date of issuance 474 474
Citigroup Capital XII
   
Trust Securities    
Securities issued (in shares) 92,000,000 92,000,000
Liquidation value 2,300 2,300
Coupon rate (as a percent)   0.08500
Common shares issued to parent (in shares)   25
Junior subordinated debentures owned by the Trust, proceeds received from the Trust at the date of issuance 2,300 2,300
Citigroup Capital XIII
   
Trust Securities    
Securities issued (in shares) 89,840,000 89,840,000
Liquidation value 2,246 2,246
Coupon rate (as a percent)   0.07875
Common shares issued to parent (in shares)   25
Junior subordinated debentures owned by the Trust, proceeds received from the Trust at the date of issuance 2,246 2,246
Citigroup Capital XIV
   
Trust Securities    
Securities issued (in shares) 12,227,281 12,227,281
Liquidation value 306 306
Coupon rate (as a percent)   0.06875
Common shares issued to parent (in shares)   40,000
Junior subordinated debentures owned by the Trust, proceeds received from the Trust at the date of issuance 307 307
Citigroup Capital XV
   
Trust Securities    
Securities issued (in shares) 25,210,733 25,210,733
Liquidation value 630 630
Coupon rate (as a percent)   0.06500
Common shares issued to parent (in shares)   40,000
Junior subordinated debentures owned by the Trust, proceeds received from the Trust at the date of issuance 631 631
Citigroup Capital XVI
   
Trust Securities    
Securities issued (in shares) 38,148,947 38,148,947
Liquidation value 954 954
Coupon rate (as a percent)   0.06450
Common shares issued to parent (in shares)   20,000
Junior subordinated debentures owned by the Trust, proceeds received from the Trust at the date of issuance 954 954
Citigroup Capital XVII
   
Trust Securities    
Securities issued (in shares) 28,047,927 28,047,927
Liquidation value 701 701
Coupon rate (as a percent)   0.06350
Common shares issued to parent (in shares)   20,000
Junior subordinated debentures owned by the Trust, proceeds received from the Trust at the date of issuance 702 702
Citigroup Capital XVIII
   
Trust Securities    
Securities issued (in shares) 99,901 99,901
Liquidation value 160 160
Coupon rate (as a percent)   0.06829
Common shares issued to parent (in shares)   50
Junior subordinated debentures owned by the Trust, proceeds received from the Trust at the date of issuance 160 160
Citigroup Capital XIX
   
Trust Securities    
Securities issued (in shares) 22,771,968 22,771,968
Liquidation value 569 569
Coupon rate (as a percent)   0.07250
Common shares issued to parent (in shares)   20,000
Junior subordinated debentures owned by the Trust, proceeds received from the Trust at the date of issuance 570 570
Citigroup Capital XX
   
Trust Securities    
Securities issued (in shares) 17,709,814 17,709,814
Liquidation value 443 443
Coupon rate (as a percent)   0.07875
Common shares issued to parent (in shares)   20,000
Junior subordinated debentures owned by the Trust, proceeds received from the Trust at the date of issuance 443 443
Citigroup Capital XXI
   
Trust Securities    
Securities issued (in shares) 2,345,801 2,345,801
Liquidation value 2,346 2,346
Coupon rate (as a percent)   0.08300
Common shares issued to parent (in shares)   500
Junior subordinated debentures owned by the Trust, proceeds received from the Trust at the date of issuance 2,346 2,346
Citigroup Capital XXXIII
   
Trust Securities    
Securities issued (in shares) 3,025,000 3,025,000
Liquidation value 3,025 3,025
Coupon rate (as a percent)   0.08000
Common shares issued to parent (in shares)   100
Junior subordinated debentures owned by the Trust, proceeds received from the Trust at the date of issuance 3,025 3,025
Adam Capital Trust III
   
Trust Securities    
Securities issued (in shares) 17,500 17,500
Liquidation value 18 18
Description of coupon rate basis three months LIBOR three months LIBOR
Coupon rate, basis spread (as a percent) 0.0335 0.0335
Common shares issued to parent (in shares)   542
Junior subordinated debentures owned by the Trust, proceeds received from the Trust at the date of issuance 18 18
Adam Statutory Trust III
   
Trust Securities    
Securities issued (in shares) 25,000 25,000
Liquidation value 25 25
Description of coupon rate basis three months LIBOR three months LIBOR
Coupon rate, basis spread (as a percent) 0.0325 0.0325
Common shares issued to parent (in shares)   774
Junior subordinated debentures owned by the Trust, proceeds received from the Trust at the date of issuance 26 26
Adam Statutory Trust IV
   
Trust Securities    
Securities issued (in shares) 40,000 40,000
Liquidation value 40 40
Description of coupon rate basis three months LIBOR three months LIBOR
Coupon rate, basis spread (as a percent) 0.0295 0.0295
Common shares issued to parent (in shares)   1,238
Junior subordinated debentures owned by the Trust, proceeds received from the Trust at the date of issuance 41 41
Adam Statutory Trust V
   
Trust Securities    
Securities issued (in shares) 35,000 35,000
Liquidation value 35 35
Description of coupon rate basis three months LIBOR three months LIBOR
Coupon rate, basis spread (as a percent) 0.0279 0.0279
Common shares issued to parent (in shares)   1,083
Junior subordinated debentures owned by the Trust, proceeds received from the Trust at the date of issuance 36 36
Citigroup Capital XXXII
   
Trust Securities    
Coupon rate (as a percent)   0.03953
Exchanged trust securities for senior notes $ 1,875 $ 1,875