| # | 
       Reference | 
       Report Element | 
    
        
           | 1 | 
            230 10 45 21B | 
           Proceeds from Insurance Settlement, Investing Activities | 
        
        
           | 2 | 
            230 10 45 21D | 
           Proceeds from Equity Method Investment, Distribution, Return of Capital | 
        
        
           | 3 | 
            230 10 45 21B | 
           Proceeds from Insurance Settlement, Operating Activities | 
        
        
           | 4 | 
            230 10 45 21C | 
           Payment to Acquire Life Insurance Policy, Investing Activities | 
        
        
           | 5 | 
            230 10 45 21C | 
           Proceeds from Life Insurance Policy | 
        
        
           | 6 | 
            230 10 45 21C | 
           Payment to Acquire Life Insurance Policy, Operating Activities | 
        
        
           | 7 | 
            230 10 45 21D | 
           Equity Method Investment, Distribution Received, Approach [Fixed List] | 
        
        
           | 8 | 
            230 10 45 21D | 
           Proceeds from Equity Method Investment, Distribution | 
        
        
           | 9 | 
            230 10 45 21D | 
           Equity Method Investments [Policy Text Block] | 
        
        
           | 10 | 
            230 10 50 1 | 
           Cash and Cash Equivalents, Policy [Policy Text Block] | 
        
        
           | 11 | 
            230 10 50 1 | 
           Cash and Cash Equivalents, Unrestricted Cash and Cash Equivalents, Policy [Policy Text Block] | 
        
        
           | 12 | 
            230 10 50 1 | 
           Cash and Cash Equivalents, Restricted Cash and Cash Equivalents, Policy [Policy Text Block] | 
        
        
           | 13 | 
            230 10 55 1 | 
           Inventory, Cash Flow Policy [Policy Text Block] | 
        
        
           | 14 | 
            230 10 50 2 | 
           Interest Paid, Including Capitalized Interest, Operating and Investing Activities | 
        
        
           | 15 | 
            230 10 50 2 | 
           Interest Paid, Discontinued Operations | 
        
        
           | 16 | 
            230 10 50 2 | 
           Interest Paid, Capitalized, Investing Activities | 
        
        
           | 17 | 
            230 10 45 2 | 
           Net Income (Loss), Including Portion Attributable to Noncontrolling Interest | 
        
        
           | 18 | 
            230 10 65 2 | 
           Accounting Standards Update 2016-15 [Member] | 
        
        
           | 19 | 
            230 10 50 2 | 
           Income Taxes Paid, Net | 
        
        
           | 20 | 
            230 10 50 2 | 
           Proceeds from Income Tax Refunds | 
        
        
           | 21 | 
            230 10 50 2 | 
           Income Taxes Paid | 
        
        
           | 22 | 
            230 10 50 2 | 
           Interest Paid, Excluding Capitalized Interest, Operating Activities | 
        
        
           | 23 | 
            230 10 50 3 | 
           Conversion of Stock, Amount Issued | 
        
        
           | 24 | 
            230 10 50 3 | 
           Debt Conversion, Converted Instrument, Rate | 
        
        
           | 25 | 
            230 10 50 3 | 
           Debt Conversion, Original Debt, Type of Debt | 
        
        
           | 26 | 
            230 10 50 3 | 
           Debt Conversion, Original Debt, Due Date of Debt | 
        
        
           | 27 | 
            230 10 50 3 | 
           Debt Conversion, Converted Instrument, Amount | 
        
        
           | 28 | 
            230 10 50 3 | 
           Debt Conversion, Original Debt, Issuance Date of Debt | 
        
        
           | 29 | 
            230 10 50 3 | 
           Debt Conversion, Original Debt, Issuance Date of Debt, Year | 
        
        
           | 30 | 
            230 10 50 3 | 
           Conversion of Stock [Table] | 
        
        
           | 31 | 
            230 10 50 3 | 
           Stock Conversion Description [Axis] | 
        
        
           | 32 | 
            230 10 50 3 | 
           Conversion of Stock, Amount Converted | 
        
        
           | 33 | 
            230 10 50 3 | 
           Conversion of Stock, Shares Issued | 
        
        
           | 34 | 
            230 10 50 3 | 
           Conversion of Stock, Shares Converted | 
        
        
           | 35 | 
            230 10 50 3 | 
           Line of Credit Assumed | 
        
        
           | 36 | 
            230 10 50 3 | 
           Conversion of Stock, Type of Stock Converted | 
        
        
           | 37 | 
            230 10 50 3 | 
           Dividends Payable, Amount Per Share | 
        
        
           | 38 | 
            230 10 50 3 | 
           Conversion of Stock, Description | 
        
        
           | 39 | 
            230 10 50 3 | 
           Conversion of Stock, Name [Domain] | 
        
        
           | 40 | 
            230 10 50 3 | 
           Contribution of Property | 
        
        
           | 41 | 
            230 10 50 3 | 
           Construction in Progress Expenditures Incurred but Not yet Paid | 
        
        
           | 42 | 
            230 10 50 3 | 
           Capital Expenditures Incurred but Not yet Paid | 
        
        
           | 43 | 
            230 10 50 3 | 
           Dividends Payable, Date Declared | 
        
        
           | 44 | 
            230 10 50 3 | 
           Dividends Payable [Table] | 
        
        
           | 45 | 
            230 10 50 3 | 
           Loans Assumed | 
        
        
           | 46 | 
            230 10 50 3 | 
           Dividends Payable, Date Declared, Year | 
        
        
           | 47 | 
            230 10 50 3 | 
           Mortgage Loan Related to Property Sales | 
        
        
           | 48 | 
            230 10 50 3 | 
           Conversion of Stock, New Issuance | 
        
        
           | 49 | 
            230 10 50 3 | 
           Debt Conversion, Original Debt, Amount | 
        
        
           | 50 | 
            230 10 50 3 | 
           Debt Conversion, Converted Instrument, Issuance Date, Year | 
        
        
           | 51 | 
            230 10 50 3 | 
           Debt Conversion, Converted Instrument, Warrants or Options Issued | 
        
        
           | 52 | 
            230 10 50 3 | 
           Debt Conversion, Converted Instrument, Expiration or Due Date, Year | 
        
        
           | 53 | 
            230 10 50 3 | 
           Debt Conversion Description [Axis] | 
        
        
           | 54 | 
            230 10 50 3 | 
           Debt Conversion, Original Debt, Interest Rate of Debt | 
        
        
           | 55 | 
            230 10 50 3 | 
           Debt Conversion, Converted Instrument, Shares Issued | 
        
        
           | 56 | 
            230 10 50 3 | 
           Debt Conversion [Table] | 
        
        
           | 57 | 
            230 10 50 3 | 
           Debt Conversion, Original Debt, Due Date, Year | 
        
        
           | 58 | 
            230 10 50 3 | 
           Debt Conversion, Converted Instrument, Type | 
        
        
           | 59 | 
            230 10 50 3 | 
           Debt Conversion, Name [Domain] | 
        
        
           | 60 | 
            230 10 50 3 | 
           Debt Conversion, Converted Instrument, Issuance Date | 
        
        
           | 61 | 
            230 10 50 3 | 
           Dividends Payable, Date Declared, Month and Year | 
        
        
           | 62 | 
            230 10 50 3 | 
           Debt Conversion, Converted Instrument, Expiration or Due Date, Month and Year | 
        
        
           | 63 | 
            230 10 50 3 | 
           Debt Conversion, Converted Instrument, Expiration or Due Date | 
        
        
           | 64 | 
            230 10 50 3 | 
           Debt Issuance Costs Incurred During Noncash or Partial Noncash Transaction | 
        
        
           | 65 | 
            230 10 50 3 | 
           Escrow Deposits Related to Property Sales | 
        
        
           | 66 | 
            230 10 50 3 | 
           Fair Value of Assets Acquired | 
        
        
           | 67 | 
            230 10 50 3 | 
           Debt Conversion, Original Debt, Issuance Date of Debt, Month and Year | 
        
        
           | 68 | 
            230 10 50 3 | 
           Dividends Payable, Date to be Paid, Year and Month | 
        
        
           | 69 | 
            230 10 50 3 | 
           Dividends Payable, Date to be Paid | 
        
        
           | 70 | 
            230 10 50 3 | 
           Dividends Payable, Nature | 
        
        
           | 71 | 
            230 10 50 3 | 
           Dividends Payable, Date to be Paid, Year | 
        
        
           | 72 | 
            230 10 50 3 | 
           Debt Conversion, Original Debt, Due Date of Debt, Month and Year | 
        
        
           | 73 | 
            230 10 50 3 | 
           Liabilities Assumed | 
        
        
           | 74 | 
            230 10 50 3 | 
           Escrow Deposit Disbursements Related to Property Acquisition | 
        
        
           | 75 | 
            230 10 50 3 | 
           Debt Conversion, Converted Instrument, Issuance Date, Month and Year | 
        
        
           | 76 | 
            230 10 50 3 | 
           Other Significant Noncash Transaction, Description | 
        
        
           | 77 | 
            230 10 50 3 | 
           Settlement of Asset Retirement Obligations Through Noncash Payments, Amount | 
        
        
           | 78 | 
            230 10 50 3 | 
           Other Significant Noncash Transaction, Value of Consideration Received | 
        
        
           | 79 | 
            230 10 50 3 | 
           Other Significant Noncash Transaction, Value of Consideration Given | 
        
        
           | 80 | 
            230 10 50 3 | 
           Other Significant Noncash Transactions [Table] | 
        
        
           | 81 | 
            230 10 50 3 | 
           Other Significant Noncash Transaction, Consideration Given | 
        
        
           | 82 | 
            230 10 50 3 | 
           Lease Obligation Incurred | 
        
        
           | 83 | 
            230 10 50 3 | 
           Notes Issued | 
        
        
           | 84 | 
            230 10 50 3 | 
           Noncash or Part Noncash Divestiture, Type of Consideration Received | 
        
        
           | 85 | 
            230 10 50 3 | 
           Notes Reduction | 
        
        
           | 86 | 
            230 10 50 3 | 
           Schedule of Debt Conversions [Table Text Block] | 
        
        
           | 87 | 
            230 10 50 3 | 
           Schedule of Conversions of Stock [Table Text Block] | 
        
        
           | 88 | 
            230 10 50 3 | 
           Schedule of Dividends Payable [Table Text Block] | 
        
        
           | 89 | 
            230 10 50 3 | 
           Schedule of Noncash or Part Noncash Acquisitions [Table Text Block] | 
        
        
           | 90 | 
            230 10 50 3 | 
           Schedule of Noncash or Part Noncash Divestitures [Table Text Block] | 
        
        
           | 91 | 
            230 10 50 3 | 
           Schedule of Other Significant Noncash Transactions [Table Text Block] | 
        
        
           | 92 | 
            230 10 50 3 | 
           Other Significant Noncash Transaction [Axis] | 
        
        
           | 93 | 
            230 10 50 3 | 
           Noncash or Part Noncash Acquisition, Debt Assumed | 
        
        
           | 94 | 
            230 10 50 3 | 
           Unique Name [Axis] | 
        
        
           | 95 | 
            230 10 50 3 | 
           Noncash or Part Noncash Acquisition, Payables Assumed | 
        
        
           | 96 | 
            230 10 50 3 | 
           Noncash or Part Noncash Acquisitions [Table] | 
        
        
           | 97 | 
            230 10 50 3 | 
           Noncash or Part Noncash Acquisition, Other Assets Acquired | 
        
        
           | 98 | 
            230 10 50 3 | 
           Noncash or Part Noncash Acquisition, Noncash Financial or Equity Instrument Consideration, Due Date | 
        
        
           | 99 | 
            230 10 50 3 | 
           Noncash or Part Noncash Acquisition, Fixed Assets Acquired | 
        
        
           | 100 | 
            230 10 50 3 | 
           Notes Assumed | 
        
        
           | 101 | 
            230 10 50 3 | 
           Noncash or Part Noncash Acquisition, Noncash Financial or Equity Instrument Consideration, Options Issued | 
        
        
           | 102 | 
            230 10 50 3 | 
           Other Significant Noncash Transaction, Consideration Received | 
        
        
           | 103 | 
            230 10 50 3 | 
           Noncash or Part Noncash Acquisition, Interest Acquired | 
        
        
           | 104 | 
            230 10 50 3 | 
           Noncash or Part Noncash Acquisition, Description | 
        
        
           | 105 | 
            230 10 50 3 | 
           Noncash or Part Noncash Acquisition, Accounts Receivable Acquired | 
        
        
           | 106 | 
            230 10 50 3 | 
           Noncash or Part Noncash Acquisition, Name [Domain] | 
        
        
           | 107 | 
            230 10 50 3 | 
           Noncash or Part Noncash Acquisition, Investments Acquired | 
        
        
           | 108 | 
            230 10 50 3 | 
           Noncash Investing and Financing Activities Related Text | 
        
        
           | 109 | 
            230 10 50 3 | 
           Noncash or Part Noncash Acquisitions by Unique Description [Axis] | 
        
        
           | 110 | 
            230 10 50 3 | 
           Noncash or Part Noncash Acquisition, Inventory Acquired | 
        
        
           | 111 | 
            230 10 50 3 | 
           Other Significant Noncash Transaction, Name [Domain] | 
        
        
           | 112 | 
            230 10 50 3 | 
           Stock Issued | 
        
        
           | 113 | 
            230 10 50 3 | 
           Noncash or Part Noncash Acquisition, Noncash Financial or Equity Instrument Consideration, Rate | 
        
        
           | 114 | 
            230 10 50 3 | 
           Noncash or Part Noncash Acquisition, Noncash Financial or Equity Instrument Consideration, Due Date, Month and Year | 
        
        
           | 115 | 
            230 10 50 3 | 
           Noncash or Part Noncash Acquisition, Value of Liabilities Assumed | 
        
        
           | 116 | 
            230 10 50 3 | 
           Noncash or Part Noncash Acquisition, Value of Assets Acquired | 
        
        
           | 117 | 
            230 10 50 3 | 
           Noncash or Part Noncash Divestiture, Amount of Consideration Received | 
        
        
           | 118 | 
            230 10 50 3 | 
           Noncash or Part Noncash Acquisition, Noncash Financial or Equity Instrument Consideration, Due Date, Year | 
        
        
           | 119 | 
            230 10 50 3 | 
           Noncash or Part Noncash Acquisition, Intangible Assets Acquired | 
        
        
           | 120 | 
            230 10 50 3 | 
           Noncash or Part Noncash Acquisition, Other Liabilities Assumed | 
        
        
           | 121 | 
            230 10 50 3 | 
           Noncash or Part Noncash Acquisition, Net Nonmonetary Assets Acquired (Liabilities Assumed) | 
        
        
           | 122 | 
            230 10 50 3 | 
           Transfer of Loans Held-for-sale to Portfolio Loans | 
        
        
           | 123 | 
            230 10 50 3 | 
           Supplemental Deferred Purchase Price | 
        
        
           | 124 | 
            230 10 50 3 | 
           Transfer of Portfolio Loans and Leases to Held-for-sale | 
        
        
           | 125 | 
            230 10 50 3 | 
           Transfer Mortgage Payable | 
        
        
           | 126 | 
            230 10 50 3 | 
           Real Estate Owned, Transfer to Real Estate Owned | 
        
        
           | 127 | 
            230 10 50 3 | 
           Noncash or Part Noncash Acquisition, Noncash Financial or Equity Instrument Consideration, Warrants Issued | 
        
        
           | 128 | 
            230 10 50 3 | 
           Transfer from Investments | 
        
        
           | 129 | 
            230 10 50 3 | 
           Noncash or Part Noncash Acquisition, Employee Benefit Liabilities Assumed | 
        
        
           | 130 | 
            230 10 50 3 | 
           Real Estate Owned, Transfer from Real Estate Owned | 
        
        
           | 131 | 
            230 10 50 3 | 
           Noncash or Part Noncash Acquisition, Noncash Financial or Equity Instrument Consideration, Shares Issued | 
        
        
           | 132 | 
            230 10 50 3 | 
           Noncash or Part Noncash Divestiture, Description | 
        
        
           | 133 | 
            230 10 50 3 | 
           Noncash or Part Noncash Divestitures [Table] | 
        
        
           | 134 | 
            230 10 50 3 | 
           Transfer to Investments | 
        
        
           | 135 | 
            230 10 65 3 (e) | 
           Accounting Standards Update 2016-18 [Member] | 
        
        
           | 136 | 
            230 10 45 4 | 
           Restricted Cash and Cash Equivalents, Current | 
        
        
           | 137 | 
            230 10 45 4 | 
           Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents, Disposal Group, Including Discontinued Operations | 
        
        
           | 138 | 
            230 10 45 4 | 
           Restricted Cash and Cash Equivalents | 
        
        
           | 139 | 
            230 10 45 4 | 
           Restricted Cash and Cash Equivalents, Noncurrent | 
        
        
           | 140 | 
            230 10 45 4 | 
           Cash and Cash Equivalents, at Carrying Value | 
        
        
           | 141 | 
            230 10 45 4 | 
           Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents | 
        
        
           | 142 | 
            230 10 45 4 | 
           Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents, Including Disposal Group and Discontinued Operations | 
        
        
           | 143 | 
            230 10 50 4 | 
           Conversion of Stock, Description | 
        
        
           | 144 | 
            230 10 50 4 | 
           Escrow Deposit Disbursements Related to Property Acquisition | 
        
        
           | 145 | 
            230 10 50 4 | 
           Dividends Payable, Nature | 
        
        
           | 146 | 
            230 10 50 4 | 
           Debt Issuance Costs Incurred During Noncash or Partial Noncash Transaction | 
        
        
           | 147 | 
            230 10 50 4 | 
           Conversion of Stock [Table] | 
        
        
           | 148 | 
            230 10 50 4 | 
           Stock Conversion Description [Axis] | 
        
        
           | 149 | 
            230 10 50 4 | 
           Conversion of Stock, Amount Converted | 
        
        
           | 150 | 
            230 10 50 4 | 
           Conversion of Stock, Shares Issued | 
        
        
           | 151 | 
            230 10 50 4 | 
           Conversion of Stock, Shares Converted | 
        
        
           | 152 | 
            230 10 50 4 | 
           Conversion of Stock, New Issuance | 
        
