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Variable Interest Entities and Securitizations (Tables)
9 Months Ended
Sep. 30, 2022
Variable Interest Entities and Securitization [Abstract]  
Carrying Amount of Assets and Liabilities of Variable Interest Entities
The tables below present a summary of VIEs in which we had continuing involvement or held a significant variable interest, aggregated based on VIEs with similar characteristics as of September 30, 2022 and December 31, 2021. We separately present information for consolidated and unconsolidated VIEs.
Table 5.1: Carrying Amount of Consolidated and Unconsolidated VIEs
 September 30, 2022
 ConsolidatedUnconsolidated
(Dollars in millions)Carrying Amount of AssetsCarrying Amount of LiabilitiesCarrying Amount of AssetsCarrying Amount of LiabilitiesMaximum Exposure to Loss
Securitization-Related VIEs:(1)
Credit card loan securitizations(2)
$20,544 $12,374 $0 $0 $0 
Auto loan securitizations5,420 4,488 0 0 0 
Total securitization-related VIEs25,964 16,862 0 0 0 
Other VIEs:(3)
Affordable housing entities259 20 4,754 1,495 4,754 
Entities that provide capital to low-income and rural communities2,337 10 0 0 0 
Other0 0 341 0 341 
Total other VIEs2,596 30 5,095 1,495 5,095 
Total VIEs$28,560 $16,892 $5,095 $1,495 $5,095 
 December 31, 2021
 ConsolidatedUnconsolidated
(Dollars in millions)Carrying Amount of AssetsCarrying Amount of LiabilitiesCarrying Amount of AssetsCarrying Amount of LiabilitiesMaximum Exposure to Loss
Securitization-Related VIEs:(1)
Credit card loan securitizations(2)
$21,569 $13,016 $$$
Auto loan securitizations2,552 2,187 
Total securitization-related VIEs24,121 15,203 
 December 31, 2021
 ConsolidatedUnconsolidated
(Dollars in millions)Carrying Amount of AssetsCarrying Amount of LiabilitiesCarrying Amount of AssetsCarrying Amount of LiabilitiesMaximum Exposure to Loss
Other VIEs:(3)
Affordable housing entities263 27 4,774 1,454 4,774 
Entities that provide capital to low-income and rural communities2,074 26 
Other383 383 
Total other VIEs2,337 53 5,157 1,454 5,157 
Total VIEs$26,458 $15,256 $5,157 $1,454 $5,157 
__________
(1)Excludes insignificant VIEs from previously exited businesses.
(2)Represents the carrying amount of assets and liabilities of the VIE, which includes the seller’s interest and repurchased notes held by other related parties.
(3)In certain investment structures, we consolidate a VIE which in turn holds as its primary asset an investment in an unconsolidated VIE. In these instances, we disclose the carrying amount of assets and liabilities on our consolidated balance sheets as unconsolidated VIEs to avoid duplicating our exposure, as the unconsolidated VIEs are generally the operating entities generating the exposure. The carrying amount of assets and liabilities included in the unconsolidated VIE columns above related to these investment structures were $2.2 billion of assets and $562 million of liabilities as of September 30, 2022, and $2.2 billion of assets and $568 million of liabilities as of December 31, 2021.
External Debt and Receivable Balances of Securitization Programs
The table below presents our continuing involvement in certain securitization-related VIEs as of September 30, 2022 and December 31, 2021.
Table 5.2: Continuing Involvement in Securitization-Related VIEs
(Dollars in millions)Credit CardAuto
September 30, 2022:
Securities held by third-party investors$11,443 $4,483 
Receivables in the trusts21,155 5,212 
Cash balance of spread or reserve accounts0 23 
Retained interestsYesYes
Servicing retainedYesYes
December 31, 2021:
Securities held by third-party investors$12,808 $2,186 
Receivables in the trust22,454 2,418 
Cash balance of spread or reserve accounts13 
Retained interestsYesYes
Servicing retainedYesYes