Annual report [Section 13 and 15(d), not S-K Item 405]

Deposits

v3.25.4
Deposits
12 Months Ended
Dec. 31, 2025
Deposits [Abstract]  
Deposits Deposits
The table below presents total deposits at December 31, 2025 and 2024.
Noninterest-bearing and Interest-bearing Deposits
December 31
(Dollars in millions) 2025 2024
Noninterest-bearing deposits
$ 532,050  $ 523,858 
Interest-bearing deposits
1,486,679  1,441,609 
Total deposits
$ 2,018,729  $ 1,965,467 
The scheduled contractual maturities for total time deposits at December 31, 2025 are presented in the table below.
Contractual Maturities of Total Time Deposits
(Dollars in millions) U.S. Non-U.S. Total
Due in 2026 $ 191,872  $ 12,508  $ 204,380 
Due in 2027 3,942  73  4,015 
Due in 2028 173  25  198 
Due in 2029 90  10  100 
Due in 2030 96  3,666  3,762 
Thereafter 76  85 
Total time deposits $ 196,249  $ 16,291  $ 212,540 
At December 31, 2025 and 2024, the Corporation had aggregate U.S. time deposits of $129.3 billion and $138.1 billion and non-U.S. time deposits of $16.2 billion and $13.0 billion, respectively, in denominations that met or exceeded insurance limits.