        
           | 153 | 
            230 10 50 4 | 
           Escrow Deposits Related to Property Sales | 
        
        
           | 154 | 
            230 10 50 4 | 
           Conversion of Stock, Amount Issued | 
        
        
           | 155 | 
            230 10 50 4 | 
           Noncash or Part Noncash Divestiture, Description | 
        
        
           | 156 | 
            230 10 50 4 | 
           Conversion of Stock, Name [Domain] | 
        
        
           | 157 | 
            230 10 50 4 | 
           Contribution of Property | 
        
        
           | 158 | 
            230 10 50 4 | 
           Construction in Progress Expenditures Incurred but Not yet Paid | 
        
        
           | 159 | 
            230 10 50 4 | 
           Lease Obligation Incurred | 
        
        
           | 160 | 
            230 10 50 4 | 
           Capital Expenditures Incurred but Not yet Paid | 
        
        
           | 161 | 
            230 10 50 4 | 
           Consideration Received for Beneficial Interest Obtained for Transferring Financial Asset | 
        
        
           | 162 | 
            230 10 50 4 | 
           Conversion of Stock, Type of Stock Converted | 
        
        
           | 163 | 
            230 10 50 4 | 
           Schedule of Noncash or Part Noncash Divestitures [Table Text Block] | 
        
        
           | 164 | 
            230 10 50 4 | 
           Noncash or Part Noncash Acquisition, Name [Domain] | 
        
        
           | 165 | 
            230 10 50 4 | 
           Noncash or Part Noncash Acquisition, Investments Acquired | 
        
        
           | 166 | 
            230 10 50 4 | 
           Noncash Investing and Financing Activities Related Text | 
        
        
           | 167 | 
            230 10 50 4 | 
           Notes Reduction | 
        
        
           | 168 | 
            230 10 50 4 | 
           Notes Issued | 
        
        
           | 169 | 
            230 10 50 4 | 
           Notes Assumed | 
        
        
           | 170 | 
            230 10 50 4 | 
           Other Significant Noncash Transaction, Value of Consideration Received | 
        
        
           | 171 | 
            230 10 50 4 | 
           Other Significant Noncash Transaction, Value of Consideration Given | 
        
        
           | 172 | 
            230 10 50 4 | 
           Other Significant Noncash Transactions [Table] | 
        
        
           | 173 | 
            230 10 50 4 | 
           Other Significant Noncash Transaction, Consideration Given | 
        
        
           | 174 | 
            230 10 50 4 | 
           Other Significant Noncash Transaction, Name [Domain] | 
        
        
           | 175 | 
            230 10 50 4 | 
           Other Significant Noncash Transaction [Axis] | 
        
        
           | 176 | 
            230 10 50 4 | 
           Other Significant Noncash Transaction, Description | 
        
        
           | 177 | 
            230 10 50 4 | 
           Noncash or Part Noncash Acquisition, Accounts Receivable Acquired | 
        
        
           | 178 | 
            230 10 50 4 | 
           Transfer Mortgage Payable | 
        
        
           | 179 | 
            230 10 50 4 | 
           Noncash or Part Noncash Acquisition, Employee Benefit Liabilities Assumed | 
        
        
           | 180 | 
            230 10 50 4 | 
           Fair Value of Assets Acquired | 
        
        
           | 181 | 
            230 10 50 4 | 
           Real Estate Owned, Transfer from Real Estate Owned | 
        
        
           | 182 | 
            230 10 50 4 | 
           Transfer of Loans Held-for-sale to Portfolio Loans | 
        
        
           | 183 | 
            230 10 50 4 | 
           Transfer from Investments | 
        
        
           | 184 | 
            230 10 50 4 | 
           Schedule of Conversions of Stock [Table Text Block] | 
        
        
           | 185 | 
            230 10 50 4 | 
           Real Estate Owned, Transfer to Real Estate Owned | 
        
        
           | 186 | 
            230 10 50 4 | 
           Schedule of Noncash or Part Noncash Acquisitions [Table Text Block] | 
        
        
           | 187 | 
            230 10 50 4 | 
           Transfer of Portfolio Loans and Leases to Held-for-sale | 
        
        
           | 188 | 
            230 10 50 4 | 
           Supplemental Deferred Purchase Price | 
        
        
           | 189 | 
            230 10 50 4 | 
           Stock Issued | 
        
        
           | 190 | 
            230 10 50 4 | 
           Settlement of Asset Retirement Obligations Through Noncash Payments, Amount | 
        
        
           | 191 | 
            230 10 50 4 | 
           Schedule of Other Significant Noncash Transactions [Table Text Block] | 
        
        
           | 192 | 
            230 10 50 4 | 
           Other Significant Noncash Transaction, Consideration Received | 
        
        
           | 193 | 
            230 10 50 4 | 
           Transfer to Investments | 
        
        
           | 194 | 
            230 10 50 4 | 
           Noncash or Part Noncash Acquisition, Noncash Financial or Equity Instrument Consideration, Due Date, Month and Year | 
        
        
           | 195 | 
            230 10 50 4 | 
           Noncash or Part Noncash Acquisition, Inventory Acquired | 
        
        
           | 196 | 
            230 10 50 4 | 
           Noncash or Part Noncash Acquisition, Other Liabilities Assumed | 
        
        
           | 197 | 
            230 10 50 4 | 
           Noncash or Part Noncash Acquisition, Noncash Financial or Equity Instrument Consideration, Warrants Issued | 
        
        
           | 198 | 
            230 10 50 4 | 
           Noncash or Part Noncash Acquisition, Intangible Assets Acquired | 
        
        
           | 199 | 
            230 10 50 4 | 
           Noncash or Part Noncash Acquisition, Noncash Financial or Equity Instrument Consideration, Due Date, Year | 
        
        
           | 200 | 
            230 10 50 4 | 
           Noncash or Part Noncash Divestiture, Amount of Consideration Received | 
        
        
           | 201 | 
            230 10 50 4 | 
           Noncash or Part Noncash Acquisition, Net Nonmonetary Assets Acquired (Liabilities Assumed) | 
        
        
           | 202 | 
            230 10 50 4 | 
           Noncash or Part Noncash Acquisition, Value of Liabilities Assumed | 
        
        
           | 203 | 
            230 10 50 4 | 
           Loans Assumed | 
        
        
           | 204 | 
            230 10 50 4 | 
           Noncash or Part Noncash Acquisition, Noncash Financial or Equity Instrument Consideration, Rate | 
        
        
           | 205 | 
            230 10 50 4 | 
           Mortgage Loan Related to Property Sales | 
        
        
           | 206 | 
            230 10 50 4 | 
           Noncash or Part Noncash Acquisition, Description | 
        
        
           | 207 | 
            230 10 50 4 | 
           Line of Credit Assumed | 
        
        
           | 208 | 
            230 10 50 4 | 
           Schedule of Debt Conversions [Table Text Block] | 
        
        
           | 209 | 
            230 10 50 4 | 
           Liabilities Assumed | 
        
        
           | 210 | 
            230 10 50 4 | 
           Noncash or Part Noncash Acquisition, Value of Assets Acquired | 
        
        
           | 211 | 
            230 10 50 4 | 
           Noncash or Part Noncash Acquisitions by Unique Description [Axis] | 
        
        
           | 212 | 
            230 10 50 4 | 
           Noncash or Part Noncash Acquisition, Interest Acquired | 
        
        
           | 213 | 
            230 10 50 4 | 
           Noncash or Part Noncash Acquisition, Noncash Financial or Equity Instrument Consideration, Options Issued | 
        
        
           | 214 | 
            230 10 50 4 | 
           Noncash or Part Noncash Acquisition, Fixed Assets Acquired | 
        
        
           | 215 | 
            230 10 50 4 | 
           Noncash or Part Noncash Acquisition, Noncash Financial or Equity Instrument Consideration, Due Date | 
        
        
           | 216 | 
            230 10 50 4 | 
           Noncash or Part Noncash Acquisition, Other Assets Acquired | 
        
        
           | 217 | 
            230 10 50 4 | 
           Noncash or Part Noncash Acquisitions [Table] | 
        
        
           | 218 | 
            230 10 50 4 | 
           Noncash or Part Noncash Acquisition, Payables Assumed | 
        
        
           | 219 | 
            230 10 50 4 | 
           Noncash or Part Noncash Divestiture, Type of Consideration Received | 
        
        
           | 220 | 
            230 10 50 4 | 
           Noncash or Part Noncash Acquisition, Noncash Financial or Equity Instrument Consideration, Shares Issued | 
        
        
           | 221 | 
            230 10 50 4 | 
           Noncash or Part Noncash Divestitures [Table] | 
        
        
           | 222 | 
            230 10 50 4 | 
           Unique Name [Axis] | 
        
        
           | 223 | 
            230 10 50 4 | 
           Noncash or Part Noncash Acquisition, Debt Assumed | 
        
        
           | 224 | 
            230 10 50 5 | 
           Schedule of Debt Conversions [Table Text Block] | 
        
        
           | 225 | 
            230 10 50 5 | 
           Notes Issued | 
        
        
           | 226 | 
            230 10 50 5 | 
           Notes Assumed | 
        
        
           | 227 | 
            230 10 50 5 | 
           Other Significant Noncash Transaction, Value of Consideration Received | 
        
        
           | 228 | 
            230 10 50 5 | 
           Other Significant Noncash Transaction, Value of Consideration Given | 
        
        
           | 229 | 
            230 10 50 5 | 
           Other Significant Noncash Transactions [Table] | 
        
        
           | 230 | 
            230 10 50 5 | 
           Other Significant Noncash Transaction, Consideration Given | 
        
        
           | 231 | 
            230 10 50 5 | 
           Other Significant Noncash Transaction, Name [Domain] | 
        
        
           | 232 | 
            230 10 50 5 | 
           Other Significant Noncash Transaction [Axis] | 
        
        
           | 233 | 
            230 10 50 5 | 
           Other Significant Noncash Transaction, Description | 
        
        
           | 234 | 
            230 10 50 5 | 
           Schedule of Noncash or Part Noncash Divestitures [Table Text Block] | 
        
        
           | 235 | 
            230 10 50 5 | 
           Notes Reduction | 
        
        
           | 236 | 
            230 10 50 5 | 
           Debt Conversion, Converted Instrument, Issuance Date | 
        
        
           | 237 | 
            230 10 50 5 | 
           Schedule of Noncash or Part Noncash Acquisitions [Table Text Block] | 
        
        
           | 238 | 
            230 10 50 5 | 
           Schedule of Conversions of Stock [Table Text Block] | 
        
        
           | 239 | 
            230 10 50 5 | 
           Other Significant Noncash Transaction, Consideration Received | 
        
        
           | 240 | 
            230 10 50 5 | 
           Noncash or Part Noncash Acquisition, Other Assets Acquired | 
        
        
           | 241 | 
            230 10 50 5 | 
           Settlement of Asset Retirement Obligations Through Noncash Payments, Amount | 
        
        
           | 242 | 
            230 10 50 5 | 
           Capital Expenditures Incurred but Not yet Paid | 
        
        
           | 243 | 
            230 10 50 5 | 
           Noncash or Part Noncash Acquisition, Noncash Financial or Equity Instrument Consideration, Due Date | 
        
        
           | 244 | 
            230 10 50 5 | 
           Noncash or Part Noncash Acquisitions by Unique Description [Axis] | 
        
        
           | 245 | 
            230 10 50 5 | 
           Noncash or Part Noncash Acquisition, Noncash Financial or Equity Instrument Consideration, Options Issued | 
        
        
           | 246 | 
            230 10 50 5 | 
           Noncash or Part Noncash Acquisition, Interest Acquired | 
        
        
           | 247 | 
            230 10 50 5 | 
           Debt Conversion, Name [Domain] | 
        
        
           | 248 | 
            230 10 50 5 | 
           Noncash Investing and Financing Activities Related Text | 
        
        
           | 249 | 
            230 10 50 5 | 
           Debt Conversion, Converted Instrument, Issuance Date, Month and Year | 
        
        
           | 250 | 
            230 10 50 5 | 
           Noncash or Part Noncash Acquisition, Fixed Assets Acquired | 
        
        
           | 251 | 
            230 10 50 5 | 
           Noncash or Part Noncash Acquisition, Description | 
        
        
           | 252 | 
            230 10 50 5 | 
           Noncash or Part Noncash Acquisition, Accounts Receivable Acquired | 
        
        
           | 253 | 
            230 10 50 5 | 
           Noncash or Part Noncash Acquisition, Name [Domain] | 
        
        
           | 254 | 
            230 10 50 5 | 
           Noncash or Part Noncash Acquisition, Investments Acquired | 
        
        
           | 255 | 
            230 10 50 5 | 
           Noncash or Part Noncash Acquisition, Debt Assumed | 
        
        
           | 256 | 
            230 10 50 5 | 
           Conversion of Stock, Amount Issued | 
        
        
           | 257 | 
            230 10 50 5 | 
           Conversion of Stock [Table] | 
        
        
           | 258 | 
            230 10 50 5 | 
           Stock Conversion Description [Axis] | 
        
        
           | 259 | 
            230 10 50 5 | 
           Conversion of Stock, Amount Converted | 
        
        
           | 260 | 
            230 10 50 5 | 
           Conversion of Stock, Shares Issued | 
        
        
           | 261 | 
            230 10 50 5 | 
           Conversion of Stock, Shares Converted | 
        
        
           | 262 | 
            230 10 50 5 | 
           Contribution of Property | 
        
        
           | 263 | 
            230 10 50 5 | 
           Conversion of Stock, Type of Stock Converted | 
        
        
           | 264 | 
            230 10 50 5 | 
           Debt Conversion, Converted Instrument, Amount | 
        
        
           | 265 | 
            230 10 50 5 | 
           Conversion of Stock, Description | 
        
        
           | 266 | 
            230 10 50 5 | 
           Conversion of Stock, Name [Domain] | 
        
        
           | 267 | 
            230 10 50 5 | 
           Debt Conversion, Converted Instrument, Type | 
        
        
           | 268 | 
            230 10 50 5 | 
           Construction in Progress Expenditures Incurred but Not yet Paid | 
        
        
           | 269 | 
            230 10 50 5 | 
           Schedule of Other Significant Noncash Transactions [Table Text Block] | 
        
        
           | 270 | 
            230 10 50 5 | 
           Noncash or Part Noncash Acquisitions [Table] | 
        
        
           | 271 | 
            230 10 50 5 | 
           Conversion of Stock, New Issuance | 
        
        
           | 272 | 
            230 10 50 5 | 
           Real Estate Owned, Transfer from Real Estate Owned | 
        
        
           | 273 | 
            230 10 50 5 | 
           Supplemental Deferred Purchase Price | 
        
        
           | 274 | 
            230 10 50 5 | 
           Transfer of Portfolio Loans and Leases to Held-for-sale | 
        
        
           | 275 | 
            230 10 50 5 | 
           Transfer Mortgage Payable | 
        
        
           | 276 | 
            230 10 50 5 | 
           Real Estate Owned, Transfer to Real Estate Owned | 
        
        
           | 277 | 
            230 10 50 5 | 
           Transfer to Investments | 
        
        
           | 278 | 
            230 10 50 5 | 
           Transfer from Investments | 
        
        
           | 279 | 
            230 10 50 5 | 
           Debt Conversion, Original Debt, Issuance Date of Debt, Year | 
        
        
           | 280 | 
            230 10 50 5 | 
           Debt Conversion, Original Debt, Amount | 
        
        
           | 281 | 
            230 10 50 5 | 
           Debt Conversion, Original Debt, Issuance Date of Debt | 
        
        
           | 282 | 
            230 10 50 5 | 
           Debt Conversion, Original Debt, Issuance Date of Debt, Month and Year | 
        
        
           | 283 | 
            230 10 50 5 | 
           Debt Conversion, Converted Instrument, Rate | 
        
        
           | 284 | 
            230 10 50 5 | 
           Debt Conversion, Original Debt, Due Date of Debt, Month and Year | 
        
        
           | 285 | 
            230 10 50 5 | 
           Debt Conversion, Original Debt, Type of Debt | 
        
        
           | 286 | 
            230 10 50 5 | 
           Debt Conversion, Original Debt, Due Date of Debt | 
        
        
           | 287 | 
            230 10 50 5 | 
           Debt Conversion, Converted Instrument, Expiration or Due Date, Month and Year | 
        
        
           | 288 | 
            230 10 50 5 | 
           Transfer of Loans Held-for-sale to Portfolio Loans | 
        
        
           | 289 | 
            230 10 50 5 | 
           Noncash or Part Noncash Divestiture, Name [Domain] | 
        
        
           | 290 | 
            230 10 50 5 | 
           Noncash or Part Noncash Acquisition, Noncash Financial or Equity Instrument Consideration, Shares Issued | 
        
        
           | 291 | 
            230 10 50 5 | 
           Debt Conversion, Converted Instrument, Shares Issued | 
        
        
           | 292 | 
            230 10 50 5 | 
           Unique Name [Axis] | 
        
        
           | 293 | 
            230 10 50 5 | 
           Line of Credit Assumed | 
        
        
           | 294 | 
            230 10 50 5 | 
           Noncash or Part Noncash Acquisition, Employee Benefit Liabilities Assumed | 
        
        
           | 295 | 
            230 10 50 5 | 
           Noncash or Part Noncash Divestitures [Table] | 
        
        
           | 296 | 
            230 10 50 5 | 
           Loans Assumed | 
        
        
           | 297 | 
            230 10 50 5 | 
           Noncash or Part Noncash Acquisition, Other Liabilities Assumed | 
        
        
           | 298 | 
            230 10 50 5 | 
           Mortgage Loan Related to Property Sales | 
        
        
           | 299 | 
            230 10 50 5 | 
           Noncash or Part Noncash Acquisition, Noncash Financial or Equity Instrument Consideration, Rate | 
        
        
           | 300 | 
            230 10 50 5 | 
           Noncash or Part Noncash Divestiture, Description | 
        
        
           | 301 | 
            230 10 50 5 | 
           Noncash or Part Noncash Acquisition, Value of Liabilities Assumed | 
        
        
           | 302 | 
            230 10 50 5 | 
           Noncash or Part Noncash Divestiture, Type of Consideration Received | 
        
