Quarterly report [Sections 13 or 15(d)]

Commitments and Contingencies (Tables)

v3.26.1
Commitments and Contingencies (Tables)
6 Months Ended
Jun. 30, 2026
Commitments and Contingencies Disclosure [Abstract]  
Schedule of Credit Extension Commitment Expirations
The following table includes the notional amount of commitments of $3.3 billion and $2.4 billion at June 30, 2026 and December 31, 2025 that are accounted for under the fair value option. However, the table excludes the cumulative net fair value for these commitments of $108 million and $67 million at June 30, 2026 and December 31, 2025, which is classified in accrued expenses and other liabilities. For more information regarding the Corporation’s loan commitments accounted for under the fair value option, see Note 15 – Fair Value Option.
Credit Extension Commitments
Expire in One
Year or Less
Expire After One
Year Through
Three Years
Expire After Three Years Through
Five Years
Expire After
Five Years
Total
(Dollars in millions) June 30, 2026
Notional amount of credit extension commitments
Loan commitments (1)
$ 150,605  $ 207,317  $ 263,825  $ 22,139  $ 643,886 
Home equity lines of credit 4,427  8,561  5,956  23,356  42,300 
Standby letters of credit and financial guarantees (2)
23,608  10,962  5,477  495  40,542 
Letters of credit 730  66  15  28  839 
Other commitments (3)
13  47  97  997  1,154 
Legally binding commitments 179,383  226,953  275,370  47,015  728,721 
Credit card lines (4)
489,427        489,427 
Total credit extension commitments $ 668,810  $ 226,953  $ 275,370  $ 47,015  $ 1,218,148 
December 31, 2025
Notional amount of credit extension commitments
Loan commitments (1)
$ 139,725  $ 224,524  $ 244,340  $ 24,587  $ 633,176 
Home equity lines of credit 4,247  9,808  7,240  21,787  43,082 
Standby letters of credit and financial guarantees (2)
24,086  9,626  4,018  386  38,116 
Letters of credit 639  46  19  44  748 
Other commitments (3)
15  57  54  1,002  1,128 
Legally binding commitments 168,712  244,061  255,671  47,806  716,250 
Credit card lines (4)
476,926  —  —  —  476,926 
Total credit extension commitments $ 645,638  $ 244,061  $ 255,671  $ 47,806  $ 1,193,176 
(1)     At June 30, 2026 and December 31, 2025, $3.5 billion and $3.4 billion of these loan commitments were held in the form of a security.
(2)     The notional amounts of SBLCs and financial guarantees classified as investment grade and non-investment grade based on the credit quality of the underlying reference name within the instrument were $29.5 billion and $10.1 billion at June 30, 2026, and $26.8 billion and $10.4 billion at December 31, 2025. Amounts in the table include consumer SBLCs of $962 million and $987 million at June 30, 2026 and December 31, 2025.
(3)     Primarily includes second-loss positions on lease-end residual value guarantees.
(4)     Includes business card unused lines of credit.