Quarterly report pursuant to Section 13 or 15(d)

Securitizations and Other Variable Interest Entities (Details 3)

 v2.3.0.11
Securitizations and Other Variable Interest Entities (Details 3) (USD $)
3 Months Ended 6 Months Ended
Jun. 30, 2011
Mar. 31, 2011
Jun. 30, 2010
Mar. 31, 2010
Jun. 30, 2011
Jun. 30, 2010
Dec. 31, 2010
Securitizations and Other Variable Interest Entities (Textuals) [Abstract]              
Gains on these LHFS $ 765,000,000   $ 1,200,000,000   $ 1,800,000,000 $ 2,500,000,000  
Fair value of securities connection with agency first lien residential mortgage securitizations 428,000,000   436,000,000   428,000,000 18,500,000,000  
Fair value of securities connection with agency commercial mortgage securitizations 27,000,000   0   27,000,000 0  
Servicing fee and ancillary fee income on consumer mortgage loans 1,500,000,000   1,600,000,000   3,100,000,000 3,200,000,000  
Servicing advances on consumer mortgage loans 25,000,000,000       25,000,000,000   24,300,000,000
Loans repurchased from investors and securitization trusts 1,800,000,000   4,300,000,000   7,600,000,000 8,400,000,000  
Servicing fee and ancillary fee income on commercial mortgage loans (1,000,000)   (2,000,000)   2,000,000 2,000,000  
Servicing advances on commercial mortgage loans 160,000,000       160,000,000   156,000,000
Securitizations of home equity loans   0   0 0 0  
Collection reinvested in revolving period securitizations     9,000,000     16,000,000  
Cash flow received on residual interest     4,000,000     7,000,000  
Senior securities 116,000,000       116,000,000   204,000,000
Subordinate securities classified as Trading account assets 25,000,000       25,000,000   5,000,000
Subordinate securities classified and available-for-sale 13,000,000       13,000,000   35,000,000
Undrawn available credit on the home equity lines 564,000,000       564,000,000   639,000,000
Trust certificates outstanding 11,500,000,000       11,500,000,000   12,500,000,000
Reserve for losses on unexpected future draw obligations for home equity securitizations 107,000,000       107,000,000   131,000,000
Servicing fee income related to home equity securitizations 16,000,000   15,000,000   33,000,000 41,000,000  
Repurchase of loans from home equity securitization trusts 4,000,000   5,000,000   5,000,000 11,000,000  
Seller's interest 24,900,000,000       24,900,000,000   20,400,000,000
Trust loans include accrued interest receivables 2,700,000,000       2,700,000,000   3,800,000,000
New senior debt securities issued to external investors from credit card securitization trusts 0   2,900,000,000   0 2,900,000,000  
Notional principal amount of subordinate securities issued by certain credit card securitization trusts 0   1,900,000,000   0 11,500,000,000  
Interest rate on certain credit card securitization trusts 0.00%   0.00%   0.00% 0.00%  
Resecuritization of securities 21,600,000,000   27,900,000,000   23,600,000,000 68,700,000,000  
Net gains (losses) on Resecuritization 732,000,000   (53,000,000)   735,000,000 (86,000,000)  
Cash proceeds from securitization of unconsolidated municipal bond trusts     369,000,000     782,000,000  
Principal outstanding balance for municipal bonds securitization trusts 2,000,000,000       2,000,000,000   2,200,000,000
Unpaid principal balance of asset-backed securitization trusts collateralized by automobile loans 6,100,000,000       6,100,000,000   8,400,000,000
Unpaid principal balance of asset-backed securitization trusts collateralized by student loans 1,200,000,000       1,200,000,000   1,300,000,000
Unpaid principal balance of asset-backed securitization trusts collateralized by other loans 718,000,000       718,000,000   774,000,000
Total assets of the Corporation's consolidated investment vehicles 3,300,000,000       3,300,000,000   5,600,000,000
Corporation's investment in unconsolidated vehicles 6,300,000,000       6,300,000,000   7,900,000,000
Corporation's maximum exposure to loss from consolidated and unconsolidated investment vehicles 5,200,000,000       5,200,000,000   8,700,000,000
Assets of three asset acquisition conduits             640,000,000
Corporation's investment in unconsolidated real estate vehicles 5,200,000,000       5,200,000,000   5,400,000,000
Financing provided for asset-backed financing arrangements, percentage   75.00%          
Maximum loss exposure for asset-backed financing arrangements 6,000,000,000       6,000,000,000   6,500,000,000
Home Equity [Member]
             
Securitizations and Other Variable Interest Entities (Textuals) [Abstract]              
Collection reinvested in revolving period securitizations 0       0    
Cash flow received on residual interest 2,000,000       3,000,000    
Maximum loss exposure 11,205,000,000       11,205,000,000   12,324,000,000
Home Equity [Member] | Total Consolidated VIEs [Member]
             