        
           | 303 | 
            230 10 50 5 | 
           Dividends Payable, Nature | 
        
        
           | 304 | 
            230 10 50 5 | 
           Debt Issuance Costs Incurred During Noncash or Partial Noncash Transaction | 
        
        
           | 305 | 
            230 10 50 5 | 
           Noncash or Part Noncash Divestiture, Amount of Consideration Received | 
        
        
           | 306 | 
            230 10 50 5 | 
           Noncash or Part Noncash Acquisition, Value of Assets Acquired | 
        
        
           | 307 | 
            230 10 50 5 | 
           Noncash or Part Noncash Acquisition, Payables Assumed | 
        
        
           | 308 | 
            230 10 50 5 | 
           Debt Conversion, Converted Instrument, Expiration or Due Date | 
        
        
           | 309 | 
            230 10 50 5 | 
           Debt Conversion, Converted Instrument, Issuance Date, Year | 
        
        
           | 310 | 
            230 10 50 5 | 
           Debt Conversion, Converted Instrument, Warrants or Options Issued | 
        
        
           | 311 | 
            230 10 50 5 | 
           Debt Conversion, Converted Instrument, Expiration or Due Date, Year | 
        
        
           | 312 | 
            230 10 50 5 | 
           Debt Conversion Description [Axis] | 
        
        
           | 313 | 
            230 10 50 5 | 
           Debt Conversion, Original Debt, Interest Rate of Debt | 
        
        
           | 314 | 
            230 10 50 5 | 
           Noncash or Part Noncash Acquisition, Noncash Financial or Equity Instrument Consideration, Due Date, Month and Year | 
        
        
           | 315 | 
            230 10 50 5 | 
           Noncash or Part Noncash Acquisition, Noncash Financial or Equity Instrument Consideration, Due Date, Year | 
        
        
           | 316 | 
            230 10 50 5 | 
           Debt Conversion [Table] | 
        
        
           | 317 | 
            230 10 50 5 | 
           Stock Issued | 
        
        
           | 318 | 
            230 10 50 5 | 
           Noncash or Part Noncash Acquisition, Noncash Financial or Equity Instrument Consideration, Warrants Issued | 
        
        
           | 319 | 
            230 10 50 5 | 
           Escrow Deposits Related to Property Sales | 
        
        
           | 320 | 
            230 10 50 5 | 
           Noncash or Part Noncash Acquisition, Net Nonmonetary Assets Acquired (Liabilities Assumed) | 
        
        
           | 321 | 
            230 10 50 5 | 
           Noncash or Part Noncash Acquisition, Intangible Assets Acquired | 
        
        
           | 322 | 
            230 10 50 5 | 
           Fair Value of Assets Acquired | 
        
        
           | 323 | 
            230 10 50 5 | 
           Liabilities Assumed | 
        
        
           | 324 | 
            230 10 50 5 | 
           Escrow Deposit Disbursements Related to Property Acquisition | 
        
        
           | 325 | 
            230 10 50 5 | 
           Noncash or Part Noncash Acquisition, Inventory Acquired | 
        
        
           | 326 | 
            230 10 50 5 | 
           Debt Conversion, Original Debt, Due Date, Year | 
        
        
           | 327 | 
            230 10 50 7 | 
           Restricted Cash and Cash Equivalents, Nature of Restriction, Description | 
        
        
           | 328 | 
            230 10 50 7 | 
           Restricted Cash Equivalents, Current, Nature of Restriction, Description | 
        
        
           | 329 | 
            230 10 50 7 | 
           Restricted Cash Equivalents, Noncurrent, Nature of Restriction, Description | 
        
        
           | 330 | 
            230 10 50 7 | 
           Restricted Cash and Cash Equivalents, Current, Nature of Restriction, Description | 
        
        
           | 331 | 
            230 10 50 7 | 
           Restricted Cash, Noncurrent, Nature of Restriction, Description | 
        
        
           | 332 | 
            230 10 50 7 | 
           Restricted Cash, Current, Nature of Restriction, Description | 
        
        
           | 333 | 
            230 10 50 7 | 
           Restricted Cash and Cash Equivalents, Noncurrent, Nature of Restriction, Description | 
        
        
           | 334 | 
            230 10 50 7 | 
           Restricted Cash Equivalents, Nature of Restriction, Description | 
        
        
           | 335 | 
            230 10 50 7 | 
           Restricted Cash, Nature of Restriction, Description | 
        
        
           | 336 | 
            230 10 50 8 | 
           Restricted Cash Equivalents, Current | 
        
        
           | 337 | 
            230 10 50 8 | 
           Restricted Cash | 
        
        
           | 338 | 
            230 10 50 8 | 
           Restricted Cash Equivalents | 
        
        
           | 339 | 
            230 10 50 8 | 
           Restricted Cash, Noncurrent | 
        
        
           | 340 | 
            230 10 50 8 | 
           Restricted Cash Equivalents, Noncurrent | 
        
        
           | 341 | 
            230 10 50 8 | 
           Restricted Cash, Current | 
        
        
           | 342 | 
            230 10 50 8 | 
           Restricted Cash Equivalents, Noncurrent, Asset, Statement of Financial Position [Extensible List] | 
        
        
           | 343 | 
            230 10 50 8 | 
           Restrictions on Cash and Cash Equivalents [Table Text Block] | 
        
        
           | 344 | 
            230 10 50 8 | 
           Restrictions on Cash and Cash Equivalents [Table] | 
        
        
           | 345 | 
            230 10 50 8 | 
           Restricted Cash and Cash Equivalents, Current, Asset, Statement of Financial Position [Extensible List] | 
        
        
           | 346 | 
            230 10 50 8 | 
           Restricted Cash and Cash Equivalents | 
        
        
           | 347 | 
            230 10 50 8 | 
           Restricted Cash and Cash Equivalents, Asset, Statement of Financial Position [Extensible List] | 
        
        
           | 348 | 
            230 10 50 8 | 
           Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents, Disposal Group, Including Discontinued Operations | 
        
        
           | 349 | 
            230 10 50 8 | 
           Restricted Cash and Cash Equivalents, Noncurrent, Asset, Statement of Financial Position [Extensible List] | 
        
        
           | 350 | 
            230 10 50 8 | 
           Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents, Including Disposal Group and Discontinued Operations | 
        
        
           | 351 | 
            230 10 50 8 | 
           Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents | 
        
        
           | 352 | 
            230 10 50 8 | 
           Restricted Cash, Current, Asset, Statement of Financial Position [Extensible List] | 
        
        
           | 353 | 
            230 10 50 8 | 
           Restricted Cash Equivalents, Asset, Statement of Financial Position [Extensible List] | 
        
        
           | 354 | 
            230 10 50 8 | 
           Restricted Cash, Asset, Statement of Financial Position [Extensible List] | 
        
        
           | 355 | 
            230 10 50 8 | 
           Restricted Cash and Cash Equivalents, Current | 
        
        
           | 356 | 
            230 10 50 8 | 
           Restricted Cash and Cash Equivalents, Noncurrent | 
        
        
           | 357 | 
            230 10 50 8 | 
           Restricted Cash Equivalents, Current, Asset, Statement of Financial Position [Extensible List] | 
        
        
           | 358 | 
            230 10 50 8 | 
           Restricted Cash, Noncurrent, Asset, Statement of Financial Position [Extensible List] | 
        
        
           | 359 | 
            230 10 45 8 | 
           Proceeds from (Payments for) in Securities Sold under Agreements to Repurchase | 
        
        
           | 360 | 
            230 10 45 8 | 
           Increase (Decrease) in Demand Deposits | 
        
        
           | 361 | 
            230 10 45 8 | 
           Increase (Decrease) in Deposits | 
        
        
           | 362 | 
            230 10 45 8 | 
           Net Change Interest and Noninterest-bearing Deposits, Foreign | 
        
        
           | 363 | 
            230 10 45 8 | 
           Increase (Decrease) in Savings Deposits | 
        
        
           | 364 | 
            230 10 45 8 | 
           Increase (Decrease) in Federal Funds Purchased and Securities Sold under Agreements to Repurchase, Net | 
        
        
           | 365 | 
            230 10 45 8 | 
           Increase (Decrease) in Federal Funds Purchased | 
        
        
           | 366 | 
            230 10 45 8 | 
           Increase (Decrease) in Outstanding Checks, Financing Activities | 
        
        
           | 367 | 
            230 10 45 8 | 
           Increase (Decrease) in Other Deposits | 
        
        
           | 368 | 
            230 10 45 8 | 
           Net Change Interest-bearing Deposits, Foreign | 
        
        
           | 369 | 
            230 10 45 8 | 
           Net Change Interest-bearing Deposits, Domestic | 
        
        
           | 370 | 
            230 10 45 8 | 
           Net Change Noninterest-bearing Deposits, Domestic | 
        
        
           | 371 | 
            230 10 45 8 | 
           Net Change Noninterest-bearing Deposits, Foreign | 
        
        
           | 372 | 
            230 10 45 8 | 
           Proceeds from (Payments for) Federal Funds Sold and Securities Purchased under Agreements to Resell, Net | 
        
        
           | 373 | 
            230 10 45 8 | 
           Proceeds from (Payments for) Securities Purchased under Agreements to Resell | 
        
        
           | 374 | 
            230 10 45 8 | 
           Payments for (Proceeds from) Loans Receivable | 
        
        
           | 375 | 
            230 10 45 8 | 
           Payments for (Proceeds from) Deposit on Loan | 
        
        
           | 376 | 
            230 10 45 8 | 
           Net Change Interest and Noninterest-bearing Deposits, Domestic | 
        
        
           | 377 | 
            230 10 45 9 (a) | 
           Payments for (Proceeds from) Held-to-maturity Securities, Short-term | 
        
        
           | 378 | 
            230 10 45 9 (a) | 
           Payments for (Proceeds from) Available-for-sale Securities, Short-term | 
        
        
           | 379 | 
            230 10 45 9 (a) | 
           Payments for (Proceeds from) Short-term Investments | 
        
        
           | 380 | 
            230 10 45 9 (a) | 
           Proceeds from (Payments for) Trading Securities, Short-term | 
        
        
           | 381 | 
            230 10 45 9 | 
           Proceeds from (Payments for) in Interest-bearing Deposits in Banks | 
        
        
           | 382 | 
            230 10 45 9 (b) | 
           Payments for (Proceeds from) Loans Receivable | 
        
        
           | 383 | 
            230 10 45 9 (c) | 
           Increase (Decrease) in Outstanding Checks, Financing Activities | 
        
        
           | 384 | 
            230 10 45 9 (c) | 
           Payments for (Proceeds from) Deposit on Loan | 
        
        
           | 385 | 
            230 10 45 9 (c) | 
           Proceeds from (Repayments of) Commercial Paper | 
        
        
           | 386 | 
            230 10 45 9 (c) | 
           Proceeds from (Repayments of) Bank Overdrafts | 
        
        
           | 387 | 
            230 10 45 9 (c) | 
           Proceeds from (Repayments of) Short-term Debt, Maturing in Three Months or Less | 
        
        
           | 388 | 
            230 10 45 9 | 
           Proceeds from (Payments for) Securities Purchased under Agreements to Resell | 
        
        
           | 389 | 
            230 10 45 9 | 
           Proceeds from (Payments for) Federal Funds Sold and Securities Purchased under Agreements to Resell, Net | 
        
        
           | 390 | 
            230 10 45 9 | 
           Proceeds from (Payments for) in Securities Sold under Agreements to Repurchase | 
        
        
           | 391 | 
            230 10 45 9 | 
           Increase (Decrease) in Federal Funds Purchased | 
        
        
           | 392 | 
            230 10 45 9 | 
           Increase (Decrease) in Federal Funds Purchased and Securities Sold under Agreements to Repurchase, Net | 
        
        
           | 393 | 
            230 10 45 11 | 
           Proceeds from Sale and Maturity of Debt Securities, Available-for-sale | 
        
        
           | 394 | 
            230 10 45 11 | 
           Proceeds from Sale of Debt Securities, Available-for-sale | 
        
        
           | 395 | 
            230 10 45 11 | 
           Proceeds from Maturities, Prepayments and Calls of Debt Securities, Available-for-sale | 
        
        
           | 396 | 
            230 10 45 11 | 
           Payments to Acquire Debt Securities, Available-for-sale | 
        
        
           | 397 | 
            230 10 45 11 | 
           Payments to Acquire Mortgage-backed Securities (MBS), Available-for-sale | 
        
        
           | 398 | 
            230 10 45 12 (a) | 
           Proceeds from Securitizations of Loans Held-for-investment | 
        
        
           | 399 | 
            230 10 45 12 (a) | 
           Proceeds from Collection of Long-term Loans to Related Parties | 
        
        
           | 400 | 
            230 10 45 12 (a) | 
           Proceeds, Direct Financing Lease, Net Investment in Lease, Previously Written Off, Recovery | 
        
        
           | 401 | 
            230 10 45 12 (a) | 
           Proceeds from Sale of Finance Receivables | 
        
        
           | 402 | 
            230 10 45 12 (a) | 
           Proceeds, Financing Receivable, Previously Written Off, Recovery | 
        
        
           | 403 | 
            230 10 45 12 (a) | 
           Proceeds, Debt Securities, Held-to-maturity, Previously Written Off, Recovery | 
        
        
           | 404 | 
            230 10 45 12 (a) | 
           Proceeds from FHLBank Advance, Investing Activities | 
        
        
           | 405 | 
            230 10 45 12 (a) | 
           Proceeds from Collection of Finance Receivables | 
        
        
           | 406 | 
            230 10 45 12 (a) | 
           Proceeds, Debt Securities, Available-for-sale, Previously Written Off, Recovery | 
        
        
           | 407 | 
            230 10 45 12 (a) | 
           Proceeds, Accounts Receivable, Previously Written Off, Recovery | 
        
        
           | 408 | 
            230 10 45 12 (a) | 
           Proceeds, Contract with Customer, Asset, Previously Written Off, Recovery | 
        
        
           | 409 | 
            230 10 45 12 (a) | 
           Proceeds from (Payments for) Trading Securities, Short-term | 
        
        
           | 410 | 
            230 10 45 12 (a) | 
           Proceeds, Sales-type Lease, Net Investment in Lease, Previously Written Off, Recovery | 
        
        
           | 411 | 
            230 10 45 12 (a) | 
           Payments for (Proceeds from) Short-term Investments | 
        
        
           | 412 | 
            230 10 45 12 (a) | 
           Payments for (Proceeds from) Available-for-sale Securities, Short-term | 
        
        
           | 413 | 
            230 10 45 12 (a) | 
           Payments for (Proceeds from) Held-to-maturity Securities, Short-term | 
        
        
           | 414 | 
            230 10 45 12 (a) | 
           Loans and Leases Receivable, Related Parties, Proceeds | 
        
        
           | 415 | 
            230 10 45 12 (a) | 
           Proceeds, Net Investment in Lease, Previously Written Off, Recovery | 
        
        
           | 416 | 
            230 10 45 12 (a) | 
           Proceeds from Maturities, Prepayments and Calls of Debt Securities, Available-for-sale | 
        
        
           | 417 | 
            230 10 45 12 (a) | 
           Proceeds from Sale and Collection of Mortgage Notes Receivable | 
        
        
           | 418 | 
            230 10 45 12 (a) | 
           Proceeds from Sale of Loans Held-for-investment | 
        
        
           | 419 | 
            230 10 45 12 (a) | 
           Proceeds from Sale of Debt Securities, Available-for-sale | 
        
        
           | 420 | 
            230 10 45 12 (a) | 
           Proceeds from Securitizations of Consumer Loans | 
        
        
           | 421 | 
            230 10 45 12 (a) | 
           Proceeds from Principal Repayments on Loans and Leases Held-for-investment | 
        
        
           | 422 | 
            230 10 45 12 (a) | 
           Proceeds from Maturities, Prepayments and Calls of Mortgage Backed Securities (MBS) | 
        
        
           | 423 | 
            230 10 45 12 (a) | 
           Proceeds from Leases Held-for-investment | 
        
        
           | 424 | 
            230 10 45 12 (a) | 
           Proceeds from Maturities, Prepayments and Calls of Held-to-maturity Securities | 
        
        
           | 425 | 
            230 10 45 12 (a) | 
           Proceeds from Collection of Policy Loans | 
        
        
           | 426 | 
            230 10 45 12 (a) | 
           Proceeds from Collection of Loans Receivable | 
        
        
           | 427 | 
            230 10 45 12 (a) | 
           Proceeds from Collection of Notes Receivable | 
        
        
           | 428 | 
            230 10 45 12 (a) | 
           Proceeds from Collection of Advance to Affiliate | 
        
        
           | 429 | 
            230 10 45 12 (a) | 
           Proceeds from Collection of Retained Interest in Securitized Receivables categorized as Available-for-sale | 
        
        
           | 430 | 
            230 10 45 12 (a) | 
           Proceeds from Collection of Retained Interest in Securitized Receivables categorized as Held-to-maturity | 
        
        
           | 431 | 
            230 10 45 12 (a) | 
           Proceeds from Sale and Maturity of Debt Securities, Available-for-sale | 
        
        
           | 432 | 
            230 10 45 12 (a) | 
           Proceeds from Sale of Notes Receivable | 
        
        
           | 433 | 
            230 10 45 12 (a) | 
           Proceeds from Sale and Collection of Finance Receivables | 
        
        
           | 434 | 
            230 10 45 12 (a) | 
           Proceeds from Sale and Collection of Notes Receivable | 
        
        
           | 435 | 
            230 10 45 12 (a) | 
           Proceeds from Securitizations of Credit Cards | 
        
        
           | 436 | 
            230 10 45 12 (a) | 
           Proceeds of Other Loans and Leases Held-for-investment | 
        
        
           | 437 | 
            230 10 45 12 (a) | 
           Repayment of Notes Receivable from Related Parties | 
        
        
           | 438 | 
            230 10 45 12 (a) | 
           Proceeds from Sale and Collection of Loans Receivable | 
        
        
           | 439 | 
            230 10 45 12 (a) | 
           Proceeds from Sale of Mortgage-backed Securities (MBS), Available-for-sale | 
        
        
           | 440 | 
            230 10 45 12 (a) | 
           Proceeds from Sale and Maturity of Held-to-maturity Securities | 
        
