Annual report pursuant to Section 13 and 15(d)

Deposits

v3.22.4
Deposits
12 Months Ended
Dec. 31, 2022
Deposits [Abstract]  
Deposits Deposits
The scheduled contractual maturities for total time deposits at December 31, 2022 are presented in the table below.
Contractual Maturities of Total Time Deposits
(Dollars in millions) U.S. Non-U.S. Total
Due in 2023 $ 36,114  $ 7,393  $ 43,507 
Due in 2024 3,576  67  3,643 
Due in 2025 643  649 
Due in 2026 149  23  172 
Due in 2027 116  1,472  1,588 
Thereafter 238  246 
Total time deposits $ 40,836  $ 8,969  $ 49,805 
At December 31, 2022 and 2021, the Corporation had aggregate U.S. time deposits of $12.8 billion and $9.4 billion and non-U.S. time deposits of $9.0 billion and $10.6 billion in denominations that met or exceeded insurance limits.