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Short-Term Borrowings (Tables)
12 Months Ended
Dec. 31, 2025
Debt Disclosure [Abstract]  
Schedule of Short-term Debt
The following tables present information with respect to the amounts outstanding and weighted-average interest rates of the primary components of our short-term borrowings as of and for the years ended December 31:
(Dollars in millions)Securities Sold Under
Repurchase Agreements
Other(1)
2025202420252024
Balance as of December 31$841 $3,681 $3,750 $9,815 
Average outstanding during the year2,198 3,163 9,396 11,128 
Weighted-average interest rate as of year-end0.73 %5.62 %4.33 %4.77 %
Weighted-average interest rate during the year4.32 4.93 4.62 5.19 
(1) Primarily includes FHLB borrowings.
The following table presents information about these securities and the carrying value of the related repurchase agreements, including accrued interest, as of December 31, 2025.
 Securities Sold
Repurchase Agreements(1)
(In millions)Amortized
Cost
Fair ValueAmortized
Cost
Overnight maturity$1,058 $1,072 $841 
(1) Collateralized by investment securities.