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Allowance for Credit Losses - Allowance for Credit Losses and Finance Receivables by Portfolio Segment (Details) - USD ($)
$ in Millions
3 Months Ended
Jun. 30, 2019
Jun. 30, 2018
Mar. 31, 2019
Allowance for Credit Losses for Finance Receivables:      
Provision for credit losses $ 75 $ 89  
Finance Receivables:      
Total Finance Receivables 73,094   $ 71,635
Retail Loan [Member]      
Finance Receivables:      
Total Finance Receivables 55,039   53,939
Finance Receivables, Net [Member]      
Allowance for Credit Losses for Finance Receivables:      
Allowance for credit losses at beginning of period 499 463  
Charge-offs (72) (75)  
Recoveries 14 14  
Provision for credit losses 63 61  
Allowance for credit losses at end of period 504 463  
Ending balance: Individually evaluated for impairment 92 62  
Ending balance: Collectively evaluated for impairment 412 401  
Finance Receivables:      
Total Finance Receivables 73,094 71,683 $ 71,635
Ending balance: Individually evaluated for impairment 615 482  
Ending balance: Collectively evaluated for impairment 72,479 71,201  
Finance Receivables, Net [Member] | Retail Loan [Member]      
Allowance for Credit Losses for Finance Receivables:      
Allowance for credit losses at beginning of period 304 312  
Charge-offs (72) (75)  
Recoveries 14 14  
Provision for credit losses 81 62  
Allowance for credit losses at end of period 327 313  
Ending balance: Individually evaluated for impairment 0 0  
Ending balance: Collectively evaluated for impairment 327 313  
Finance Receivables:      
Total Finance Receivables 55,039 53,823  
Ending balance: Individually evaluated for impairment 0 0  
Ending balance: Collectively evaluated for impairment 55,039 53,823  
Finance Receivables, Net [Member] | Dealer Products [Member]      
Allowance for Credit Losses for Finance Receivables:      
Allowance for credit losses at beginning of period 195 151  
Charge-offs 0 0  
Recoveries 0 0  
Provision for credit losses (18) (1)  
Allowance for credit losses at end of period 177 150  
Ending balance: Individually evaluated for impairment 92 62  
Ending balance: Collectively evaluated for impairment 85 88  
Finance Receivables:      
Total Finance Receivables 18,055 17,860  
Ending balance: Individually evaluated for impairment 615 482  
Ending balance: Collectively evaluated for impairment $ 17,440 $ 17,378