        
           | 441 | 
            230 10 45 12 (a) | 
           Proceeds from Sale of Loans and Leases Held-for-investment | 
        
        
           | 442 | 
            230 10 45 12 (a) | 
           Proceeds from Sale of Loans Receivable | 
        
        
           | 443 | 
            230 10 45 12 (a) | 
           Proceeds from Sale of Held-to-maturity Securities | 
        
        
           | 444 | 
            230 10 45 12 (a) | 
           Proceeds from Collection of Retained Interest in Securitized Receivables | 
        
        
           | 445 | 
            230 10 45 12 (a),(b) | 
           Proceeds from Sale of Available-for-sale Securities | 
        
        
           | 446 | 
            230 10 45 12 (b) | 
           Proceeds from Divestiture of Real Estate Partnership | 
        
        
           | 447 | 
            230 10 45 12 (b) | 
           Proceeds from Sale of Federal Reserve Bank Stock | 
        
        
           | 448 | 
            230 10 45 12 (b) | 
           Proceeds from Sale of Equity Method Investments | 
        
        
           | 449 | 
            230 10 45 12 (b) | 
           Proceeds from Divestiture of Interest in Subsidiaries and Affiliates | 
        
        
           | 450 | 
            230 10 45 12 (b) | 
           Proceeds from Divestiture of Businesses and Interests in Affiliates | 
        
        
           | 451 | 
            230 10 45 12 (b) | 
           Proceeds from Divestiture of Businesses | 
        
        
           | 452 | 
            230 10 45 12 (b) | 
           Proceeds from Divestiture of Interest in Consolidated Subsidiaries | 
        
        
           | 453 | 
            230 10 45 12 (b) | 
           Proceeds from Distributions Received from Real Estate Partnerships | 
        
        
           | 454 | 
            230 10 45 12 (b) | 
           Proceeds from Divestiture of Interest in Joint Venture | 
        
        
           | 455 | 
            230 10 45 12 (b) | 
           Proceeds from Divestiture of Businesses, Net of Cash Divested | 
        
        
           | 456 | 
            230 10 45 12 (b) | 
           Cash Acquired from Acquisition | 
        
        
           | 457 | 
            230 10 45 12 (b) | 
           Proceeds from Sale of Available-for-sale Securities, Equity | 
        
        
           | 458 | 
            230 10 45 12 (b) | 
           Proceeds from Sale of Federal Home Loan Bank Stock | 
        
        
           | 459 | 
            230 10 45 12 (b) | 
           Proceeds from Equity Method Investment, Distribution, Return of Capital | 
        
        
           | 460 | 
            230 10 45 12 (b) | 
           Proceeds from Limited Partnership Investments | 
        
        
           | 461 | 
            230 10 45 12 | 
           Proceeds from Derivative Instrument, Investing Activities | 
        
        
           | 462 | 
            230 10 45 12 | 
           Proceeds from Maturities, Prepayments and Calls of Long-term Investments | 
        
        
           | 463 | 
            230 10 45 12 | 
           Proceeds from Sale of Other Assets, Investing Activities | 
        
        
           | 464 | 
            230 10 45 12 | 
           Proceeds from Real Estate and Real Estate Joint Ventures | 
        
        
           | 465 | 
            230 10 45 12 | 
           Proceeds from Sale, Maturity and Collection of Long-term Investments | 
        
        
           | 466 | 
            230 10 45 12 | 
           Proceeds from Hedge, Investing Activities | 
        
        
           | 467 | 
            230 10 45 12 | 
           Proceeds from Securities Purchased under Agreements to Resell | 
        
        
           | 468 | 
            230 10 45 12 | 
           Proceeds from Maturities, Prepayments and Calls of Other Investments | 
        
        
           | 469 | 
            230 10 45 12 | 
           Proceeds from Sale of Long-term Investments | 
        
        
           | 470 | 
            230 10 45 12 | 
           Proceeds from Mortgage Deposits | 
        
        
           | 471 | 
            230 10 45 12 | 
           Proceeds from Previous Acquisition | 
        
        
           | 472 | 
            230 10 45 12 (c) | 
           Proceeds from Delayed Tax Exempt Exchange | 
        
        
           | 473 | 
            230 10 45 12 (c) | 
           Proceeds from Sale of Real Estate Held-for-investment | 
        
        
           | 474 | 
            230 10 45 12 (c) | 
           Proceeds from Sale of Land Held-for-investment | 
        
        
           | 475 | 
            230 10 45 12 (c) | 
           Proceeds from Other Deposits | 
        
        
           | 476 | 
            230 10 45 12 (c) | 
           Proceeds from Deposits on Real Estate Sales | 
        
        
           | 477 | 
            230 10 45 12 (c) | 
           Proceeds from Nuclear Fuel | 
        
        
           | 478 | 
            230 10 45 12 (c) | 
           Proceeds from Removal Costs | 
        
        
           | 479 | 
            230 10 45 12 | 
           Proceeds from Sale of Other Investments | 
        
        
           | 480 | 
            230 10 45 12 (c) | 
           Proceeds from Sale of Furniture and Fixtures | 
        
        
           | 481 | 
            230 10 45 12 (c) | 
           Proceeds from Sale of Other Real Estate Held-for-investment | 
        
        
           | 482 | 
            230 10 45 12 | 
           Proceeds from Sales of Business, Affiliate and Productive Assets | 
        
        
           | 483 | 
            230 10 45 12 (c) | 
           Proceeds from Sale of Land Held-for-use | 
        
        
           | 484 | 
            230 10 45 12 (c) | 
           Proceeds from Sale of Buildings | 
        
        
           | 485 | 
            230 10 45 12 (c) | 
           Proceeds from Sale of Machinery and Equipment | 
        
        
           | 486 | 
            230 10 45 12 (c) | 
           Proceeds from Sale of Intangible Assets | 
        
        
           | 487 | 
            230 10 45 12 (c) | 
           Proceeds from Sale of Oil and Gas Property and Equipment | 
        
        
           | 488 | 
            230 10 45 12 (c) | 
           Proceeds from Sale of Productive Assets | 
        
        
           | 489 | 
            230 10 45 12 | 
           Payments for (Proceeds from) Other Investing Activities | 
        
        
           | 490 | 
            230 10 45 12 (c) | 
           Proceeds from Sale of Other Property, Plant, and Equipment | 
        
        
           | 491 | 
            230 10 45 12 | 
           Proceeds from Sales of Assets, Investing Activities | 
        
        
           | 492 | 
            230 10 45 12 (c) | 
           Proceeds from Sale of Water Systems | 
        
        
           | 493 | 
            230 10 45 12 (c) | 
           Proceeds from Sale of Property Held-for-sale | 
        
        
           | 494 | 
            230 10 45 12 (c) | 
           Proceeds from Sale of Real Estate | 
        
        
           | 495 | 
            230 10 45 12 (c) | 
           Proceeds from Sale of Property, Plant, and Equipment | 
        
        
           | 496 | 
            230 10 45 12 (c) | 
           Proceeds from Sale of Other Productive Assets | 
        
        
           | 497 | 
            230 10 45 12 (e) | 
           Proceeds from Sale of Lease Receivables | 
        
        
           | 498 | 
            230 10 45 12 (e) | 
           Proceeds from Sale and Collection of Lease Receivables | 
        
        
           | 499 | 
            230 10 45 12 (e) | 
           Proceeds from Collection of Lease Receivables | 
        
        
           | 500 | 
            230 10 45 12 | 
           Proceeds from Sale, Maturity and Collection of Short-term Investments | 
        
        
           | 501 | 
            230 10 45 12 | 
           Proceeds from Distribution of Restricted Cash from Pollution Control Bond | 
        
        
           | 502 | 
            230 10 45 12 | 
           Proceeds from Sale of Restricted Investments | 
        
        
           | 503 | 
            230 10 45 12 | 
           Payments for (Proceeds from) Tenant Allowance | 
        
        
           | 504 | 
            230 10 45 12 | 
           Proceeds from Loan and Lease Originations and Principal Collections | 
        
        
           | 505 | 
            230 10 45 12 | 
           Increase (Decrease) in Restricted Cash | 
        
        
           | 506 | 
            230 10 45 12 | 
           Proceeds from Maturities, Prepayments and Calls of Short-term Investments | 
        
        
           | 507 | 
            230 10 45 12 | 
           Proceeds from Loan Originations | 
        
        
           | 508 | 
            230 10 45 12 | 
           Proceeds from Collection of Other Receivables | 
        
        
           | 509 | 
            230 10 45 12 | 
           Proceeds from Advances for Construction | 
        
        
           | 510 | 
            230 10 45 12 | 
           Proceeds from Contribution in Aid of Construction | 
        
        
           | 511 | 
            230 10 45 12 | 
           Proceeds from Decommissioning Trust Fund Assets | 
        
        
           | 512 | 
            230 10 45 12 | 
           Proceeds from Insurance Settlement, Investing Activities | 
        
        
           | 513 | 
            230 10 45 12 | 
           Proceeds from Life Insurance Policy | 
        
        
           | 514 | 
            230 10 45 12 | 
           Proceeds from Sale and Maturity of Other Investments | 
        
        
           | 515 | 
            230 10 45 12 | 
           Proceeds from Sale and Collection of Other Receivables | 
        
        
           | 516 | 
            230 10 45 12 | 
           Proceeds from Sale of Foreclosed Assets | 
        
        
           | 517 | 
            230 10 45 12 | 
           Proceeds from Sale of Mortgage Servicing Rights (MSR) | 
        
        
           | 518 | 
            230 10 45 12 | 
           Proceeds from Sale of Investment Projects | 
        
        
           | 519 | 
            230 10 45 12 | 
           Proceeds from Sale and Collection of Receivables | 
        
        
           | 520 | 
            230 10 45 12 | 
           Proceeds from Sale of Wholly Owned Real Estate and Real Estate Acquired in Settlement of Loans | 
        
        
           | 521 | 
            230 10 45 12 | 
           Proceeds from Sale of Other Receivables | 
        
        
           | 522 | 
            230 10 45 12 | 
           Proceeds from Sale of Other Real Estate | 
        
        
           | 523 | 
            230 10 45 12 | 
           Proceeds from Sale, Maturity and Collection of Investments | 
        
        
           | 524 | 
            230 10 45 12 | 
           Allowance for Funds Used During Construction, Investing Activities | 
        
        
           | 525 | 
            230 10 45 12 | 
           Proceeds from Sale of Short-term Investments | 
        
        
           | 526 | 
            230 10 45 12 | 
           Proceeds from Sale of Insurance Investments | 
        
        
           | 527 | 
            230 10 45 13 (a) | 
           Payments to Fund Policy Loans | 
        
        
           | 528 | 
            230 10 45 13 (a) | 
           Payments to Acquire Leases Held-for-investment | 
        
        
           | 529 | 
            230 10 45 13 (a) | 
           Payments to Acquire Loans and Leases Held-for-investment, Credit Card Securitizations | 
        
        
           | 530 | 
            230 10 45 13 (a) | 
           Payments to Acquire Loans Receivable | 
        
        
           | 531 | 
            230 10 45 13 (a) | 
           Payments to Acquire Loans and Leases Held-for-investment | 
        
        
           | 532 | 
            230 10 45 13 (a) | 
           Origination of Notes Receivable from Related Parties | 
        
        
           | 533 | 
            230 10 45 13 (a) | 
           Payments for Investment in Restricted Cash from Pollution Control Bond | 
        
        
           | 534 | 
            230 10 45 13 (a) | 
           Payments to Acquire Retained Interest in Securitized Receivables | 
        
        
           | 535 | 
            230 10 45 13 (a) | 
           Payments to Acquire Notes Receivable | 
        
        
           | 536 | 
            230 10 45 13 (a) | 
           Payments to Acquire Other Loans and Leases Held-for-investment | 
        
        
           | 537 | 
            230 10 45 13 (a) | 
           Payments to Acquire Debt Securities, Available-for-sale | 
        
        
           | 538 | 
            230 10 45 13 (a) | 
           Payments to Acquire Mortgage-backed Securities (MBS), Available-for-sale | 
        
        
           | 539 | 
            230 10 45 13 (a) | 
           Payments to Acquire Mortgage Backed Securities (MBS) categorized as Held-to-maturity | 
        
        
           | 540 | 
            230 10 45 13 (a) | 
           Payments to Acquire Loans Held-for-investment | 
        
        
           | 541 | 
            230 10 45 13 (a) | 
           Payments to Acquire Mortgage Notes Receivable | 
        
        
           | 542 | 
            230 10 45 13 (a) | 
           Payments for Advance to Affiliate | 
        
        
           | 543 | 
            230 10 45 13 (a) | 
           Proceeds from (Payments for) Trading Securities, Short-term | 
        
        
           | 544 | 
            230 10 45 13 (a) | 
           Payments to Acquire Held-to-maturity Securities | 
        
        
           | 545 | 
            230 10 45 13 (a) | 
           Payments for (Proceeds from) Short-term Investments | 
        
        
           | 546 | 
            230 10 45 13 (a) | 
           Payments for (Proceeds from) Available-for-sale Securities, Short-term | 
        
        
           | 547 | 
            230 10 45 13 (a) | 
           Payments for FHLBank Advance, Investing Activities | 
        
        
           | 548 | 
            230 10 45 13 (a) | 
           Payments for (Proceeds from) Held-to-maturity Securities, Short-term | 
        
        
           | 549 | 
            230 10 45 13 (a) | 
           Payments to Fund Long-term Loans to Related Parties | 
        
        
           | 550 | 
            230 10 45 13 (a),(b) | 
           Payments to Acquire Available-for-sale Securities | 
        
        
           | 551 | 
            230 10 45 13 (b) | 
           Other Payments to Acquire Businesses | 
        
        
           | 552 | 
            230 10 45 13 (b) | 
           Payments to Acquire Businesses, Gross | 
        
        
           | 553 | 
            230 10 45 13 (b) | 
           Payments to Acquire Interest in Subsidiaries and Affiliates | 
        
        
           | 554 | 
            230 10 45 13 (b) | 
           Payments to Acquire Additional Interest in Subsidiaries | 
        
        
           | 555 | 
            230 10 45 13 (b) | 
           Payments to Acquire in Process Research and Development | 
        
        
           | 556 | 
            230 10 45 13 (b) | 
           Payments to Acquire Federal Reserve Bank Stock | 
        
        
           | 557 | 
            230 10 45 13 (b) | 
           Payments to Acquire Businesses and Interest in Affiliates | 
        
        
           | 558 | 
            230 10 45 13 (b) | 
           Payments to Acquire Businesses, Net of Cash Acquired | 
        
        
           | 559 | 
            230 10 45 13 (b) | 
           Payments to Acquire Equity Method Investments | 
        
        
           | 560 | 
            230 10 45 13 (b) | 
           Payments to Acquire Interest in Joint Venture | 
        
        
           | 561 | 
            230 10 45 13 (b) | 
           Payments to Acquire Royalty Interests in Mining Properties | 
        
        
           | 562 | 
            230 10 45 13 (b) | 
           Payments to Acquire Limited Partnership Interests | 
        
        
           | 563 | 
            230 10 45 13 (b) | 
           Payments to Acquire Federal Home Loan Bank Stock | 
        
        
           | 564 | 
            230 10 45 13 (b) | 
           Payments to Acquire Partners Interest in Real Estate Partnership, Net of Cash Acquired | 
        
        
           | 565 | 
            230 10 45 13 (b) | 
           Payments to Acquire Available-for-sale Securities, Equity | 
        
        
           | 566 | 
            230 10 45 13 (c) | 
           Interest Paid, Capitalized, Investing Activities | 
        
        
           | 567 | 
            230 10 45 13 (c) | 
           Payments to Acquire Property, Plant, and Equipment | 
        
        
           | 568 | 
            230 10 45 13 (c) | 
           Payments to Acquire Productive Assets | 
        
        
           | 569 | 
            230 10 45 13 (c) | 
           Payments to Acquire Land Held-for-use | 
        
        
           | 570 | 
            230 10 45 13 (c) | 
           Payments to Acquire Other Productive Assets | 
        
        
           | 571 | 
            230 10 45 13 (c) | 
           Payments to Acquire Residential Real Estate | 
        
        
           | 572 | 
            230 10 45 13 (c) | 
           Payments to Acquire Machinery and Equipment | 
        
        
           | 573 | 
            230 10 45 13 (c) | 
           Payments for Delayed Tax Exempt Exchange | 
        
        
           | 574 | 
            230 10 45 13 (c) | 
           Payments to Acquire Other Real Estate | 
        
        
           | 575 | 
            230 10 45 13 (c) | 
           Payments to Acquire Oil and Gas Property and Equipment | 
        
        
           | 576 | 
            230 10 45 13 (c) | 
           Payments to Acquire and Develop Real Estate | 
        
        
           | 577 | 
            230 10 45 13 (c) | 
           Payments to Acquire Real Estate | 
        
        
           | 578 | 
            230 10 45 13 (c) | 
           Payments to Acquire Mineral Rights | 
        
        
           | 579 | 
            230 10 45 13 (c) | 
           Payments to Acquire Land | 
        
        
           | 580 | 
            230 10 45 13 (c) | 
           Payments to Acquire Oil and Gas Property | 
        
        
           | 581 | 
            230 10 45 13 (c) | 
           Payments to Acquire Buildings | 
        
        
           | 582 | 
            230 10 45 13 (c) | 
           Payments to Acquire Mining Assets | 
        
        
           | 583 | 
            230 10 45 13 (c) | 
           Payments for Other Deposits | 
        
        
           | 584 | 
            230 10 45 13 (c) | 
           Payments to Acquire Oil and Gas Equipment | 
        
        
           | 585 | 
            230 10 45 13 (c) | 
           Payments to Acquire Other Property, Plant, and Equipment | 
        
        
           | 586 | 
            230 10 45 13 (c) | 
           Payments to Develop Software | 
        
        
           | 587 | 
            230 10 45 13 (c) | 
           Payments to Acquire Timberlands | 
        
        
           | 588 | 
            230 10 45 13 (c) | 
           Payments for Software | 
        
        
           | 589 | 
            230 10 45 13 (c) | 
           Payments for Deposits on Real Estate Acquisitions | 
        
        
           | 590 | 
            230 10 45 13 (c) | 
           Payments to Acquire Equipment on Lease | 
        
