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Commitments and Contingencies (Tables)
6 Months Ended
Jun. 30, 2025
Commitments and Contingencies Disclosure [Abstract]  
Schedule of Commitments and Contingencies
The following table summarizes certain tax credit and certain equity investments:

(Dollars in millions)Balance Sheet LocationJun 30, 2025Dec 31, 2024
Investments in affordable housing projects and other qualified tax credits:  
Carrying amountOther assets$7,743 $7,782 
Amount of future funding commitments included in carrying amountOther liabilities2,410 2,667 
Lending exposureLoans and leases for funded amounts2,220 2,376 
Renewable energy investments:
Carrying amountOther assets840 551 
Amount of future funding commitments not included in carrying amountNA503 702 
SBIC and certain other equity method investments:
Carrying amountOther assets947 878 
Amount of future funding commitments not included in carrying amountNA598 613 
Summary of Tax Credits and Amortization, Tax Credit Investment Activity
The following table presents a summary of tax credits and amortization expense associated with the Company’s tax credit investment activity. Activity related to the Company’s renewable energy investments, other than qualified tax credits, was immaterial.

Three Months Ended June 30,Six Months Ended June 30,
(Dollars in millions)Income Statement Location2025202420252024
Tax credits:
Investments in affordable housing projects, other qualified tax credits, and other community development investmentsProvision for income taxes$209 $185 $420 $370 
Amortization and other changes in carrying amount:
Investments in affordable housing projects and other qualified tax creditsProvision for income taxes$186 $170 $374 $341 
Other community development investmentsOther noninterest income
Schedule of Off-Balance Sheet
The following is a summary of selected notional amounts of off-balance sheet financial instruments:

(Dollars in millions)Jun 30, 2025Dec 31, 2024
Commitments to extend, originate, or purchase credit and other commitments$221,244 $210,645 
Residential mortgage loans sold with recourse138 146 
CRE mortgages serviced for others covered by recourse provisions9,731 9,985 
Other loans serviced for others covered by recourse and other provisions2,388 2,022 
Letters of credit8,399 7,532 
Schedule of Variable Interest Entities The following table provides a summary of the TRS transactions with the associated VIE reference assets, which include trading loans and bonds:
(Dollars in millions)Jun 30, 2025Dec 31, 2024
Total return swaps:
VIE assets$2,396 $1,854 
Trading loans and bonds2,014 1,473 
VIE liabilities379 356 
Schedule of Pledged Assets The following table provides the total carrying amount of pledged assets by asset type:
(Dollars in millions)Jun 30, 2025Dec 31, 2024
Pledged securities$36,759 $48,058 
Pledged loans:
FRB103,542 93,497 
FHLB73,185 71,931 
Unused borrowing capacity:
FRB80,374 72,040 
FHLB30,417 31,411