Securitizations and Other Variable Interest Entities (Textuals) [Abstract]              
Maximum loss exposure 2,927,000,000       2,927,000,000   3,192,000,000
Home Equity [Member] | Total Unconsolidated VIEs [Member]
             
Securitizations and Other Variable Interest Entities (Textuals) [Abstract]              
Maximum loss exposure 8,278,000,000       8,278,000,000   9,132,000,000
Total Consolidated VIEs [Member] | Leveraged Lease Trusts [Member]
             
Securitizations and Other Variable Interest Entities (Textuals) [Abstract]              
Corporation's net investment in consolidated leveraged lease trusts 4,900,000,000       4,900,000,000   5,200,000,000
Total Unconsolidated VIEs [Member] | Municipal Bond Trusts [Member]
             
Securitizations and Other Variable Interest Entities (Textuals) [Abstract]              
Corporation's liquidity commitments to unconsolidated municipal bond trusts 3,600,000,000       3,600,000,000   4,000,000,000
Municipal Bond Trusts [Member]
             
Securitizations and Other Variable Interest Entities (Textuals) [Abstract]              
Weighted average remaining life of bonds held in the trusts, in years         P14.6Y    
Cash proceeds from securitization of unconsolidated municipal bond trusts 348,000,000       415,000,000    
Collective Investment Fund [Member]
             
Securitizations and Other Variable Interest Entities (Textuals) [Abstract]              
Total assets for certain common and collective investment funds for which the Corporation is trustee, but does not have a variable interest excluding the stable value collective investment fund 12,800,000,000       12,800,000,000    
Total assets for a certain common and collective investment fund (stable value collective investment fund) for which Corporation holds a variable interest             8,100,000,000
Total Consolidated VIEs [Member] | CDO Vehicles [Member]
             
Securitizations and Other Variable Interest Entities (Textuals) [Abstract]              
Maximum loss exposure 2,714,000,000       2,714,000,000   2,971,000,000
Total Unconsolidated VIEs [Member] | CDO Vehicles [Member]
             
Securitizations and Other Variable Interest Entities (Textuals) [Abstract]              
Maximum loss exposure 2,678,000,000       2,678,000,000   3,828,000,000
Notional amount of liquidity exposure to non SPE third parties 2,100,000,000       2,100,000,000    
CDO Vehicles [Member]
             
Securitizations and Other Variable Interest Entities (Textuals) [Abstract]              
Maximum loss exposure 5,392,000,000       5,392,000,000   6,799,000,000
Corporation's maximum exposure to loss from super senior CDO exposure 1,000,000,000       1,000,000,000    
Corporations maximum exposure to loss from CDO financing facilities 2,300,000,000       2,300,000,000    
Corporation's maximum exposure to loss from other non-super senior exposure 2,100,000,000       2,100,000,000    
Corporation's exposure to loss from super senior CDO exposure, net of purchased insurance 518,000,000       518,000,000    
CDO financing facilities long term debt 2,900,000,000       2,900,000,000    
Notional amount of super senior liquidity exposure 948,000,000       948,000,000    
Notional amount of the Corporation's aggregate liquidity exposure to CDOs 3,000,000,000       3,000,000,000    
Total Consolidated VIEs [Member] | Customer Vehicles [Member]
             
Securitizations and Other Variable Interest Entities (Textuals) [Abstract]              
Maximum loss exposure 4,634,000,000       4,634,000,000   4,449,000,000
Total Unconsolidated VIEs [Member] | Customer Vehicles [Member]
             
Securitizations and Other Variable Interest Entities (Textuals) [Abstract]              
Maximum loss exposure 2,112,000,000       2,112,000,000   2,735,000,000
Other liquidity commitments including written put options and collateral value guarantees with unconsolidated credit linked and equity linked note vehicles 859,000,000       859,000,000    
Customer Vehicles [Member]
             
Securitizations and Other Variable Interest Entities (Textuals) [Abstract]              
Maximum loss exposure 6,746,000,000       6,746,000,000   7,184,000,000
Total Consolidated VIEs [Member] | Credit Card Securitization Trusts [Member]
             
Securitizations and Other Variable Interest Entities (Textuals) [Abstract]              
Maximum loss exposure 38,015,000,000       38,015,000,000    
Total Unconsolidated VIEs [Member] | Credit Card Securitization Trusts [Member]
             
Securitizations and Other Variable Interest Entities (Textuals) [Abstract]              
Maximum loss exposure             36,596,000,000
Collateralized Auto Loans [Member]
             
Securitizations and Other Variable Interest Entities (Textuals) [Abstract]              
Unpaid principal balances of serviced asset-backed securitization trusts 8,100,000,000       8,100,000,000   10,500,000,000
Total Unconsolidated VIEs [Member]
             
Securitizations and Other Variable Interest Entities (Textuals) [Abstract]              
Notional amount of derivative contracts through which corporation obtains funding from third party SPEs $ 2,100,000,000       $ 2,100,000,000