        
           | 591 | 
            230 10 45 13 (c) | 
           Repayments of Advances for Construction | 
        
        
           | 592 | 
            230 10 45 13 (c) | 
           Payments for Nuclear Fuel | 
        
        
           | 593 | 
            230 10 45 13 (c) | 
           Payments to Acquire Water Systems | 
        
        
           | 594 | 
            230 10 45 13 (c) | 
           Payments to Develop Real Estate Assets | 
        
        
           | 595 | 
            230 10 45 13 (c) | 
           Payments for Removal Costs | 
        
        
           | 596 | 
            230 10 45 13 (c) | 
           Payments to Acquire Furniture and Fixtures | 
        
        
           | 597 | 
            230 10 45 13 (c) | 
           Payments to Acquire Software | 
        
        
           | 598 | 
            230 10 45 13 (c) | 
           Payments to Acquire Intangible Assets | 
        
        
           | 599 | 
            230 10 45 13 (c) | 
           Payments to Acquire Water and Waste Water Systems | 
        
        
           | 600 | 
            230 10 45 13 (c) | 
           Payments to Acquire Commercial Real Estate | 
        
        
           | 601 | 
            230 10 45 13 (c) | 
           Payments for Capital Improvements | 
        
        
           | 602 | 
            230 10 45 13 (c) | 
           Payments for Construction in Process | 
        
        
           | 603 | 
            230 10 45 13 (c) | 
           Payments to Acquire Waste Water Systems | 
        
        
           | 604 | 
            230 10 45 13 (c) | 
           Payments to Explore and Develop Oil and Gas Properties | 
        
        
           | 605 | 
            230 10 45 13 (c) | 
           Payments to Acquire Held-for-sale Real Estate | 
        
        
           | 606 | 
            230 10 45 13 (d) | 
           Payment for Contingent Consideration Liability, Investing Activities | 
        
        
           | 607 | 
            230 10 45 13 | 
           Payments to Acquire Trust Preferred Investments | 
        
        
           | 608 | 
            230 10 45 13 | 
           Payments for Previous Acquisition | 
        
        
           | 609 | 
            230 10 45 13 | 
           Payments to Acquire Real Estate Held-for-investment | 
        
        
           | 610 | 
            230 10 45 13 | 
           Payments for (Proceeds from) Other Investing Activities | 
        
        
           | 611 | 
            230 10 45 13 | 
           Payments to Acquire Business Three, Net of Cash Acquired | 
        
        
           | 612 | 
            230 10 45 13 | 
           Payments for Hedge, Investing Activities | 
        
        
           | 613 | 
            230 10 45 13 | 
           Payments for Derivative Instrument, Investing Activities | 
        
        
           | 614 | 
            230 10 45 13 | 
           Payments to Acquire Real Estate and Real Estate Joint Ventures | 
        
        
           | 615 | 
            230 10 45 13 | 
           Payments for Securities Purchased under Agreements to Resell | 
        
        
           | 616 | 
            230 10 45 13 | 
           Payments to Acquire Business Two, Net of Cash Acquired | 
        
        
           | 617 | 
            230 10 45 13 | 
           Payments to Acquire Long-term Investments | 
        
        
           | 618 | 
            230 10 45 13 | 
           Payments to Acquire Trading Securities Held-for-investment | 
        
        
           | 619 | 
            230 10 45 13 | 
           Payments to Acquire Assets, Investing Activities | 
        
        
           | 620 | 
            230 10 45 13 | 
           Payments to Acquire Finance Receivables | 
        
        
           | 621 | 
            230 10 45 13 | 
           Payments to Acquire Restricted Certificates of Deposit | 
        
        
           | 622 | 
            230 10 45 13 | 
           Cash Divested from Deconsolidation | 
        
        
           | 623 | 
            230 10 45 13 | 
           Distributions Payable to Real Estate Partnerships | 
        
        
           | 624 | 
            230 10 45 13 | 
           Increase (Decrease) in Deferred Charges, Investing | 
        
        
           | 625 | 
            230 10 45 13 | 
           Increase (Decrease) in Restricted Cash | 
        
        
           | 626 | 
            230 10 45 13 | 
           Payments for (Proceeds from) Tenant Allowance | 
        
        
           | 627 | 
            230 10 45 13 | 
           Payments to Acquire Investments | 
        
        
           | 628 | 
            230 10 45 13 | 
           Payment to Acquire Life Insurance Policy, Investing Activities | 
        
        
           | 629 | 
            230 10 45 13 | 
           Payments to Acquire Receivables | 
        
        
           | 630 | 
            230 10 45 13 | 
           Payments to Acquire Projects | 
        
        
           | 631 | 
            230 10 45 13 | 
           Proceeds from Maturities, Prepayments and Calls of Short-term Investments | 
        
        
           | 632 | 
            230 10 45 13 | 
           Payments to Acquire Management Contract Rights | 
        
        
           | 633 | 
            230 10 45 13 | 
           Payments to Acquire Other Investments | 
        
        
           | 634 | 
            230 10 45 13 | 
           Payments to Acquire Other Receivables | 
        
        
           | 635 | 
            230 10 45 13 | 
           Payments to Acquire Restricted Investments | 
        
        
           | 636 | 
            230 10 45 13 | 
           Payments to Acquire Short-term Investments | 
        
        
           | 637 | 
            230 10 45 13 | 
           Payments to Acquire Investments to be Held in Decommissioning Trust Fund | 
        
        
           | 638 | 
            230 10 45 13 | 
           Payments to Acquire Lease Receivables | 
        
        
           | 639 | 
            230 10 45 13 | 
           Payments to Acquire Mortgage Servicing Rights (MSR) | 
        
        
           | 640 | 
            230 10 45 14 (a) | 
           Proceeds from Issuance of Private Placement | 
        
        
           | 641 | 
            230 10 45 14 (a) | 
           Proceeds from Issuance of Preferred Limited Partners Units | 
        
        
           | 642 | 
            230 10 45 14 (a) | 
           Proceeds from Issuance Initial Public Offering | 
        
        
           | 643 | 
            230 10 45 14 (a) | 
           Proceeds from Issuance of Mandatory Redeemable Capital Securities | 
        
        
           | 644 | 
            230 10 45 14 (a) | 
           Proceeds from Issuance of Convertible Preferred Stock | 
        
        
           | 645 | 
            230 10 45 14 (a) | 
           Proceeds from Issuance of Redeemable Convertible Preferred Stock | 
        
        
           | 646 | 
            230 10 45 14 (a) | 
           Proceeds from Stock Plans | 
        
        
           | 647 | 
            230 10 45 14 (a) | 
           Proceeds from Sale of Treasury Stock | 
        
        
           | 648 | 
            230 10 45 14 (a) | 
           Proceeds from Issuance of Redeemable Preferred Stock | 
        
        
           | 649 | 
            230 10 45 14 (a) | 
           Proceeds from Stock Options Exercised | 
        
        
           | 650 | 
            230 10 45 14 (a) | 
           Proceeds from Issuance of Common Limited Partners Units | 
        
        
           | 651 | 
            230 10 45 14 (a) | 
           Proceeds from Sale of Interest in Corporate Unit | 
        
        
           | 652 | 
            230 10 45 14 (a) | 
           Proceeds from Sale of Interest in Partnership Unit | 
        
        
           | 653 | 
            230 10 45 14 (a) | 
           Proceeds from Other Equity | 
        
        
           | 654 | 
            230 10 45 14 (a) | 
           Proceeds from Issuance of Warrants | 
        
        
           | 655 | 
            230 10 45 14 (a) | 
           Proceeds, Issuance of Shares, Share-based Payment Arrangement, Including Option Exercised | 
        
        
           | 656 | 
            230 10 45 14 (a) | 
           Proceeds from Issuance of Common Stock, Dividend Reinvestment Plan | 
        
        
           | 657 | 
            230 10 45 14 (a) | 
           Proceeds from Issuance of Preferred Stock and Preference Stock | 
        
        
           | 658 | 
            230 10 45 14 (a) | 
           Proceeds from Contributed Capital | 
        
        
           | 659 | 
            230 10 45 14 (a) | 
           Proceeds, Issuance of Shares, Share-based Payment Arrangement, Excluding Option Exercised | 
        
        
           | 660 | 
            230 10 45 14 (a) | 
           Proceeds from Issuance or Sale of Equity | 
        
        
           | 661 | 
            230 10 45 14 (a) | 
           Proceeds from Issuance of Common Stock | 
        
        
           | 662 | 
            230 10 45 14 (a) | 
           Proceeds from Warrant Exercises | 
        
        
           | 663 | 
            230 10 45 14 (a) | 
           Proceeds from Issuance of Preferred Stock, Preference Stock, and Warrants | 
        
        
           | 664 | 
            230 10 45 14 (a),(b) | 
           Proceeds from Issuance of Long-term Debt and Capital Securities, Net | 
        
        
           | 665 | 
            230 10 45 14 (b) | 
           Proceeds from Issuance of Commercial Paper | 
        
        
           | 666 | 
            230 10 45 14 (b) | 
           Proceeds from Convertible Debt | 
        
        
           | 667 | 
            230 10 45 14 (b) | 
           Proceeds from Issuance of Financial Services Obligations | 
        
        
           | 668 | 
            230 10 45 14 (b) | 
           Proceeds from Issuance of Long-term Debt | 
        
        
           | 669 | 
            230 10 45 14 (b) | 
           Proceeds from Issuance of Other Long-term Debt | 
        
        
           | 670 | 
            230 10 45 14 (b) | 
           Proceeds from Issuance of First Mortgage Bond | 
        
        
           | 671 | 
            230 10 45 14 (b) | 
           Proceeds from Long-term Lines of Credit | 
        
        
           | 672 | 
            230 10 45 14 (b) | 
           Proceeds from Issuance of Medium-term Notes | 
        
        
           | 673 | 
            230 10 45 14 (b) | 
           Proceeds from Issuance of Senior Long-term Debt | 
        
        
           | 674 | 
            230 10 45 14 (b) | 
           Proceeds from Annuities and Investment Certificates | 
        
        
           | 675 | 
            230 10 45 14 (b) | 
           Proceeds from Issuance of Secured Debt | 
        
        
           | 676 | 
            230 10 45 14 (b) | 
           Proceeds from Bank Debt | 
        
        
           | 677 | 
            230 10 45 14 (b) | 
           Proceeds from Construction Loans Payable | 
        
        
           | 678 | 
            230 10 45 14 (b) | 
           Proceeds from Accounts Receivable Securitization | 
        
        
           | 679 | 
            230 10 45 14 (b) | 
           Proceeds from Lines of Credit | 
        
        
           | 680 | 
            230 10 45 14 (b) | 
           Proceeds from FHLBank Borrowings, Financing Activities | 
        
        
           | 681 | 
            230 10 45 14 (b) | 
           Proceeds from (Repayments of) Bank Overdrafts | 
        
        
           | 682 | 
            230 10 45 14 (b) | 
           Proceeds from (Repayments of) Short-term Debt, Maturing in Three Months or Less | 
        
        
           | 683 | 
            230 10 45 14 (b) | 
           Proceeds from Debt, Maturing in More than Three Months | 
        
        
           | 684 | 
            230 10 45 14 (b) | 
           Proceeds from Debt, Net of Issuance Costs | 
        
        
           | 685 | 
            230 10 45 14 (b) | 
           Proceeds from Issuance of Unsecured Tax Exempt Debt | 
        
        
           | 686 | 
            230 10 45 14 (b) | 
           Proceeds from (Repayments of) Commercial Paper | 
        
        
           | 687 | 
            230 10 45 14 (b) | 
           Proceeds from Deposits Applied to Debt Retirements | 
        
        
           | 688 | 
            230 10 45 14 (b) | 
           Proceeds from Secured Lines of Credit | 
        
        
           | 689 | 
            230 10 45 14 (b) | 
           Proceeds from Issuance of Debt | 
        
        
           | 690 | 
            230 10 45 14 (b) | 
           Proceeds from Unsecured Lines of Credit | 
        
        
           | 691 | 
            230 10 45 14 (b) | 
           Proceeds from Issuance of Secured Tax Exempt Debt | 
        
        
           | 692 | 
            230 10 45 14 (b) | 
           Proceeds from Related Party Debt | 
        
        
           | 693 | 
            230 10 45 14 (b) | 
           Proceeds from Issuance of Unsecured Debt | 
        
        
           | 694 | 
            230 10 45 14 (b) | 
           Proceeds from Other Debt | 
        
        
           | 695 | 
            230 10 45 14 (b) | 
           Proceeds from Notes Payable | 
        
        
           | 696 | 
            230 10 45 14 (b) | 
           Proceeds from Pollution Control Bond | 
        
        
           | 697 | 
            230 10 45 14 (b) | 
           Proceeds from Issuance of Trust Preferred Securities | 
        
        
           | 698 | 
            230 10 45 14 (b) | 
           Proceeds from Repayment of Loans by Employee Stock Ownership Plans | 
        
        
           | 699 | 
            230 10 45 14 (b) | 
           Proceeds from Unsecured Notes Payable | 
        
        
           | 700 | 
            230 10 45 14 (b) | 
           Proceeds from Short-term Debt, Maturing in More than Three Months | 
        
        
           | 701 | 
            230 10 45 14 (b) | 
           Proceeds from Short-term Debt | 
        
        
           | 702 | 
            230 10 45 14 (b) | 
           Proceeds from Short-term Debt, Maturing in Three Months or Less | 
        
        
           | 703 | 
            230 10 45 14 (b) | 
           Proceeds from Short-term Capital Lease Obligations | 
        
        
           | 704 | 
            230 10 45 14 (b) | 
           Proceeds from Secured Notes Payable | 
        
        
           | 705 | 
            230 10 45 14 (b) | 
           Proceeds from Other Short-term Debt | 
        
        
           | 706 | 
            230 10 45 14 (b) | 
           Proceeds from Issuance of Subordinated Long-term Debt | 
        
        
           | 707 | 
            230 10 45 14 (b) | 
           Proceeds from Subordinated Short-term Debt | 
        
        
           | 708 | 
            230 10 45 14 (d) | 
           Proceeds from Derivative Instrument, Financing Activities | 
        
        
           | 709 | 
            230 10 45 14 | 
           Proceeds from (Payments for) Other Financing Activities | 
        
        
           | 710 | 
            230 10 45 14 | 
           Proceeds from Hedge, Financing Activities | 
        
        
           | 711 | 
            230 10 45 14 | 
           Additions to Contract Holders Funds | 
        
        
           | 712 | 
            230 10 45 14 | 
           Proceeds from Long-term Capital Lease Obligations | 
        
        
           | 713 | 
            230 10 45 14 | 
           Proceeds from Contributions from Affiliates | 
        
        
           | 714 | 
            230 10 45 14 | 
           Proceeds from Partnership Contribution | 
        
        
           | 715 | 
            230 10 45 14 | 
           Proceeds from Noncontrolling Interests | 
        
        
           | 716 | 
            230 10 45 14 | 
           Proceeds from Repayment of Loans to Purchase Common Stock | 
        
        
           | 717 | 
            230 10 45 14 | 
           Proceeds from (Repayments of) Restricted Cash, Financing Activities | 
        
        
           | 718 | 
            230 10 45 14 | 
           Proceeds from Contributions from Parent | 
        
        
           | 719 | 
            230 10 45 15 (a) | 
           Payment, Tax Withholding, Share-based Payment Arrangement | 
        
        
           | 720 | 
            230 10 45 15 | 
           Payments for Hedge, Financing Activities | 
        
        
           | 721 | 
            230 10 45 15 (a) | 
           Payments of Capital Distribution | 
        
        
           | 722 | 
            230 10 45 15 (a) | 
           Payments of Dividends | 
        
        
           | 723 | 
            230 10 45 15 (a) | 
           Payments for Repurchase of Redeemable Convertible Preferred Stock | 
        
        
           | 724 | 
            230 10 45 15 (a) | 
           Payments of Ordinary Dividends, Noncontrolling Interest | 
        
        
           | 725 | 
            230 10 45 15 (a) | 
           Repayments of Mandatory Redeemable Capital Securities | 
        
        
           | 726 | 
            230 10 45 15 (a) | 
           Payments for Repurchase of Redeemable Noncontrolling Interest | 
        
        
           | 727 | 
            230 10 45 15 (a) | 
           Payments for Repurchase of Warrants | 
        
        
           | 728 | 
            230 10 45 15 (a) | 
           Payments of Ordinary Dividends | 
        
        
           | 729 | 
            230 10 45 15 (a) | 
           Payments of Ordinary Dividends, Common Stock | 
        
        
           | 730 | 
            230 10 45 15 (a) | 
           Payments of Ordinary Dividends, Preferred Stock and Preference Stock | 
        
        
           | 731 | 
            230 10 45 15 (a) | 
           Payments for Repurchase of Private Placement | 
        
        
           | 732 | 
            230 10 45 15 | 
           Payments of Derivative Issuance Costs | 
        
        
           | 733 | 
            230 10 45 15 (a) | 
           Payments for Repurchase of Other Equity | 
        
        
           | 734 | 
            230 10 45 15 | 
           Payment of Financing and Stock Issuance Costs | 
        
        
           | 735 | 
            230 10 45 15 | 
           Proceeds from (Payments for) Other Financing Activities | 
        
        
           | 736 | 
            230 10 45 15 | 
           Payments for Mortgage Deposits | 
        
        
           | 737 | 
            230 10 45 15 | 
           Withdrawal from Contract Holders Funds | 
        
        
           | 738 | 
            230 10 45 15 | 
           Payments of Merger Related Costs, Financing Activities | 
        
        
           | 739 | 
            230 10 45 15 | 
           Payments to Noncontrolling Interests | 
        
        
           | 740 | 
            230 10 45 15 (a) | 
           Payments for Repurchase of Preferred Stock and Preference Stock | 
        
        
           | 741 | 
            230 10 45 15 (a) | 
           Payments of Distributions to Affiliates | 
        
        
           | 742 | 
            230 10 45 15 (a) | 
           Payments for Repurchase of Redeemable Preferred Stock | 
        
        
           | 743 | 
            230 10 45 15 | 
           Payments of Stock Issuance Costs | 
        
        
           | 744 | 
            230 10 45 15 | 
           Payments of Loan Costs | 
        
        
           | 745 | 
            230 10 45 15 | 
           Payments of Debt Restructuring Costs | 
        
