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Long-Term Debt (Tables)
12 Months Ended
Dec. 31, 2014
Long-Term Debt  
Schedule of Carrying Amount and Effective Rates on Long-Term Debt
   December 31, 2014 December 31, 2013
   Carrying Effective Carrying Effective
 Amount Rate Amount Rate
              
   (Dollars in millions)
BB&T Corporation fixed rate senior notes$ 6,583 2.39% $ 5,845 2.60%
BB&T Corporation floating rate senior notes  1,050 1.07    700 1.13 
BB&T Corporation fixed rate subordinated notes  2,170 2.30    2,166 2.47 
Branch Bank fixed rate senior notes  4,047 1.72    1,999 1.71 
Branch Bank floating rate senior notes  500 0.72    1,150 0.69 
Branch Bank fixed rate subordinated notes  1,234 2.86    386 1.71 
Branch Bank floating rate subordinated notes  612 3.27    612 2.56 
FHLB advances (weighted average maturity of 5.9 years at December 31, 2014)  6,496 4.12    8,110 3.96 
Other long-term debt  119      101   
Fair value hedge-related basis adjustments  501      424   
 Total long-term debt$ 23,312    $ 21,493   
Schedule of Future Maturities of Long-Term Debt
  Year Ended December 31,  2020
  2015 2016 2017 2018 2019 and later
                   
   (Dollars in millions)
Future debt maturities (excluding capital leases)$ 1,064 $ 5,674 $ 3,829 $ 2,309 $ 2,269 $ 8,126