v3.26.1
Condensed Consolidated Balance Sheet (unaudited) - USD ($)
$ in Millions
Jun. 30, 2026
Dec. 31, 2025
Cash and cash equivalents    
Noninterest-bearing $ 339 $ 405
Interest-bearing 7,501 9,625
Total cash and cash equivalents 7,840 10,030
Equity securities 835 876
Available-for-sale securities (amortized cost basis of $26,222 and $25,825) 23,253 22,973
Held-to-maturity securities (fair value of $4,299 and $4,451) 4,286 4,371
Loans held-for-sale, net 406 549
Finance receivables and loans, net    
Finance receivables and loans, net of unearned income 143,673 137,454
Allowance for loan losses (3,576) (3,490)
Total finance receivables and loans, net 140,097 133,964
Investment in operating leases, net 8,585 8,772
Premiums receivable and other insurance assets 2,860 2,844
Other assets 11,610 11,623
Total assets 199,772 196,002
Deposit liabilities    
Noninterest-bearing 153 125
Interest-bearing 153,893 151,524
Total deposit liabilities 154,046 151,649
Short-term borrowings 5,916 4,695
Long-term debt 17,053 17,070
Interest payable 895 729
Unearned insurance premiums and service revenue 3,693 3,656
Accrued expenses and other liabilities 2,678 2,705
Total liabilities 184,281 180,504
Contingencies (refer to Note 23)
Equity    
Common stock and paid-in capital ($0.01 par value, shares authorized 1,100,000,000; issued 523,401,995 and 520,355,804; and outstanding 304,542,540 and 308,492,929) 22,388 22,295
Preferred stock 1,976 2,324
Retained earnings 1,101 633
Accumulated other comprehensive loss (2,711) (2,786)
Treasury stock, at cost (218,859,455 and 211,862,875 shares) (7,263) (6,968)
Total equity 15,491 15,498
Total liabilities and equity $ 199,772 $ 196,002