Quarterly report pursuant to Section 13 or 15(d)

FAIR VALUES OF ASSETS AND LIABILITIES - Balance Sheet Location (Details)

v3.24.1.u1
FAIR VALUES OF ASSETS AND LIABILITIES - Balance Sheet Location (Details) - USD ($)
$ in Millions
Mar. 31, 2024
Dec. 31, 2023
Financial Assets    
Available-for-sale securities $ 26,801 $ 25,305
Held-to-maturity securities 15,416 15,750
Loans held for sale [1] 490 516
Net loans and leases 120,487 [2] 119,727
Derivative assets, gross 1,740 1,723
Derivative assets, netting adjustments (1,399) (1,330)
Derivative assets, net 341 393
Financial Liabilities    
Total deposits 153,225 151,230
Short-term borrowings 182 620
Long-term debt 14,894 [2] 12,394
Derivative liabilities, gross 1,626 1,421
Derivative liabilities, netting adjustments (872) (751)
Derivative liabilities, net 754 670
Time deposits in excess of the FDIC insurance coverage limit 1,400 1,400
Reported Value Measurement    
Financial Assets    
Cash and short-term assets 12,405 10,323
Trading account securities 167 125
Available-for-sale securities 26,801 25,305
Held-to-maturity securities 15,416 15,750
Other securities 727 725
Loans held for sale 490 516
Net loans and leases 120,487 119,727
Derivative assets, net 341 393
Assets held in trust for deferred compensation plans 186 177
Financial Liabilities    
Total deposits 153,225 151,230
Short-term borrowings 182 620
Long-term debt 14,894 12,394
Derivative liabilities, net 754 670
Estimate of Fair Value Measurement    
Financial Assets    
Cash and short-term assets 12,405 10,323
Trading account securities 167 125
Available-for-sale securities 26,801 25,305
Held-to-maturity securities 13,171 13,718
Other securities 727 725
Other securities 32 32
Loans held for sale 490 516
Net loans and leases 117,441 116,781
Derivative assets, net 341 393
Assets held in trust for deferred compensation plans 186 177
Financial Liabilities    
Total deposits 153,175 151,183
Short-term borrowings 182 620
Long-term debt 14,906 12,276
Derivative liabilities, net 754 670
Estimate of Fair Value Measurement | Level 1    
Financial Assets    
Trading account securities 92 91
Available-for-sale securities 5,027 2,856
Held-to-maturity securities 0 0
Other securities 31 30
Loans held for sale 0 0
Net loans and leases 0 0
Financial Liabilities    
Total deposits 0 0
Short-term borrowings 0 0
Long-term debt 0 0
Estimate of Fair Value Measurement | Level 2    
Financial Assets    
Trading account securities 75 34
Available-for-sale securities 18,389 19,019
Held-to-maturity securities 13,171 13,718
Other securities 1 2
Loans held for sale 487 506
Net loans and leases 117 120
Derivative assets, gross 1,734 1,720
Financial Liabilities    
Total deposits 137,131 135,627
Short-term borrowings 182 620
Long-term debt 11,583 8,929
Derivative liabilities, gross 1,624 1,416
Estimate of Fair Value Measurement | Level 3    
Financial Assets    
Trading account securities 0 0
Available-for-sale securities 3,385 3,430
Held-to-maturity securities 0 0
Other securities 0 0
Loans held for sale 3 10
Net loans and leases 117,324 116,661
Derivative assets, gross 6 3
Derivative assets, netting adjustments (1,399) (1,330)
Financial Liabilities    
Total deposits 16,044 15,556
Short-term borrowings 0 0
Long-term debt 3,323 3,347
Derivative liabilities, gross 2 5
Derivative liabilities, netting adjustments (872) (751)
Fair Value, Recurring    
Financial Assets    
Trading account securities 167 125
Available-for-sale securities 26,801 25,305
Derivative assets, netting adjustments (1,399) (1,330)
Derivative assets, net 341 393
Financial Liabilities    
Derivative liabilities, netting adjustments (872) (751)
Derivative liabilities, net 754 670
Fair Value, Recurring | Level 1    
Financial Assets    
Trading account securities 92 91
Available-for-sale securities 5,027 2,856
Derivative assets, gross 0 0
Financial Liabilities    
Derivative liabilities, gross 0 0
Fair Value, Recurring | Level 2    
Financial Assets    
Trading account securities 75 34
Available-for-sale securities 18,389 19,019
Derivative assets, gross 1,734 1,720
Financial Liabilities    
Derivative liabilities, gross 1,624 1,416
Fair Value, Recurring | Level 3    
Financial Assets    
Trading account securities 0 0
Available-for-sale securities 3,385 3,430
Derivative assets, gross 6 3
Financial Liabilities    
Derivative liabilities, gross 2 5
Other securities | Fair Value, Recurring    
Financial Assets    
Available-for-sale securities 10 10
Other securities | Fair Value, Recurring | Level 1    
Financial Assets    
Available-for-sale securities 0 0
Other securities | Fair Value, Recurring | Level 2    
Financial Assets    
Available-for-sale securities 10 10
Other securities | Fair Value, Recurring | Level 3    
Financial Assets    
Available-for-sale securities 0 0
Amortized Cost | Reported Value Measurement    
Financial Assets    
Cash and short-term assets 12,405 10,323
Held-to-maturity securities 15,416 15,750
Other securities 695 693
Net loans and leases 120,312 119,553
Financial Liabilities    
Total deposits 153,225 151,230
Short-term borrowings 182 620
Long-term debt 14,894 12,394
Fair Value or Fair Value Option | Reported Value Measurement    
Financial Assets    
Trading account securities 167 125
Available-for-sale securities 26,801 25,305
Other securities 32 32
Loans held for sale 487 506
Net loans and leases 175 174
Derivative assets, net 341 393
Assets held in trust for deferred compensation plans 186 177
Financial Liabilities    
Derivative liabilities, net 754 670
Lower of Cost or Market | Reported Value Measurement    
Financial Assets    
Loans held for sale $ 3 $ 10
[1] Amounts represent loans for which Huntington has elected the fair value option. See Note 12 - “Fair Values of Assets and Liabilities”.
[2] Includes VIE balances in net loans and leases and long-term debt of $1.5 billion and $1.4 billion, respectively, at March 31, 2024, and VIE balances in other assets of $136 million and $82 million, and other liabilities of $55 million and $57 million, at March 31, 2024 and December 31, 2023, respectively. See Note 14 - “Variable Interest Entities” for additional information.