        
           | 746 | 
            230 10 45 15 | 
           Payments of Financing Costs | 
        
        
           | 747 | 
            230 10 45 15 | 
           Proceeds from (Repayments of) Restricted Cash, Financing Activities | 
        
        
           | 748 | 
            230 10 45 15 (a) | 
           Payments for Repurchase of Equity | 
        
        
           | 749 | 
            230 10 45 15 | 
           Origination of Loan to Purchase Common Stock | 
        
        
           | 750 | 
            230 10 45 15 | 
           Origination of Loans to Employee Stock Ownership Plans | 
        
        
           | 751 | 
            230 10 45 15 (a) | 
           Payments for Repurchase of Convertible Preferred Stock | 
        
        
           | 752 | 
            230 10 45 15 (a) | 
           Payments for Repurchase of Common Stock | 
        
        
           | 753 | 
            230 10 45 15 (a) | 
           Payments for Repurchase of Initial Public Offering | 
        
        
           | 754 | 
            230 10 45 15 (a),(b) | 
           Repayment of Long-term Debt, Long-term Lease Obligation, and Capital Security | 
        
        
           | 755 | 
            230 10 45 15 (b) | 
           Repayments of Notes Payable | 
        
        
           | 756 | 
            230 10 45 15 (b) | 
           Repayments of Construction Loans Payable | 
        
        
           | 757 | 
            230 10 45 15 (b) | 
           Repayments of Accounts Receivable Securitization | 
        
        
           | 758 | 
            230 10 45 15 (b) | 
           Repayments of Other Short-term Debt | 
        
        
           | 759 | 
            230 10 45 15 (b) | 
           Repayments of Lines of Credit | 
        
        
           | 760 | 
            230 10 45 15 (b) | 
           Repayments of Long-term Lines of Credit | 
        
        
           | 761 | 
            230 10 45 15 (b) | 
           Repayments of Pollution Control Bond | 
        
        
           | 762 | 
            230 10 45 15 (b) | 
           Repayments of Senior Debt | 
        
        
           | 763 | 
            230 10 45 15 (b) | 
           Repayments of Short-term Debt | 
        
        
           | 764 | 
            230 10 45 15 (b) | 
           Repayments of Short-term Debt, Maturing in More than Three Months | 
        
        
           | 765 | 
            230 10 45 15 (b) | 
           Repayments of Unsecured Debt | 
        
        
           | 766 | 
            230 10 45 15 (b) | 
           Repayments of First Mortgage Bond | 
        
        
           | 767 | 
            230 10 45 15 (b) | 
           Repayments of Other Debt | 
        
        
           | 768 | 
            230 10 45 15 (b) | 
           Repayments of Short-term Debt, Maturing in Three Months or Less | 
        
        
           | 769 | 
            230 10 45 15 (b) | 
           Repayments of Other Long-term Debt | 
        
        
           | 770 | 
            230 10 45 15 (b) | 
           Repayments of Long-term Capital Lease Obligations | 
        
        
           | 771 | 
            230 10 45 15 (b) | 
           Repayments of Long-term Debt | 
        
        
           | 772 | 
            230 10 45 15 (b) | 
           Reduction of Short-term Capital Lease Obligations | 
        
        
           | 773 | 
            230 10 45 15 (b) | 
           Repayments of Unsecured Tax Exempt Debt | 
        
        
           | 774 | 
            230 10 45 15 (b) | 
           Repayments of Related Party Debt | 
        
        
           | 775 | 
            230 10 45 15 (b) | 
           Payments for Repurchase of Trust Preferred Securities | 
        
        
           | 776 | 
            230 10 45 15 (b) | 
           Maturities of Subordinated Debt | 
        
        
           | 777 | 
            230 10 45 15 (b) | 
           Maturities of Senior Debt | 
        
        
           | 778 | 
            230 10 45 15 (b) | 
           Repayments of Convertible Debt | 
        
        
           | 779 | 
            230 10 45 15 (b) | 
           Repayments of Subordinated Short-term Debt | 
        
        
           | 780 | 
            230 10 45 15 (b) | 
           Repayments of Bank Debt | 
        
        
           | 781 | 
            230 10 45 15 (b) | 
           Repayments of Medium-term Notes | 
        
        
           | 782 | 
            230 10 45 15 (b) | 
           Repayments of Assumed Debt | 
        
        
           | 783 | 
            230 10 45 15 (b) | 
           Repayments of Secured Debt | 
        
        
           | 784 | 
            230 10 45 15 (b) | 
           Early Repayment of Subordinated Debt | 
        
        
           | 785 | 
            230 10 45 15 (b) | 
           Repayments of Annuities and Investment Certificates | 
        
        
           | 786 | 
            230 10 45 15 (b) | 
           Repayments of Commercial Paper | 
        
        
           | 787 | 
            230 10 45 15 (b) | 
           Early Repayment of Senior Debt | 
        
        
           | 788 | 
            230 10 45 15 (b) | 
           Repayments of Subordinated Debt | 
        
        
           | 789 | 
            230 10 45 15 (b) | 
           Payments for Deposits Applied to Debt Retirements | 
        
        
           | 790 | 
            230 10 45 15 (b) | 
           Proceeds from (Repayments of) Commercial Paper | 
        
        
           | 791 | 
            230 10 45 15 (b) | 
           Proceeds from (Repayments of) Bank Overdrafts | 
        
        
           | 792 | 
            230 10 45 15 (b) | 
           Proceeds from (Repayments of) Short-term Debt, Maturing in Three Months or Less | 
        
        
           | 793 | 
            230 10 45 15 (b) | 
           Payments of FHLBank Borrowings, Financing Activities | 
        
        
           | 794 | 
            230 10 45 15 (b) | 
           Repayments of Debt | 
        
        
           | 795 | 
            230 10 45 15 (b) | 
           Repayments of Debt, Maturing in More than Three Months | 
        
        
           | 796 | 
            230 10 45 15 (c) | 
           Repayments of Long-term Loans from Vendors | 
        
        
           | 797 | 
            230 10 45 15 (d) | 
           Payments for Derivative Instrument, Financing Activities | 
        
        
           | 798 | 
            230 10 45 15 (e) | 
           Payments of Debt Issuance Costs | 
        
        
           | 799 | 
            230 10 45 15 (f) | 
           Payment for Contingent Consideration Liability, Financing Activities | 
        
        
           | 800 | 
            230 10 45 15 (g) | 
           Payment for Debt Extinguishment or Debt Prepayment Cost | 
        
        
           | 801 | 
            230 10 45 16 (a) | 
           Proceeds from Collection of Loans Held-for-sale | 
        
        
           | 802 | 
            230 10 45 16 (a) | 
           Proceeds from Sale of Other Loans Held-for-sale | 
        
        
           | 803 | 
            230 10 45 16 (a) | 
           Proceeds from Collection of Mortgage Loans Held-for-sale | 
        
        
           | 804 | 
            230 10 45 16 (a) | 
           Proceeds from Collection of Other Loans Held-for-sale | 
        
        
           | 805 | 
            230 10 45 16 (a) | 
           Proceeds from Sale and Collection of Loans Held-for-sale | 
        
        
           | 806 | 
            230 10 45 16 (a) | 
           Proceeds from Securitizations of Loans Held-for-sale | 
        
        
           | 807 | 
            230 10 45 16 (a) | 
           Proceeds from Sale of Loans Held-for-sale | 
        
        
           | 808 | 
            230 10 45 16 (b) | 
           Proceeds from Interest and Dividends Received | 
        
        
           | 809 | 
            230 10 45 16 (b) | 
           Proceeds from Dividends Received | 
        
        
           | 810 | 
            230 10 45 16 (b) | 
           Proceeds from Interest Received | 
        
        
           | 811 | 
            230 10 45 16 (c) | 
           Proceeds from Sale of Trust Assets to Pay Expenses | 
        
        
           | 812 | 
            230 10 45 16 (c) | 
           Proceeds from Insurance Settlement, Operating Activities | 
        
        
           | 813 | 
            230 10 45 17 (a) | 
           Payments to Suppliers and Employees | 
        
        
           | 814 | 
            230 10 45 17 (a) | 
           Payments for Deposits | 
        
        
           | 815 | 
            230 10 45 17 (a) | 
           Payments to Suppliers | 
        
        
           | 816 | 
            230 10 45 17 (b) | 
           Payments to Employees | 
        
        
           | 817 | 
            230 10 45 17 (b) | 
           Payments to Suppliers | 
        
        
           | 818 | 
            230 10 45 17 (b) | 
           Payments to Suppliers and Employees | 
        
        
           | 819 | 
            230 10 45 17 (b) | 
           Payments for Deposits | 
        
        
           | 820 | 
            230 10 45 17 (d) | 
           Interest Paid, Excluding Capitalized Interest, Operating Activities | 
        
        
           | 821 | 
            230 10 45 17 (e) | 
           Asset Retirement Obligation, Cash Paid to Settle | 
        
        
           | 822 | 
            230 10 45 17 (ee) | 
           Payment for Contingent Consideration Liability, Operating Activities | 
        
        
           | 823 | 
            230 10 45 17 (f) | 
           Liabilities Subject to Compromise, Payments under Bankruptcy Court Order for Other Liabilities | 
        
        
           | 824 | 
            230 10 45 17 (f) | 
           Payments for Restructuring | 
        
        
           | 825 | 
            230 10 45 17 (f) | 
           Accrual for Environmental Loss Contingencies, Payments | 
        
        
           | 826 | 
            230 10 45 17 (f) | 
           Liabilities for Guarantees on Long-Duration Contracts, Payment for Benefits | 
        
        
           | 827 | 
            230 10 45 17 (f) | 
           Liability for Future Policy Benefit, Expected Future Policy Benefit, Benefit Payment | 
        
        
           | 828 | 
            230 10 45 17 (f) | 
           Liabilities Subject to Compromise, Payments under Bankruptcy Court Order for Resolutions of Contingencies Subject to Chapter 11 | 
        
        
           | 829 | 
            230 10 45 17 (f) | 
           Payments for Environmental Liabilities | 
        
        
           | 830 | 
            230 10 45 17 (f) | 
           Liabilities Subject to Compromise, Payments under Bankruptcy Court Order for Trade Accounts Payable | 
        
        
           | 831 | 
            230 10 45 17 (f) | 
           Payment for Administrative Fees | 
        
        
           | 832 | 
            230 10 45 17 (f) | 
           Payment for Incentive Fee | 
        
        
           | 833 | 
            230 10 45 17 (f) | 
           Payment for Management Fee | 
        
        
           | 834 | 
            230 10 45 17 (f) | 
           Loss Contingency, Receivable, Proceeds | 
        
        
           | 835 | 
            230 10 45 17 (f) | 
           Liability for Asbestos and Environmental Claims, Gross, Payment for Claims | 
        
        
           | 836 | 
            230 10 45 17 (f) | 
           Liabilities Subject to Compromise, Payments under Bankruptcy Court Order for Freight and Distribution Costs | 
        
        
           | 837 | 
            230 10 45 17 (f) | 
           Financial Guarantee Insurance Contracts, Premium Receivable, Proceeds from Premiums Received | 
        
        
           | 838 | 
            230 10 45 17 (f) | 
           Payments for Purchase of Other Assets | 
        
        
           | 839 | 
            230 10 45 19 | 
           Increase (Decrease) in Equity Securities, FV-NI | 
        
        
           | 840 | 
            230 10 45 19 | 
           Increase (Decrease) in Debt Securities, Trading | 
        
        
           | 841 | 
            230 10 45 19 | 
           Increase (Decrease) in Debt Securities, Trading, and Equity Securities, FV-NI | 
        
        
           | 842 | 
            230 10 45 21 | 
           Proceeds from Sale of Mortgage Loans Held-for-sale | 
        
        
           | 843 | 
            230 10 45 21 | 
           Proceeds from Sale and Collection of Loans Held-for-sale | 
        
        
           | 844 | 
            230 10 45 21 | 
           Payments to Purchase Other Loans Held-for-sale | 
        
        
           | 845 | 
            230 10 45 21 | 
           Proceeds from Sale of Loans Held-for-sale | 
        
        
           | 846 | 
            230 10 45 21 | 
           Proceeds from Sale of Other Loans Held-for-sale | 
        
        
           | 847 | 
            230 10 45 21 | 
           Proceeds from Securitizations of Loans Held-for-sale | 
        
        
           | 848 | 
            230 10 45 21 | 
           Proceeds from Collection of Other Loans Held-for-sale | 
        
        
           | 849 | 
            230 10 45 21 | 
           Proceeds from Collection of Loans Held-for-sale | 
        
        
           | 850 | 
            230 10 45 21 | 
           Payments to Purchase Loans Held-for-sale | 
        
        
           | 851 | 
            230 10 45 21 | 
           Payments for Origination and Purchases of Loans Held-for-sale | 
        
        
           | 852 | 
            230 10 45 21 | 
           Increase (Decrease) in Loans Held-for-sale | 
        
        
           | 853 | 
            230 10 45 21 | 
           Payments for Origination of Mortgage Loans Held-for-sale | 
        
        
           | 854 | 
            230 10 45 21 | 
           Payments to Purchase Mortgage Loans Held-for-sale | 
        
        
           | 855 | 
            230 10 45 21 | 
           Proceeds from Collection of Mortgage Loans Held-for-sale | 
        
        
           | 856 | 
            230 10 45 23 | 
           Proceeds from Derivative Instrument, Financing Activities | 
        
        
           | 857 | 
            230 10 45 23 | 
           Payments for Derivative Instrument, Financing Activities | 
        
        
           | 858 | 
            230 10 45 24 | 
           Net Cash Provided by (Used in) Investing Activities, Continuing Operations | 
        
        
           | 859 | 
            230 10 45 24 | 
           Net Cash Provided by (Used in) Financing Activities, Continuing Operations | 
        
        
           | 860 | 
            230 10 45 24 | 
           Net Cash Provided by (Used in) Continuing Operations | 
        
        
           | 861 | 
            230 10 45 24 | 
           Net Cash Provided by (Used in) Financing Activities | 
        
        
           | 862 | 
            230 10 45 24 | 
           Net Cash Provided by (Used in) Investing Activities | 
        
        
           | 863 | 
            230 10 45 24 | 
           Increase (Decrease) in Federal Funds Sold | 
        
        
           | 864 | 
            230 10 45 24 | 
           Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents, Period Increase (Decrease), Excluding Exchange Rate Effect | 
        
        
           | 865 | 
            230 10 45 24 | 
           Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents, Disposal Group, Including Discontinued Operations | 
        
        
           | 866 | 
            230 10 45 24 | 
           Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents | 
        
        
           | 867 | 
            230 10 45 24 | 
           Cash, Period Increase (Decrease), Excluding Exchange Rate Effect | 
        
        
           | 868 | 
            230 10 45 24 | 
           Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents, Period Increase (Decrease), Including Exchange Rate Effect | 
        
        
           | 869 | 
            230 10 45 24 | 
           Cash Provided by (Used in) Financing Activities, Discontinued Operations | 
        
        
           | 870 | 
            230 10 45 24 | 
           Cash Provided by (Used in) Operating Activities, Discontinued Operations | 
        
        
           | 871 | 
            230 10 45 24 | 
           Income Tax Refunds, Discontinued Operations | 
        
        
           | 872 | 
            230 10 45 24 | 
           Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents, Including Disposal Group and Discontinued Operations | 
        
        
           | 873 | 
            230 10 45 24 | 
           Net Cash Provided by (Used in) Operating Activities | 
        
        
           | 874 | 
            230 10 45 24 | 
           Net Cash Provided by (Used in) Operating Activities, Continuing Operations | 
        
        
           | 875 | 
            230 10 45 24 | 
           Net Cash Provided by (Used in) Discontinued Operations | 
        
        
           | 876 | 
            230 10 45 24 | 
           Cash Provided by (Used in) Investing Activities, Discontinued Operations | 
        
        
           | 877 | 
            230 10 45 25 | 
           Supplemental Cash Flow Information Related Text | 
        
        
           | 878 | 
            230 10 45 25 | 
           Proceeds from Operating Activities | 
        
        
           | 879 | 
            230 10 45 25 | 
           Proceeds from Income Tax Refunds | 
        
        
           | 880 | 
            230 10 45 25 | 
           Net Cash Provided by (Used in) Operating Activities | 
        
        
           | 881 | 
            230 10 45 25 (a) | 
           Customer Refundable Fees, Proceeds | 
        
        
           | 882 | 
            230 10 45 25 | 
           Net Cash Provided by (Used in) Operating Activities, Continuing Operations | 
        
        
           | 883 | 
            230 10 45 25 (a) | 
           Proceeds from Customers | 
        
        
           | 884 | 
            230 10 45 25 (a) | 
           Proceeds from Collaborators | 
        
        
           | 885 | 
            230 10 45 25 (a) | 
           Proceeds from Financing Revenue Received under Leases | 
        
        
           | 886 | 
            230 10 45 25 (a) | 
           Proceeds from Customers for Progress Payments | 
        
        
           | 887 | 
            230 10 45 25 (a) | 
           Proceeds from Insurance Premiums Collected | 
        
        
           | 888 | 
            230 10 45 25 (a) | 
           Proceeds from Rents Received | 
        
        
           | 889 | 
            230 10 45 25 (a) | 
           Proceeds from License Fees Received | 
        
        
           | 890 | 
            230 10 45 25 (a) | 
           Proceeds from Time Deposits Accepted | 
        
        
           | 891 | 
            230 10 45 25 (a) | 
           Proceeds from Deposits from Customers | 
        
        
           | 892 | 
            230 10 45 25 (a),(c) | 
           Proceeds from Royalties Received | 
        
        
           | 893 | 
            230 10 45 25 (b) | 
           Proceeds from Interest and Dividends Received | 
        
        
           | 894 | 
            230 10 45 25 (c) | 
           Proceeds from Fees Received | 
        
        
           | 895 | 
            230 10 45 25 (c) | 
           Proceeds from Sale of Mortgage Loans Held-for-sale | 
        
        
           | 896 | 
            230 10 45 25 (c) | 
           Proceeds from Refunds from Suppliers of Material | 
        
