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Fair Value Disclosures (Tables)
6 Months Ended
Jun. 30, 2014
Fair Value Disclosures  
Schedule of Assets and Liabilities Measured at Fair Value
 June 30, 2014 Total Level 1 Level 2 Level 3 
                 
     (Dollars in millions) 
 Assets:             
  Trading securities  $ 463 $ 280 $ 170 $ 13 
  AFS securities:             
   U.S. Treasury   1,095     1,095   
   MBS issued by GSE    16,234     16,234   
   States and political subdivisions    1,954     1,954   
   Non-agency MBS   277     277   
   Other   43   8   35   
   Covered   1,333     523   810 
  LHFS   1,692     1,692   
  Residential MSRs   954       954 
  Derivative assets:             
   Interest rate contracts    892     867   25 
   Foreign exchange contracts    2     2   
  Private equity and similar investments   322       322 
   Total assets $ 25,261 $ 288 $ 22,849 $ 2,124 
                 
 Liabilities:             
  Derivative liabilities:             
   Interest rate contracts  $ 835 $ $ 834 $ 1 
   Foreign exchange contracts    4     4   
  Short-term borrowings   170     170   
   Total liabilities  $ 1,009 $ $ 1,008 $ 1 

 December 31, 2013 Total Level 1 Level 2 Level 3 
                 
     (Dollars in millions) 
 Assets:             
  Trading securities  $ 381 $ 256 $ 125 $ 
  AFS securities:             
   U.S. Treasury   595     595   
   MBS issued by GSE    17,929     17,929   
   States and political subdivisions    1,851     1,851   
   Non-agency MBS   291     291   
   Other   45   10   35   
   Covered   1,393     532   861 
  LHFS   1,222     1,222   
  Residential MSRs    1,047       1,047 
  Derivative assets:             
   Interest rate contracts    862     859   3 
   Foreign exchange contracts    2     2   
  Private equity and similar investments   291       291 
   Total assets $ 25,909 $ 266 $ 23,441 $ 2,202 
                 
 Liabilities:             
  Derivative liabilities:             
   Interest rate contracts  $ 967 $ $ 953 $ 14 
   Foreign exchange contracts    3     3   
  Short-term borrowings   84     84   
   Total liabilities  $ 1,054 $ $ 1,040 $ 14 
Roll Forward of Level 3 Assets and Liabilities
               Private Equity
       Covered Residential Net and Similar
Three Months Ended June 30, 2014 Securities MSRs Derivatives Investments
   
        
Balance at April 1, 2014 $ 832 $ 1,008 $ 4 $ 328
 Total realized and unrealized gains (losses):            
  Included in earnings:            
   Interest income    2      
   Mortgage banking income     (54)   29  
   Other noninterest income          9
  Included in unrealized net holding gains (losses) in OCI    3      
 Purchases         14
 Issuances     33   28  
 Sales         (29)
 Settlements   (27)   (33)   (37)   (1)
 Transfers into Level 3          1
Balance at June 30, 2014 $ 810 $ 954 $ 24 $ 322
                  
Change in unrealized gains (losses) included in earnings for the period,            
 attributable to assets and liabilities still held at June 30, 2014 $ 2 $ (54) $ 24 $ (6)

                Private Equity
       Covered Residential Net and Similar
Three Months Ended June 30, 2013 Securities MSRs Derivatives Investments
   
        
Balance at April 1, 2013 $ 996 $ 735 $ 35 $ 330
 Total realized and unrealized gains (losses):            
  Included in earnings:            
   Interest income    8      
   Mortgage banking income     100   30  
   Other noninterest income          6
  Included in unrealized net holding gains (losses) in OCI   (15)      
 Purchases         7
 Issuances     98   (9)  
 Sales         (70)
 Settlements   (36)   (41)   (145)   (4)
Balance at June 30, 2013 $ 953 $ 892 $ (89) $ 269
                  
Change in unrealized gains (losses) included in earnings for the period,            
 attributable to assets and liabilities still held at June 30, 2013 $ 8 $ 100 $ (89) $ 5

                Private
                Equity and
       Covered Residential Net Similar
Six Months Ended June 30, 2014 Securities MSRs Derivatives Investments
             
