XML 100 R89.htm IDEA: XBRL DOCUMENT v3.20.2
Fair Value Disclosures - Assets and Liabilities Measured on a Recurring Basis (Details) - USD ($)
$ in Millions
Jun. 30, 2020
Dec. 31, 2019
Assets    
Trading assets $ 3,824 $ 5,733
AFS securities 77,805 74,727
LHFS at fair value 5,515 5,673
MSRs at fair value 2,077 2,618
Derivative Asset, Net 4,214 2,053
Derivative Asset, Gross 7,223 4,260
Derivative Asset, Fair Value, Gross Liability and Obligation to Return Cash, Offset (3,009) (2,207)
Equity securities 635 817
Private equity investments   440
Total assets 94,070 92,061
Liabilities    
Net Amount Presented in the Consolidated Balance Sheets 448 366
Derivative Liability, Gross 3,574 3,336
Derivative Liability, Fair Value, Gross Asset and Right to Reclaim Cash, Offset (3,126) (2,970)
Securities sold short 815 1,074
Total liabilities 1,263 1,440
Level 1    
Assets    
Trading assets 80 90
AFS securities 0 0
LHFS at fair value 0 0
MSRs at fair value 0 0
Derivative Asset, Gross 654 606
Equity securities 603 815
Private equity investments   0
Total assets 1,337 1,511
Liabilities    
Derivative Liability, Gross 524 204
Securities sold short 19 18
Total liabilities 543 222
Level 2    
Assets    
Trading assets 3,744 5,643
AFS securities 77,805 74,359
LHFS at fair value 5,515 5,673
MSRs at fair value 0 0
Derivative Asset, Gross 6,355 3,620
Equity securities 32 2
Private equity investments   0
Total assets 93,451 89,297
Liabilities    
Derivative Liability, Gross 3,039 3,117
Securities sold short 796 1,056
Total liabilities 3,835 4,173
Level 3    
Assets    
Trading assets 0 0
AFS securities 0 368
LHFS at fair value 0 0
MSRs at fair value 2,077 2,618
Derivative Asset, Gross 214 34
Equity securities 0 0
Private equity investments   440
Total assets 2,291 3,460
Liabilities    
Derivative Liability, Gross 11 15
Securities sold short 0 0
Total liabilities 11 15
U.S. Treasury    
Assets    
Trading assets 759 227
AFS securities 2,260 2,276
U.S. Treasury | Level 1    
Assets    
Trading assets 0 0
AFS securities 0 0
U.S. Treasury | Level 2    
Assets    
Trading assets 759 227
AFS securities 2,260 2,276
U.S. Treasury | Level 3    
Assets    
Trading assets 0 0
AFS securities 0 0
GSE    
Assets    
Trading assets 116 296
AFS securities 1,935 1,881
GSE | Level 1    
Assets    
Trading assets 0 0
AFS securities 0 0
GSE | Level 2    
Assets    
Trading assets 116 296
AFS securities 1,935 1,881
GSE | Level 3    
Assets    
Trading assets 0 0
AFS securities 0 0
Agency MBS | Residential Mortgage Backed Securities    
Assets    
Trading assets 557 497
AFS securities 71,547 68,236
Agency MBS | Commercial Mortgage Backed Securities    
Assets    
Trading assets 3 68
AFS securities 1,491 1,341
Agency MBS | Level 1 | Residential Mortgage Backed Securities    
Assets    
Trading assets 0 0
AFS securities 0 0
Agency MBS | Level 1 | Commercial Mortgage Backed Securities    
Assets    
Trading assets 0 0
AFS securities 0 0
Agency MBS | Level 2 | Residential Mortgage Backed Securities    
Assets    
Trading assets 557 497
AFS securities 71,547 68,236
Agency MBS | Level 2 | Commercial Mortgage Backed Securities    
Assets    
Trading assets 3 68
AFS securities 1,491 1,341
Agency MBS | Level 3 | Residential Mortgage Backed Securities    
Assets    
Trading assets 0 0
AFS securities 0 0
Agency MBS | Level 3 | Commercial Mortgage Backed Securities    
Assets    
Trading assets 0 0
AFS securities 0 0
States and political subdivisions    
Assets    
Trading assets 54 82
AFS securities 537 585
States and political subdivisions | Level 1    
Assets    
Trading assets 0 0
AFS securities 0 0
States and political subdivisions | Level 2    
Assets    
Trading assets 54 82
AFS securities 537 585
States and political subdivisions | Level 3    
Assets    
Trading assets 0 0
AFS securities 0 0
Non-agency MBS    
Assets    
Trading assets   277
AFS securities   368
Non-agency MBS | Level 1    
Assets    
Trading assets   0
AFS securities   0
Non-agency MBS | Level 2    
Assets    
Trading assets   277
AFS securities   0
Non-agency MBS | Level 3    
Assets    
Trading assets   0
AFS securities   368
Corporate Debt Securities    
Assets    
Trading assets 444 1,204
Corporate Debt Securities | Level 1    
Assets    
Trading assets 0 0
Corporate Debt Securities | Level 2    
Assets    
Trading assets 444 1,204
Corporate Debt Securities | Level 3    
Assets    
Trading assets 0 0
Loans    
Assets    
Trading assets 1,811 2,948
Loans | Level 1    
Assets    
Trading assets 0 0
Loans | Level 2    
Assets    
Trading assets 1,811 2,948
Loans | Level 3    
Assets    
Trading assets 0 0
Other    
Assets    
Trading assets 80 134
AFS securities 35 40
Other | Level 1    
Assets    
Trading assets 80 90
AFS securities 0 0
Other | Level 2    
Assets    
Trading assets 0 44
AFS securities 35 40
Other | Level 3    
Assets    
Trading assets 0 0
AFS securities 0 0
Fair Value, Concentration of Credit Risk, Master Netting Arrangements    
Assets    
Derivative Asset, Fair Value, Gross Liability and Obligation to Return Cash, Offset [1] (3,009) (2,207)
Liabilities    
Derivative Liability, Fair Value, Gross Asset and Right to Reclaim Cash, Offset [1] $ 3,126 $ 2,970
[1] Refer to "Note 16. Derivative Financial Instruments" for additional discussion on netting adjustments.