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Long-Term Debt (Tables)
12 Months Ended
Dec. 31, 2013
Long-Term Debt  
Schedule of Long-Term Debt
     December 31,
     2013 2012
          
     (Dollars in millions)
BB&T Corporation:     
 3.38% Senior Notes Due 2013$ $ 500
 5.70% Senior Notes Due 2014  510   510
 2.05% Senior Notes Due 2014  700   700
 Floating Rate Senior Note Due 2014 (LIBOR-based, 0.94% at December 31, 2013)  300   300
 3.95% Senior Notes Due 2016  500   500
 3.20% Senior Notes Due 2016  999   999
 2.15% Senior Notes Due 2017  749   748
 1.60% Senior Notes Due 2017  749   749
 1.45% Senior Notes Due 2018  500   499
 Floating Rate Senior Notes Due 2018 (LIBOR-based, 1.10% at December 31, 2013)  400  
 2.05% Senior Notes Due 2018  599  
 6.85% Senior Notes Due 2019  539   539
 5.20% Subordinated Notes Due 2015  933   933
 4.90% Subordinated Notes Due 2017  349   345
 5.25% Subordinated Notes Due 2019  586   586
 3.95% Subordinated Notes Due 2022  298   298
          
Branch Bank:     
 Floating Rate Senior Note Due 2015 (LIBOR-based, 0.57% at December 31, 2013)  650  
 1.45% Senior Notes Due 2016  750  
 Floating Rate Senior Notes Due 2016 (LIBOR-based, 0.67% at December 31, 2013)  500  
 1.05% Senior Notes Due 2016  499  
 2.30% Senior Notes Due 2018  750  
 4.88% Subordinated Notes Due 2013    222
 5.63% Subordinated Notes Due 2016  386   386
 Floating Rate Subordinated Note Due 2016 (LIBOR-based, 0.56% at December 31, 2013)  350   350
 Floating Rate Subordinated Note Due 2017 (LIBOR-based, 0.54% at December 31, 2013)  262   262
          
FHLB Advances to Branch Bank:     
 Varying maturities to 2034  8,110   8,994
          
Other Long-Term Debt   101   100
          
Fair value hedge-related basis adjustments   424   594
  Total Long-Term Debt $ 21,493 $ 19,114
Schedule of Effective Rates on Hedged Long-Term Debt
     Carrying Effective 
   Amount Rate 
           
     (Dollars in millions) 
 BB&T Corporation Fixed Rate Senior Notes swapped to floating rates $ 5,845 2.55% 
 BB&T Corporation Floating Rate Senior Notes swapped to fixed rates   700 1.03  
 BB&T Corporation Fixed Rate Subordinated Notes swapped to floating rates   2,166 2.44  
 Branch Bank Fixed Rate Senior Notes swapped to floating rates   1,999 1.62  
 Branch Bank Floating Rate Senior Notes swapped to fixed rates   1,150 0.61  
 Branch Bank Fixed Rate Subordinated Notes swapped to floating rates   386 1.70  
 Branch Bank Floating Rate Subordinated Notes swapped to fixed rates   612 2.53  
Schedule of Maturities of Long-Term Debt
                  2019
  2014 2015 2016 2017 2018 and later
                   
   (Dollars in millions)
Future debt maturities (excluding capital leases)$ 2,141 $ 1,693 $ 5,650 $ 2,453 $ 2,289 $ 7,226