Quarterly report pursuant to Section 13 or 15(d)

Representations and Warranties Obligations and Corporate Guarantees (Tables)

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Representations and Warranties Obligations and Corporate Guarantees (Tables)
6 Months Ended
Jun. 30, 2011
Representations and Warranties Obligations and Corporate Guarantees [Abstract]  
Outstanding Claims by Category and Product
                 
Outstanding Claims by Counterparty and Product Type            
    June 30     December 31  
(Dollars in millions)   2011     2010  
 
By counterparty
               
GSEs
  $ 5,081     $ 2,821  
Monolines
    3,533       4,799  
Whole loan and private-label securitization investors and other (1)
    2,966       3,067  
 
Total outstanding claims by counterparty
  $ 11,580     $ 10,687  
 
By product type
               
Prime loans
  $ 3,421     $ 2,040  
Alt-A
    1,938       1,190  
Home equity
    2,853       3,658  
Pay option
    2,478       2,889  
Subprime
    663       734  
Other
    227       176  
 
Total outstanding claims by product type
  $ 11,580     $ 10,687  
 
(1)  
Amounts for June 30, 2011 and December 31, 2010 include $1.7 billion in demands contained in correspondence from private-label securitizations investors in the Covered Trusts that do not have the right to demand repurchase of loans directly or the right to access loan files. For additional information, see Settlement with Bank of New York Mellon, as Trustee on page 174.
Loan Repurchases and Indemnification Payments
                                                 
Loan Repurchases and Indemnification Payments      
    Three Months Ended June 30  
    2011     2010  
    Unpaid     Cash Paid             Unpaid     Cash Paid        
    Principal     for             Principal     for        
(Dollars in millions)   Balance     Repurchases     Loss     Balance     Repurchases     Loss  
 
First-lien
                                               
Repurchases
  $ 860     $ 970     $ 419     $ 573     $ 627     $ 267  
Indemnification payments
    958       539       539       291       166       165  
 
Total first-lien
    1,818       1,509       958       864       793       432  
 
Home equity
                                               
Repurchases
    3       3       -       24       28       19  
Indemnification payments
    45       48       48       38       36       36  
 
Total home equity
    48       51       48       62       64       55  
 
Total first-lien and home equity
  $ 1,866     $ 1,560     $ 1,006     $ 926     $ 857     $ 487  
 
                                                 
    Six Months Ended June 30
    2011     2010  
           
First-lien
                                               
Repurchases
  $ 1,194     $ 1,333     $ 552     $ 1,209     $ 1,325     $ 627  
Indemnification payments
    1,292       699       699       801       462       462  
 
Total first-lien
    2,486       2,032       1,251       2,010       1,787       1,089  
 
Home equity
                                               
Repurchases
    18       18       14       42       48       29  
Indemnification payments
    85       87       87       79       76       76  
 
Total home equity
    103       105       101       121       124       105  
 
Total first-lien and home equity
  $ 2,589     $ 2,137     $ 1,352     $ 2,131     $ 1,911     $ 1,194  
 
Rollforward of the liability for representations and warranties
                                 
    Three Months Ended June 30     Six Months Ended June 30  
(Dollars in millions)   2011     2010     2011     2010  
 
Liability for representations and warranties and corporate guarantees, beginning of period
  $ 6,220     $ 3,325     $ 5,438     $ 3,507  
Additions for new sales
    3       8       10       16  
Charge-offs
    (2,480 )     (642 )     (2,718 )     (1,360 )
Provision
    14,037       1,248       15,050       1,774  
Other
    -       -       -       2  
 
Liability for representations and warranties and corporate guarantees, June 30
  $ 17,780     $ 3,939     $ 17,780     $ 3,939