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GUARANTEES AND COMMITMENTS (Tables)
9 Months Ended
Sep. 30, 2013
GUARANTEES AND COMMITMENTS  
Schedule of Guarantor Obligations by Expiration Date, Amount Outstanding and Carrying Value
 
  Maximum potential amount of future payments    
 
In billions of dollars at September 30, 2013
except carrying value in millions
  Expire within
1 year
  Expire after
1 year
  Total amount
outstanding
  Carrying value
(in millions of dollars)
 

Financial standby letters of credit

  $ 27.4   $ 72.8   $ 100.2   $ 494.7  

Performance guarantees

    7.4     4.7     12.1     39.5  

Derivative instruments considered to be guarantees

    5.0     57.6     62.6     635.3  

Loans sold with recourse

        0.3     0.3     24.0  

Securities lending indemnifications(1)

    78.7         78.7      

Credit card merchant processing(1)

    83.3         83.3      

Custody indemnifications and other

        34.2     34.2      
                   

Total

  $ 201.8   $ 169.6   $ 371.4   $ 1,193.5  
                   


 

 
  Maximum potential amount of future payments    
 
In billions of dollars at December 31, 2012
except carrying value in millions
  Expire within
1 year
  Expire after
1 year
  Total amount
outstanding
  Carrying value
(in millions of dollars)
 

Financial standby letters of credit

  $ 22.3   $ 79.8   $ 102.1   $ 432.8  

Performance guarantees

    7.3     4.7     12.0     41.6  

Derivative instruments considered to be guarantees

    11.2     45.5     56.7     2,648.7  

Loans sold with recourse

        0.5     0.5     87.0  

Securities lending indemnifications(1)

    80.4         80.4      

Credit card merchant processing(1)

    79.7         79.7      

Custody indemnifications and other

        30.2     30.2      
                   

Total

  $ 200.9   $ 160.7   $ 361.6   $ 3,210.1  
                   

(1)
The carrying values of securities lending indemnifications and credit card merchant processing were not material for either period presented, as Citi has determined that the amount and probability of potential liabilities arising from these guarantees were not significant.
Schedule of Guarantor Obligations by Credit Ratings

 

 
  Maximum potential amount of future payments  
In billions of dollars as of September 30, 2013   Investment
grade
  Non-investment
grade
  Not
rated
  Total  

Financial standby letters of credit

  $ 71.2   $ 19.5   $ 9.5   $ 100.2  

Performance guarantees

    7.1     3.5     1.5     12.1  

Derivative instruments deemed to be guarantees

            62.6     62.6  

Loans sold with recourse

            0.3     0.3  

Securities lending indemnifications

            78.7     78.7  

Credit card merchant processing

            83.3     83.3  

Custody indemnifications and other

    34.1     0.1         34.2  
                   

Total

  $ 112.4   $ 23.1   $ 235.9   $ 371.4  
                   


 

 
  Maximum potential amount of future payments  
In billions of dollars as of December 31, 2012   Investment
grade
  Non-investment
grade
  Not
rated
  Total  

Financial standby letters of credit

  $ 80.9   $ 11.0   $ 10.2   $ 102.1  

Performance guarantees

    7.3     3.0     1.7     12.0  

Derivative instruments deemed to be guarantees

            56.7     56.7  

Loans sold with recourse

            0.5     0.5  

Securities lending indemnifications

            80.4     80.4  

Credit card merchant processing

            79.7     79.7  

Custody indemnifications and other

    30.1     0.1         30.2  
                   

Total

  $ 118.3   $ 14.1   $ 229.2   $ 361.6  
                   
Schedule of Credit Commitments
In millions of dollars   U.S.   Outside of
U.S.
  September 30,
2013
  December 31,
2012
 

Commercial and similar letters of credit

  $ 1,554   $ 6,288   $ 7,842   $ 7,311  

One- to four-family residential mortgages

    2,158     3,236     5,394     3,893  

Revolving open-end loans secured by one- to four-family residential properties

    14,079     3,313     17,392     18,176  

Commercial real estate, construction and land development

    2,098     719     2,817     3,496  

Credit card lines

    509,623     140,414     650,037     620,700  

Commercial and other consumer loan commitments

    141,610     93,136     234,746     228,492  

Other commitments and contingencies

    1,385     1,507     2,892     2,259  
                   

Total

  $ 672,507   $ 248,613   $ 921,120   $ 884,327