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Fair Values - Assets and Liabilities Measured at Fair Value on a Nonrecurring Basis (Details) - Nonrecurring - USD ($)
$ in Millions
3 Months Ended
Mar. 31, 2024
Mar. 31, 2023
Dec. 31, 2023
Assets at fair value      
Loans $ 7,579   $ 8,747
Other assets—Other investments     4
Other assets—ROU assets     23
Total 7,579   8,774
Liabilities      
Other liabilities and accrued expenses—Lending commitments 128   170
Total 128   170
Assets      
Fair Value Adjustment Disclosure      
Gains (losses) from fair value remeasurements (22) $ 16  
Loans      
Fair Value Adjustment Disclosure      
Gains (losses) from fair value remeasurements (22) 19  
Other assets - Premises, equipement and software      
Fair Value Adjustment Disclosure      
Gains (losses) from fair value remeasurements 0 (3)  
Liabilities      
Fair Value Adjustment Disclosure      
Gains (losses) from fair value remeasurements 1 34  
Other liabilities and accrued expenses—Lending commitments      
Fair Value Adjustment Disclosure      
Gains (losses) from fair value remeasurements 1 $ 34  
Level 2      
Assets at fair value      
Loans 2,460   4,215
Other assets—Other investments     0
Other assets—ROU assets     23
Total 2,460   4,238
Liabilities      
Other liabilities and accrued expenses—Lending commitments 70   110
Total 70   110
Level 3      
Assets at fair value      
Loans 5,119   4,532
Other assets—Other investments     4
Other assets—ROU assets     0
Total 5,119   4,536
Liabilities      
Other liabilities and accrued expenses—Lending commitments 58   60
Total $ 58   $ 60