        
           | 897 | 
            230 10 45 25 (c) | 
           Proceeds from Grantors | 
        
        
           | 898 | 
            230 10 45 25 (c) | 
           Proceeds from Deposits with Other Institutions | 
        
        
           | 899 | 
            230 10 45 25 (c) | 
           Proceeds from Commissions Received | 
        
        
           | 900 | 
            230 10 45 25 (c) | 
           Proceeds from Sale of Other Assets | 
        
        
           | 901 | 
            230 10 45 25 (c) | 
           Proceeds from Legal Settlements | 
        
        
           | 902 | 
            230 10 45 25 (c) | 
           Proceeds from Maturities, Prepayments and Calls of Securities, Operating Activities | 
        
        
           | 903 | 
            230 10 45 25 (c) | 
           Proceeds from Loans | 
        
        
           | 904 | 
            230 10 45 25 (c) | 
           Proceeds from Other Operating Activities | 
        
        
           | 905 | 
            230 10 45 25 (c) | 
           Proceeds from Sale of Securities, Operating Activities | 
        
        
           | 906 | 
            230 10 45 25 (d) | 
           Payments to Suppliers and Employees | 
        
        
           | 907 | 
            230 10 45 25 (d)-(g) | 
           Payments for Operating Activities | 
        
        
           | 908 | 
            230 10 45 25 (e) | 
           Interest Paid, Excluding Capitalized Interest, Operating Activities | 
        
        
           | 909 | 
            230 10 45 25 (f) | 
           Income Taxes Paid | 
        
        
           | 910 | 
            230 10 45 25 (g) | 
           Payments for Origination of Mortgage Loans Held-for-sale | 
        
        
           | 911 | 
            230 10 45 25 (g) | 
           Payments for Other Operating Activities | 
        
        
           | 912 | 
            230 10 45 25 (g) | 
           Payments for Other Taxes | 
        
        
           | 913 | 
            230 10 45 25 (g) | 
           Payment for Pension Benefits | 
        
        
           | 914 | 
            230 10 45 25 (g) | 
           Payments for Underwriting Expense | 
        
        
           | 915 | 
            230 10 45 25 (g) | 
           Payments for Time Deposits | 
        
        
           | 916 | 
            230 10 45 25 (g) | 
           Payments for Royalties | 
        
        
           | 917 | 
            230 10 45 25 (g) | 
           Payments for Rent | 
        
        
           | 918 | 
            230 10 45 25 (g) | 
           Payments for Postemployment Benefits | 
        
        
           | 919 | 
            230 10 45 25 (g) | 
           Payments for Other Fees | 
        
        
           | 920 | 
            230 10 45 25 (g) | 
           Payments for Purchase of Other Assets | 
        
        
           | 921 | 
            230 10 45 25 (g) | 
           Payments for Deposits with Other Institutions | 
        
        
           | 922 | 
            230 10 45 25 (g) | 
           Payment for Other Postretirement Benefits | 
        
        
           | 923 | 
            230 10 45 25 (g) | 
           Payments for Reinsurance | 
        
        
           | 924 | 
            230 10 45 25 (g) | 
           Payments for Purchase of Securities, Operating Activities | 
        
        
           | 925 | 
            230 10 45 25 (g) | 
           Payment for Pension and Other Postretirement Benefits | 
        
        
           | 926 | 
            230 10 45 25 (g) | 
           Payments for Commissions | 
        
        
           | 927 | 
            230 10 45 25 (g) | 
           Payments for Merger Related Costs | 
        
        
           | 928 | 
            230 10 45 25 (g) | 
           Payments for Loans | 
        
        
           | 929 | 
            230 10 45 25 (g) | 
           Payments for Brokerage Fees | 
        
        
           | 930 | 
            230 10 45 25 (g) | 
           Payments for Legal Settlements | 
        
        
           | 931 | 
            230 10 45 25 (g) | 
           Liability for Unpaid Claims and Claims Adjustment Expense, Claims Paid | 
        
        
           | 932 | 
            230 10 45 26 | 
           Increase (Decrease) in Federal Funds Sold | 
        
        
           | 933 | 
            230 10 45 27 | 
           Payments for Hedge, Investing Activities | 
        
        
           | 934 | 
            230 10 45 27 | 
           Proceeds from Hedge, Investing Activities | 
        
        
           | 935 | 
            230 10 45 27 | 
           Payments for Hedge, Financing Activities | 
        
        
           | 936 | 
            230 10 45 27 | 
           Proceeds from Hedge, Financing Activities | 
        
        
           | 937 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Accrued Liabilities and Other Operating Liabilities | 
        
        
           | 938 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Mortgage Loans Held-for-sale | 
        
        
           | 939 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Loans Held-for-sale | 
        
        
           | 940 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Derivative Assets and Liabilities | 
        
        
           | 941 | 
            230 10 45 28 (a) | 
           Business Combination, Contingent Consideration Arrangements, Change in Amount of Contingent Consideration, Liability | 
        
        
           | 942 | 
            230 10 45 28 (a) | 
           Business Combination, Contingent Consideration Arrangements, Change in Amount of Contingent Consideration, Asset | 
        
        
           | 943 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Accrued Taxes Payable | 
        
        
           | 944 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Accounts Receivable and Other Operating Assets | 
        
        
           | 945 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Restructuring Reserve | 
        
        
           | 946 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Derivative Assets | 
        
        
           | 947 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Income Taxes Payable, Net of Income Taxes Receivable | 
        
        
           | 948 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Deposits from Other Federal Home Loan Banks | 
        
        
           | 949 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Option Premium Contracts Payable | 
        
        
           | 950 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Gift Card Liability | 
        
        
           | 951 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Future Policy Benefit Reserves and Other Insurance Liabilities | 
        
        
           | 952 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Film Costs | 
        
        
           | 953 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Inventories and Other Operating Assets | 
        
        
           | 954 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Construction Payables | 
        
        
           | 955 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Restricted Investments for Operating Activities | 
        
        
           | 956 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Derivative Liabilities | 
        
        
           | 957 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Other Current Assets | 
        
        
           | 958 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Contract with Customer, Liability | 
        
        
           | 959 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Payables to Customers | 
        
        
           | 960 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Materials and Supplies | 
        
        
           | 961 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Other Noncurrent Assets | 
        
        
           | 962 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Self Insurance Reserve | 
        
        
           | 963 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Income Taxes | 
        
        
           | 964 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Contract with Customer, Asset | 
        
        
           | 965 | 
            230 10 45 28 (a) | 
           Increase (Decrease) Cash Collateral from Counterparties | 
        
        
           | 966 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Inventory for Long-term Contracts or Programs | 
        
        
           | 967 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Accounts Payable and Other Operating Liabilities | 
        
        
           | 968 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Other Current Liabilities | 
        
        
           | 969 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Due from Related Parties | 
        
        
           | 970 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in over (under) Energy Recovery | 
        
        
           | 971 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Notes Receivables | 
        
        
           | 972 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Other Policyholder Funds | 
        
        
           | 973 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Outstanding Checks, Operating Activities | 
        
        
           | 974 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Notes Receivable, Related Parties, Current | 
        
        
           | 975 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Other Financial Instruments Used in Operating Activities | 
        
        
           | 976 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in over Energy Recovery | 
        
        
           | 977 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Obligation, Pension Benefits | 
        
        
           | 978 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Payables under Repurchase Agreements | 
        
        
           | 979 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Other Accounts Payable and Accrued Liabilities | 
        
        
           | 980 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Loans, Deferred Income | 
        
        
           | 981 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Obligation, Other Postretirement Benefits | 
        
        
           | 982 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Pneumoconiosis Benefit Obligations Noncurrent | 
        
        
           | 983 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Property and Casualty Insurance Liabilities | 
        
        
           | 984 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Trading Liabilities | 
        
        
           | 985 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Retainage Payable | 
        
        
           | 986 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Reinsurance Recoverable | 
        
        
           | 987 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Workers' Compensation Liabilities | 
        
        
           | 988 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Receivables under Repurchase Agreements | 
        
        
           | 989 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Receivables | 
        
        
           | 990 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Securities Loaned Transactions | 
        
        
           | 991 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Other Employee-Related Liabilities | 
        
        
           | 992 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Other Regulatory Assets | 
        
        
           | 993 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Other Operating Assets and Liabilities, Net | 
        
        
           | 994 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Operating Liabilities | 
        
        
           | 995 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Other Accrued Liabilities | 
        
        
           | 996 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Notes Payable, Related Parties, Current | 
        
        
           | 997 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Operating Assets | 
        
        
           | 998 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Other Deferred Liability | 
        
        
           | 999 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Leasing Receivables | 
        
        
           | 1000 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Long-term Receivables, Current | 
        
        
           | 1001 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Postemployment Obligations | 
        
        
           | 1002 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Notes Payable, Related Parties | 
        
        
           | 1003 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Inventories | 
        
        
           | 1004 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Other Operating Liabilities | 
        
        
           | 1005 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Other Accounts Payable | 
        
        
           | 1006 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Margin Deposits Outstanding | 
        
        
           | 1007 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Notes Payable, Current | 
        
        
           | 1008 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Other Fossil Fuel Inventories | 
        
        
           | 1009 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Notes Receivable, Current | 
        
        
           | 1010 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Life Insurance Liabilities | 
        
        
           | 1011 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Obligation, Pension and Other Postretirement Benefits | 
        
        
           | 1012 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Payables to Broker-Dealers and Clearing Organizations | 
        
        
           | 1013 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Production Participation Plan Liability | 
        
        
           | 1014 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Other Receivables | 
        
        
           | 1015 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Frequent Flyer Liability | 
        
        
           | 1016 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Prepaid Expense and Other Assets | 
        
        
           | 1017 | 
            230 10 45 28 (a) | 
           Product Warranty Expense | 
        
        
           | 1018 | 
            230 10 45 28 (a) | 
           Provision for Loan, Lease, and Other Losses | 
        
        
           | 1019 | 
            230 10 45 28 (a) | 
           Provision for Other Credit Losses | 
        
        
           | 1020 | 
            230 10 45 28 (a) | 
           Provision for Loan and Lease Losses | 
        
        
           | 1021 | 
            230 10 45 28 (a) | 
           Provision for Other Losses | 
        
        
           | 1022 | 
            230 10 45 28 (a) | 
           Straight Line Rent | 
        
        
           | 1023 | 
            230 10 45 28 (a) | 
           Share-based Payment Arrangement, Noncash Expense | 
        
        
           | 1024 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Air Traffic Liability | 
        
        
           | 1025 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Prepaid Rent | 
        
        
           | 1026 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Customer Loyalty Program Liability | 
        
        
           | 1027 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Debt Securities, Trading, and Equity Securities, FV-NI | 
        
        
           | 1028 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Deferred Air Traffic Revenue | 
        
        
           | 1029 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Customer Advances and Deposits | 
        
        
           | 1030 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Deferred Revenue and Customer Advances and Deposits | 
        
        
           | 1031 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Contract Receivables, Net | 
        
        
           | 1032 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Customer Deposits | 
        
        
           | 1033 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Billing in Excess of Cost of Earnings | 
        
        
           | 1034 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Customer Advances | 
        
        
           | 1035 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Unbilled Receivables | 
        
        
           | 1036 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Deferred Revenue | 
        
        
           | 1037 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Cost in Excess of Billing on Uncompleted Contract | 
        
        
           | 1038 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Retail Related Inventories | 
        
        
           | 1039 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Security Deposits | 
        
        
           | 1040 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in under Energy Recovery | 
        
        
           | 1041 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Raw Materials, Packaging Materials and Supplies Inventories | 
        
        
           | 1042 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Recoverable Property Damage Costs | 
        
        
           | 1043 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Regulatory Assets and Liabilities | 
        
        
           | 1044 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Prepaid Reinsurance Premiums | 
        
        
           | 1045 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Property and Other Taxes Payable | 
        
        
           | 1046 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Recoverable Refundable Gas Costs | 
        
        
           | 1047 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Premiums Receivable | 
        
        
           | 1048 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Intangible Assets, Current | 
        
        
           | 1049 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Securities Borrowed | 
        
        
           | 1050 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Prepaid Expense | 
        
        
           | 1051 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Reserve for Commissions, Expense and Taxes | 
        
        
           | 1052 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Regulatory Liabilities | 
        
        
           | 1053 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Royalties Payable | 
        
        
           | 1054 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Reinsurance Payables | 
        
        
           | 1055 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Undisbursed Loan Funds | 
        
        
           | 1056 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Regulatory Clause Revenue | 
        
        
           | 1057 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Unproved Oil and Gas Property | 
        
        
           | 1058 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Risk Management Assets and Liabilities | 
        
        
           | 1059 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Unearned Premiums | 
        
        
           | 1060 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Restricted Cash for Operating Activities | 
        
        
           | 1061 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Assets Held-for-sale | 
        
        
           | 1062 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Deferred Electric Cost | 
        
        
           | 1063 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Accrued Cost of Oil and Gas Reclamation | 
        
        
           | 1064 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Deposit Assets | 
        
        
           | 1065 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Accounts Payable, Related Parties | 
        
        
           | 1066 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Accrued Liabilities | 
        
        
           | 1067 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Commodity Contract Assets and Liabilities | 
        
        
           | 1068 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Deferred Income Taxes | 
        
        
           | 1069 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Deferred Charges | 
        
        
           | 1070 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Cash Collateral for Loaned Securities | 
        
        
           | 1071 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Accrued Salaries | 
        
        
           | 1072 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Allowance for Equity Funds Used During Construction | 
        
        
           | 1073 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Accounts Receivable, Related Parties | 
        
        
           | 1074 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Balancing Account, Utility | 
        
        
           | 1075 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Accounts Payable and Accrued Liabilities | 
        
        
           | 1076 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Deferred Fuel Costs | 
        
        
           | 1077 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Deferred Liabilities | 
        
        
           | 1078 | 
            230 10 45 28 (a) | 
           Environmental Expense and Liabilities | 
        
        
           | 1079 | 
            230 10 45 28 (a) | 
           Deferred Purchased Power Costs | 
        
        
           | 1080 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Cash Collateral for Borrowed Securities | 
        
        
           | 1081 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Deferred Gas Cost | 
        
        
           | 1082 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Deferred Policy Acquisition Costs | 
        
        
           | 1083 | 
            230 10 45 28 (a) | 
           Increase (Decrease) Due from Affiliates | 
        
        
           | 1084 | 
            230 10 45 28 (a) | 
           Other Increase (Decrease) in Environmental Liabilities | 
        
        
           | 1085 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Notes Receivable, Related Parties | 
        
        
           | 1086 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Accrued Interest Receivable, Net | 
        
        
           | 1087 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Prepaid Advertising | 
        
        
           | 1088 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Accounts and Notes Receivable | 
        
        
           | 1089 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Prepaid Supplies | 
        
        
           | 1090 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Prepaid Insurance | 
        
        
           | 1091 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Prepaid Interest | 
        
        
           | 1092 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Prepaid Taxes | 
        
        
           | 1093 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Accounts Receivable | 
        
        
           | 1094 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Prepaid Royalties | 
        
        
           | 1095 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Asset Retirement Obligations | 
        
        
           | 1096 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Liability for Claims and Claims Adjustment Expense Reserve | 
        
        
           | 1097 | 
            230 10 45 28 (a) | 
           Increase (Decrease) Due from Officers and Stockholders | 
        
        
           | 1098 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Coal Inventories | 
        
        
           | 1099 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Accounts Payable | 
        
        
           | 1100 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Accounts Payable, Trade | 
        
        
           | 1101 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Receivables from Brokers-Dealers and Clearing Organizations | 
        
        
           | 1102 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Deferred Leasing Fees | 
        
        
           | 1103 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Client Funds Held | 
        
        
           | 1104 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Prepaid Expenses, Other | 
        
        
           | 1105 | 
            230 10 45 28 (a) | 
           Increase (Decrease) Due from Other Related Parties | 
        
        
           | 1106 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Insurance Liabilities | 
        
        
           | 1107 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Finance Receivables | 
        
        
           | 1108 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Income Taxes Receivable | 
        
        
           | 1109 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Due from Officers and Stockholders, Current | 
        
        
           | 1110 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Earnest Money Deposits Outstanding | 
        
        
           | 1111 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Fossil Fuel Inventories | 
        
        
           | 1112 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Fuel Inventories | 
        
        
           | 1113 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Funds Held under Reinsurance Agreements | 
        
        
           | 1114 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Due to Affiliates, Current | 
        
        
           | 1115 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Insurance Assets | 
        
        
           | 1116 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Interest and Dividends Receivable | 
        
        
           | 1117 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Employee Related Liabilities | 
        
        
           | 1118 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Due from Employee, Current | 
        
        
           | 1119 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Due to Related Parties, Current | 
        
        
           | 1120 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Due to Affiliates | 
        
        
           | 1121 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Deposits Outstanding | 
        
        
           | 1122 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Interests Continued to be Held by Transferor, Current | 
        
        
           | 1123 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Other Operating Assets | 
        
        
           | 1124 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Operating Capital | 
        
        
           | 1125 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Accrued Investment Income Receivable | 
        
        
           | 1126 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Income Taxes Payable | 
        
        
           | 1127 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Other Loans | 
        
        
           | 1128 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Other Insurance Liabilities | 
        
        
           | 1129 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Due from Affiliates, Current | 
        
        
           | 1130 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Accounts and Other Receivables | 
        
        
           | 1131 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Insurance Settlements Receivable | 
        
        
           | 1132 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Due to Officers and Stockholders, Current | 
        
        
           | 1133 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Broker-Dealer Related Receivables (Payables), Net | 
        
        
           | 1134 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Interest Payable, Net | 
        
        
           | 1135 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Financial Instruments Used in Operating Activities | 
        
        
           | 1136 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Deferred Compensation | 
        
        
           | 1137 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Due from Other Related Parties, Current | 
        
        
           | 1138 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Dividends Receivable | 
        
        
           | 1139 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Financial Instruments Sold, Not yet Purchased | 
        
        
           | 1140 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Due to Employees, Current | 
        
        
           | 1141 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Accounts Receivable from Securitization | 
        
        
           | 1142 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Due to Officers and Stockholders | 
        
        
           | 1143 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Due to Other Related Parties, Current | 
        
        
           | 1144 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Gas Balancing Receivable | 
        
        
           | 1145 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Due to Other Related Parties | 
        