       
Balance at January 1, 2014 $ 861 $ 1,047 $ (11) $ 291
 Total realized and unrealized gains (losses):            
  Included in earnings:            
   Interest income    17      
   Mortgage banking income     (97)   44  
   Other noninterest income          12
  Included in unrealized net holding gains (losses) in OCI   (15)      
 Purchases         52
 Issuances     66   40  
 Sales         (30)
 Settlements   (53)   (62)   (49)   (4)
 Transfers into Level 3          1
Balance at June 30, 2014 $ 810 $ 954 $ 24 $ 322
                  
Change in unrealized gains (losses) included in earnings for the period,            
 attributable to assets and liabilities still held at June 30, 2014 $ 17 $ (97) $ 24 $ (4)

                Private
             Equity and
       Covered Residential Net Similar
Six Months Ended June 30, 2013 Securities MSRs Derivatives Investments
             
       
Balance at January 1, 2013 $ 994 $ 627 $ 54 $ 323
 Total realized and unrealized gains (losses):            
  Included in earnings:            
   Interest income    18      
   Mortgage banking income     155   65  
   Other noninterest income          11
  Included in unrealized net holding gains (losses) in OCI   10      
 Purchases          30
 Issuances     192   27  
 Sales         (89)
 Settlements   (69)   (82)   (235)   (6)
Balance at June 30, 2013 $ 953 $ 892 $ (89) $ 269
                  
Change in unrealized gains (losses) included in earnings for the period,            
 attributable to assets and liabilities still held at June 30, 2013 $ 18 $ 155 $ (89) $ 8
Fair Value and Unpaid Principal Balance of Loans Held for Sale
     June 30, 2014 December 31, 2013 
     Fair Aggregate   Fair Aggregate   
     Value UPB Difference Value UPB Difference 
                       
     (Dollars in millions) 
 LHFS reported at fair value$ 1,692 $ 1,644 $ 48 $ 1,222 $ 1,223 $ (1) 
Fair Value, Assets and Liabilities Measured on Nonrecurring Basis
     As Of/For the Year-to-Date Period Ended 
     June 30, 2014 December 31, 2013 
     Carrying Value Valuation Adjustments Carrying Value Valuation Adjustments 
                 
     (Dollars in millions) 
 Impaired loans $ 213 $ (37) $50 $ (41) 
 Foreclosed real estate   56   3  71   (6) 
Carrying Amounts and Fair Values of Financial Assets and Liabilities Not Recorded at Fair Value
     Carrying Total     
 June 30, 2014 Amount Fair Value Level 2 Level 3 
             
     (Dollars in millions) 
 Financial assets:             
  HTM securities $ 20,432 $ 20,264 $ 20,264 $ 
  Loans and leases, net of ALLL excluding covered loans   116,371   116,473     116,473 
  Covered loans, net of ALLL   1,562   1,789     1,789 
  FDIC loss share receivable   689   356     356 
                 
 Financial liabilities:             
  Deposits    131,586   131,877   131,877   
  FDIC loss share payable   696   692     692 
  Long-term debt    21,927   22,904   22,904   

     Carrying Total     
 December 31, 2013 Amount Fair Value Level 2 Level 3 
             
     (Dollars in millions) 
 Financial assets:             
  HTM securities $ 18,101 $ 17,530 $ 17,491 $ 39 
  Loans and leases, net of ALLL excluding covered loans   112,264   112,261     112,261 
  Covered loans, net of ALLL   1,921   2,200     2,200 
  FDIC loss share receivable   843   464     464 
                 
 Financial liabilities:             
  Deposits    127,475   127,810   127,810   
  FDIC loss share payable   669   652     652 
  Long-term debt    21,493   22,313   22,313   
Notional or Contractual Amounts and Fair Values of Off Balance-Sheet Financial Instruments
    June 30, 2014  December 31, 2013 
    Notional/   Notional/   
    Contract   Contract   
   Amount Fair Value Amount Fair Value 
            
    (Dollars in millions) 
 Commitments to extend, originate or purchase credit  $ 46,460 $ 89 $ 45,333 $ 86 
 Residential mortgage loans sold with recourse    718   8   783   13 
 Other loans sold with recourse    4,633   10   4,594   9 
 Letters of credit and financial guarantees    3,935   37   4,355   39