Annual report pursuant to Section 13 and 15(d)

OTHER REGULATORY MATTERS (Tables)

v3.20.4
OTHER REGULATORY MATTERS (Tables)
12 Months Ended
Dec. 31, 2020
BankingRegulation [Abstract]  
Period-end capital amounts and capital ratios
Minimum Minimum Basel III
Regulatory Ratio+Capital Well- December 31,
Capital Conservation Capitalized 2020 2019
(dollar amounts in millions) Ratios Buffer (1) Minimums Ratio Amount Ratio Amount
CET 1 risk-based capital Consolidated 4.50  % 7.00  % N/A 10.00  % $ 8,887  9.88  % $ 8,647 
Bank 4.50  7.00  6.50  % 10.65  9,438  11.17  9,747 
Tier 1 risk-based capital Consolidated 6.00  8.50  6.00  12.47  11,083  11.26  9,854 
Bank 6.00  8.50  8.00  11.97  10,601  12.17  10,621 
Total risk-based capital Consolidated 8.00  10.50  10.00  14.46  12,856  13.04  11,413 
Bank 8.00  10.50  10.00  13.58  12,032  13.59  11,864 
Tier 1 leverage Consolidated 4.00  N/A N/A 9.32  11,083  9.26  9,854 
Bank 4.00  N/A 5.00  8.94  10,601  10.01  10,621