        
           | 1146 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Due to Related Parties | 
        
        
           | 1147 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Future Policy Benefit Reserves | 
        
        
           | 1148 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Energy Trading Activity | 
        
        
           | 1149 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Finished Goods and Work in Process Inventories | 
        
        
           | 1150 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Due from Related Parties, Current | 
        
        
           | 1151 | 
            230 10 45 28 (a) | 
           Increase (Decrease) in Health Care Insurance Liabilities | 
        
        
           | 1152 | 
            230 10 45 28 | 
           Recognition of Deferred Revenue | 
        
        
           | 1153 | 
            230 10 45 28 (b) | 
           Gain (Loss) on Disposition of Property Plant Equipment | 
        
        
           | 1154 | 
            230 10 45 28 (b) | 
           Fair Value Adjustment of Warrants | 
        
        
           | 1155 | 
            230 10 45 28 (b) | 
           Gain (Loss) on Disposition of Oil and Gas Property | 
        
        
           | 1156 | 
            230 10 45 28 (b) | 
           Gain (Loss) on Disposition of Proved Property | 
        
        
           | 1157 | 
            230 10 45 28 (b) | 
           Gain (Loss) on Disposition of Unproved Property | 
        
        
           | 1158 | 
            230 10 45 28 (b) | 
           Gain (Loss) on Disposition of Oil and Gas and Timber Property | 
        
        
           | 1159 | 
            230 10 45 28 (b) | 
           Gain (Loss) on Sale of Debt Investments | 
        
        
           | 1160 | 
            230 10 45 28 (b) | 
           Gain (Loss) on Sale of Derivatives | 
        
        
           | 1161 | 
            230 10 45 28 (b) | 
           Proceeds from Equity Method Investment, Distribution | 
        
        
           | 1162 | 
            230 10 45 28 (b) | 
           Exploration Abandonment and Impairment Expense | 
        
        
           | 1163 | 
            230 10 45 28 (b) | 
           Gain (Loss) on Sales of Loans, Net | 
        
        
           | 1164 | 
            230 10 45 28 (b) | 
           Gain (Loss) on Sale of Commodity Contracts | 
        
        
           | 1165 | 
            230 10 45 28 (b) | 
           Gain (Loss) on Sales of Consumer Loans | 
        
        
           | 1166 | 
            230 10 45 28 (b) | 
           Gain (Loss) on Sale of Mortgage Loans | 
        
        
           | 1167 | 
            230 10 45 28 (b) | 
           Gain (Loss) on Sale of Previously Unissued Stock by Subsidiary or Equity Investee, Nonoperating Income | 
        
        
           | 1168 | 
            230 10 45 28 (b) | 
           Gain (Loss) on Disposition of Timber Property | 
        
        
           | 1169 | 
            230 10 45 28 (b) | 
           Gain (Loss) on Sale of Other Investments | 
        
        
           | 1170 | 
            230 10 45 28 (b) | 
           Gain (Loss) on Sale of Investments | 
        
        
           | 1171 | 
            230 10 45 28 (b) | 
           Gain (Loss) on Extinguishment of Debt | 
        
        
           | 1172 | 
            230 10 45 28 (b) | 
           Goodwill, Impairment Loss | 
        
        
           | 1173 | 
            230 10 45 28 (b) | 
           Impairment of Long-Lived Assets to be Disposed of | 
        
        
           | 1174 | 
            230 10 45 28 (b) | 
           Impairment of Leasehold | 
        
        
           | 1175 | 
            230 10 45 28 (b) | 
           Amortization of Power Contracts Emission Credits | 
        
        
           | 1176 | 
            230 10 45 28 (b) | 
           Impairment of Ongoing Project | 
        
        
           | 1177 | 
            230 10 45 28 (b) | 
           Impairment of Oil and Gas Properties | 
        
        
           | 1178 | 
            230 10 45 28 (b) | 
           Impairment of Intangible Assets (Excluding Goodwill) | 
        
        
           | 1179 | 
            230 10 45 28 (b) | 
           Asset Impairment Charges | 
        
        
           | 1180 | 
            230 10 45 28 (b) | 
           Unrealized Gain (Loss) on Derivatives | 
        
        
           | 1181 | 
            230 10 45 28 (b) | 
           Impairment of Retained Interest | 
        
        
           | 1182 | 
            230 10 45 28 (b) | 
           Amortization | 
        
        
           | 1183 | 
            230 10 45 28 (b) | 
           Adjustment of Warrants Granted for Services | 
        
        
           | 1184 | 
            230 10 45 28 (b) | 
           Amortization of Advance Royalty | 
        
        
           | 1185 | 
            230 10 45 28 (b) | 
           Amortization of Rate Deferral | 
        
        
           | 1186 | 
            230 10 45 28 (b) | 
           Amortization of Mortgage Servicing Rights (MSRs) | 
        
        
           | 1187 | 
            230 10 45 28 (b) | 
           Amortization of Intangible Assets | 
        
        
           | 1188 | 
            230 10 45 28 (b) | 
           Amortization of Regulatory Asset | 
        
        
           | 1189 | 
            230 10 45 28 (b) | 
           Amortization of Debt Discount (Premium) | 
        
        
           | 1190 | 
            230 10 45 28 (b) | 
           Amortization of Nuclear Fuel Lease | 
        
        
           | 1191 | 
            230 10 45 28 (b) | 
           Amortization of Deferred Sales Commissions | 
        
        
           | 1192 | 
            230 10 45 28 (b) | 
           Amortization of Acquisition Costs | 
        
        
           | 1193 | 
            230 10 45 28 (b) | 
           Employee Benefit and Share-based Payment Arrangement, Noncash | 
        
        
           | 1194 | 
            230 10 45 28 (b) | 
           Business Exit Costs | 
        
        
           | 1195 | 
            230 10 45 28 (b) | 
           Carrying Costs, Property and Exploration Rights | 
        
        
           | 1196 | 
            230 10 45 28 (b) | 
           Deferred Income Tax Expense (Benefit) | 
        
        
           | 1197 | 
            230 10 45 28 (b) | 
           Depletion of Oil and Gas Properties | 
        
        
           | 1198 | 
            230 10 45 28 (b) | 
           Depletion | 
        
        
           | 1199 | 
            230 10 45 28 (b) | 
           Depreciation, Amortization and Accretion, Net | 
        
        
           | 1200 | 
            230 10 45 28 (b) | 
           Depreciation, Nonproduction | 
        
        
           | 1201 | 
            230 10 45 28 (b) | 
           Depreciation, Depletion and Amortization, Nonproduction | 
        
        
           | 1202 | 
            230 10 45 28 (b) | 
           Depreciation | 
        
        
           | 1203 | 
            230 10 45 28 (b) | 
           Depreciation, Depletion and Amortization | 
        
        
           | 1204 | 
            230 10 45 28 (b) | 
           Disposal Group, Not Discontinued Operation, Loss (Gain) on Write-down | 
        
        
           | 1205 | 
            230 10 45 28 (b) | 
           Amortization of Value of Business Acquired (VOBA) | 
        
        
           | 1206 | 
            230 10 45 28 (b) | 
           Gain (Loss) on Sale of Assets and Asset Impairment Charges | 
        
        
           | 1207 | 
            230 10 45 28 (b) | 
           Amortization of Deferred Hedge Gains | 
        
        
           | 1208 | 
            230 10 45 28 (b) | 
           Gain (Loss) on Securitization of Financial Assets | 
        
        
           | 1209 | 
            230 10 45 28 (b) | 
           Gain (Loss) on Sale of Project | 
        
        
           | 1210 | 
            230 10 45 28 (b) | 
           Unrealized Gain (Loss) on Investments | 
        
        
           | 1211 | 
            230 10 45 28 (b) | 
           Gain (Loss) on Disposition of Intangible Assets | 
        
        
           | 1212 | 
            230 10 45 28 (b) | 
           Impairment of Long-Lived Assets Held-for-use | 
        
        
           | 1213 | 
            230 10 45 28 (b) | 
           Gain (Loss) on Disposition of Other Assets | 
        
        
           | 1214 | 
            230 10 45 28 (b) | 
           Gain (Loss) on Disposition of Business | 
        
        
           | 1215 | 
            230 10 45 28 (b) | 
           Gain (Loss) on Sale of Properties | 
        
        
           | 1216 | 
            230 10 45 28 (b) | 
           Gain (Loss) on Condemnation | 
        
        
           | 1217 | 
            230 10 45 28 (b) | 
           Gain on Sale of Investments | 
        
        
           | 1218 | 
            230 10 45 28 (b) | 
           Equity Method Investment, Realized Gain (Loss) on Disposal | 
        
        
           | 1219 | 
            230 10 45 28 (b) | 
           Disposal Group, Not Discontinued Operation, Gain (Loss) on Disposal | 
        
        
           | 1220 | 
            230 10 45 28 (b) | 
           Depreciation and Amortization, Discontinued Operations | 
        
        
           | 1221 | 
            230 10 45 28 (b) | 
           Deferred Policy Acquisition Costs, Amortization Expense | 
        
        
           | 1222 | 
            230 10 45 28 (b) | 
           Gain (Loss) on Disposition of Stock in Subsidiary | 
        
        
           | 1223 | 
            230 10 45 28 (b) | 
           Leveraged Leases, Income (Loss) | 
        
        
           | 1224 | 
            230 10 45 28 (b) | 
           Gain (Loss) on Investments, Excluding Other than Temporary Impairments | 
        
        
           | 1225 | 
            230 10 45 28 (b) | 
           Amortization of Deferred Leasing Fees | 
        
        
           | 1226 | 
            230 10 45 28 (b) | 
           Amortization of Leased Asset | 
        
        
           | 1227 | 
            230 10 45 28 (b) | 
           Present Value of Future Insurance Profits, Amortization Expense | 
        
        
           | 1228 | 
            230 10 45 28 (b) | 
           Other Asset Impairment Charges | 
        
        
           | 1229 | 
            230 10 45 28 (b) | 
           Other Adjustments to Income, Discontinued Operations | 
        
        
           | 1230 | 
            230 10 45 28 (b) | 
           Gain (Loss) on Disposition of Stock in Subsidiary or Equity Method Investee | 
        
        
           | 1231 | 
            230 10 45 28 (b) | 
           Loss on Sale of Investments | 
        
        
           | 1232 | 
            230 10 45 28 (b) | 
           Gain (Loss) on Disposition of Assets | 
        
        
           | 1233 | 
            230 10 45 28 (b) | 
           Impairment of Intangible Assets, Finite-lived | 
        
        
           | 1234 | 
            230 10 45 28 (b) | 
           Impairment of Intangible Assets, Indefinite-lived (Excluding Goodwill) | 
        
        
           | 1235 | 
            230 10 45 28 (b) | 
           Impairment of Real Estate | 
        
        
           | 1236 | 
            230 10 45 28 (b) | 
           Gains (Losses) on Sales of Investment Real Estate | 
        
        
           | 1237 | 
            230 10 45 28 (b) | 
           Gain (Loss) on Sale of Loans and Leases | 
        
        
           | 1238 | 
            230 10 45 28 (b) | 
           Gain (Loss) on Sale of Other Loans and Leases | 
        
        
           | 1239 | 
            230 10 45 28 (b) | 
           Mortgage Servicing Rights (MSR) Impairment (Recovery) | 
        
        
           | 1240 | 
            230 10 45 28 (b) | 
           Gain (Loss) on Disposition of Property Plant Equipment, Excluding Oil and Gas Property and Timber Property | 
        
        
           | 1241 | 
            230 10 45 28 (b) | 
           Reclamation and Mine Shutdown Provision | 
        
        
           | 1242 | 
            230 10 45 28 (b) | 
           Public Utilities, Allowance for Funds Used During Construction, Additions | 
        
        
           | 1243 | 
            230 10 45 28 (b) | 
           Pension and Other Postretirement Benefits Expense (Reversal of Expense), Noncash | 
        
        
           | 1244 | 
            230 10 45 28 (b) | 
           Pension Expense (Reversal of Expense), Noncash | 
        
        
           | 1245 | 
            230 10 45 28 (b) | 
           Paid-in-Kind Interest | 
        
        
           | 1246 | 
            230 10 45 28 (b) | 
           Other Restructuring Costs | 
        
        
           | 1247 | 
            230 10 45 28 (b) | 
           Reimbursement from Limited Partnership Investment | 
        
        
           | 1248 | 
            230 10 45 28 (b) | 
           Amortization of Other Deferred Charges | 
        
        
           | 1249 | 
            230 10 45 28 (b) | 
           Other Depreciation and Amortization | 
        
        
           | 1250 | 
            230 10 45 28 (b) | 
           Noncash Merger Related Costs | 
        
        
           | 1251 | 
            230 10 45 28 (b) | 
           Noncash Project Abandonment Costs | 
        
        
           | 1252 | 
            230 10 45 28 (b) | 
           Issuance of Stock and Warrants for Services or Claims | 
        
        
           | 1253 | 
            230 10 45 28 (b) | 
           Interest Credited to Policy Owner Account | 
        
        
           | 1254 | 
            230 10 45 28 (b) | 
           Income (Loss) from Equity Method Investments, Net of Dividends or Distributions | 
        
        
           | 1255 | 
            230 10 45 28 (b) | 
           Income (Loss) from Equity Method Investments | 
        
        
           | 1256 | 
            230 10 45 28 (b) | 
           Amortization of above and below Market Leases | 
        
        
           | 1257 | 
            230 10 45 28 (b) | 
           Adjustments, Noncash Items, to Reconcile Net Income (Loss) to Cash Provided by (Used in) Operating Activities | 
        
        
           | 1258 | 
            230 10 45 28 (b) | 
           Other Postretirement Benefits Expense (Reversal of Expense), Noncash | 
        
        
           | 1259 | 
            230 10 45 28 (b) | 
           Restricted Stock or Unit Expense | 
        
        
           | 1260 | 
            230 10 45 28 (b) | 
           Amortization of Deferred Property Taxes | 
        
        
           | 1261 | 
            230 10 45 28 (b) | 
           Amortization and Depreciation of Decontaminating and Decommissioning Assets | 
        
        
           | 1262 | 
            230 10 45 28 (b) | 
           Amortization of Debt Issuance Costs | 
        
        
           | 1263 | 
            230 10 45 28 (b) | 
           Amortization of Debt Issuance Costs and Discounts | 
        
        
           | 1264 | 
            230 10 45 28 (b) | 
           Unrealized Gain (Loss) on Energy Contracts | 
        
        
           | 1265 | 
            230 10 45 28 (b) | 
           Unrealized Gain (Loss) on Commodity Contracts | 
        
        
           | 1266 | 
            230 10 45 28 (b) | 
           Unrealized Gain (Loss) on Derivatives and Commodity Contracts | 
        
        
           | 1267 | 
            230 10 45 28 (b) | 
           Restructuring Costs and Asset Impairment Charges | 
        
        
           | 1268 | 
            230 10 45 28 (b) | 
           Stock or Unit Option Plan Expense | 
        
        
           | 1269 | 
            230 10 45 28 (b) | 
           Severance Costs | 
        
        
           | 1270 | 
            230 10 45 28 (b) | 
           Restructuring Charges | 
        
        
           | 1271 | 
            230 10 45 28 (b) | 
           Restructuring Costs | 
        
        
           | 1272 | 
            230 10 45 28 (b) | 
           Amortization of Deferred Loan Origination Fees, Net | 
        
        
           | 1273 | 
            230 10 45 28 (b) | 
           Unrealized Gain (Loss) on Securities | 
        
        
           | 1274 | 
            230 10 45 28 (b) | 
           Gain (Loss) on Investments | 
        
        
           | 1275 | 
            230 10 45 28 (b) | 
           Debt Securities, Held-to-maturity, Transfer to Trading, Unrealized Gain (Loss), Excluding Other-than-temporary Impairment | 
        
        
           | 1276 | 
            230 10 45 28 (b) | 
           Debt Securities, Held-to-maturity, Sold, Realized Gain (Loss), Excluding Other-than-temporary Impairment | 
        
        
           | 1277 | 
            230 10 45 28 | 
           Income (Loss) from Continuing Operations, Net of Tax, Attributable to Parent | 
        
        
           | 1278 | 
            230 10 45 28 | 
           Storm Damage Provision | 
        
        
           | 1279 | 
            230 10 45 28 | 
           Adjustments to Reconcile Net Income (Loss) to Cash Provided by (Used in) Operating Activities | 
        
        
           | 1280 | 
            230 10 45 28 | 
           Deferred Income Taxes and Tax Credits | 
        
        
           | 1281 | 
            230 10 45 28 | 
           Foreign Currency Transaction Gain (Loss), Unrealized | 
        
        
           | 1282 | 
            230 10 45 28 | 
           Gain (Loss) on Disposition of Other Financial Assets | 
        
        
           | 1283 | 
            230 10 45 28 | 
           Gain (Loss) on Contract Termination | 
        
        
           | 1284 | 
            230 10 45 28 | 
           Impairment Losses Related to Real Estate Partnerships | 
        
        
           | 1285 | 
            230 10 45 28 | 
           Accretion (Amortization) of Discounts and Premiums, Investments | 
        
        
           | 1286 | 
            230 10 45 28 | 
           Income Tax Credits and Adjustments | 
        
        
           | 1287 | 
            230 10 45 28 | 
           Investment Tax Credit | 
        
        
           | 1288 | 
            230 10 45 28 | 
           Net Cash Provided by (Used in) Operating Activities | 
        
        
           | 1289 | 
            230 10 45 28 | 
           Net Cash Provided by (Used in) Operating Activities, Continuing Operations | 
        
        
           | 1290 | 
            230 10 45 28 | 
           Net Income (Loss) Attributable to Parent | 
        
        
           | 1291 | 
            230 10 45 28 | 
           Noncash Contribution Expense | 
        
        
           | 1292 | 
            230 10 45 28 | 
           Other Noncash Income (Expense) | 
        
        
           | 1293 | 
            230 10 45 28 | 
           Other Noncash Income Tax Expense | 
        
        
           | 1294 | 
            230 10 45 28 | 
           Other Noncash Income | 
        
        
           | 1295 | 
            230 10 45 28 | 
           Other Noncash Expense | 
        
        
           | 1296 | 
            230 | 
           Cash Flow, Supplemental Disclosures [Text Block] |