SEC Filings

Form 10-K
PNC FINANCIAL SERVICES GROUP, INC. filed this Form 10-K on 03/03/2014
Document Outline
Entire Document (33566.9 KB)
Subdocument 1 - 10-K - FORM 10-K
Page 1 - UNITED STATES
Page 2 - Cross-Reference Index to 2013 Form 10-K
Page 3 - Cross-Reference Index to 2013 Form 10-K (continued)
Page 4 - Cross-Reference Index to 2013 Form 10-K (continued)
Page 5 - Cross-Reference Index to 2013 Form 10-K (continued)
Page 6 - Cross-Reference Index to 2013 Form 10-K (continued)
Page 7 - Cross-Reference Index to 2013 Form 10-K (continued)
Page 8 - Cross-Reference Index to 2013 Form 10-K (continued)
Page 9 - PART I
Page 10 - Corporate Institutional Banking
Page 11 - Non-Strategic Assets Portfolio
Page 12 - Dodd-Frank Act
Page 13 - BANKING REGULATION AND SUPERVISION
Page 14 - N/A
Page 15 - Basel III Liquidity Requirements
Page 16 - Parent Company Liquidity and Dividends
Page 17 - Volcker Rule.
Page 18 - FDIC Insurance
Page 19 - SECURITIES AND DERIVATIVES REGULATION
Page 20 - COMPETITION
Page 21 - INTERNET INFORMATION
Page 22 - Our business and financial results are subject to risks associated with the creditworthiness of our
Page 23 - Our business and financial performance is impacted significantly by market interest rates and moveme
Page 24 - Our business and financial performance are dependent on our ability to attract and retain customers
Page 25 - N/A
Page 26 - New capital and liquidity standards will result in banks and bank holding companies needing to maint
Page 27 - We depend on information systems, both internally and through third-parties, to conduct our business
Page 28 - N/A
Page 29 - We continually encounter technological change and we could falter in our ability to remain competiti
Page 30 - PNC faces legal and regulatory risk arising out of its residential mortgage businesses.
Page 31 - We operate in a highly competitive environment, in terms of the products and services we offer and t
Page 32 - ITEM 1B UNRESOLVED STAFF COMMENTS
Page 33 - N/A
Page 34 - DIRECTORS OF THE REGISTRANT
Page 35 - COMMON STOCK PERFORMANCE GRAPH
Page 36 - ITEM 6 SELECTED FINANCIAL DATA
Page 37 - N/A
Page 38 - ITEM 7 MANAGEMENT S DISCUSSION AND ANALYSIS OF FINANCIAL CONDITION AND RESULTS OF OPERATIONS (MD A)
Page 39 - NACS, et al. v. Board of Governors of the Federal Reserve System.
Page 40 - Table 1: Summary Financial Results
Page 41 - CAPITAL AND LIQUIDITY ACTIONS
Page 42 - AVERAGE CONSOLIDATED BALANCE SHEET HIGHLIGHTS
Page 43 - BUSINESS SEGMENT HIGHLIGHTS
Page 44 - NONINTEREST INCOME
Page 45 - PROVISION FOR CREDIT LOSSES
Page 46 - CONSOLIDATED BALANCE SHEET REVIEW
Page 47 - LOANS
Page 48 - ALLOWANCE FOR LOAN AND LEASE LOSSES (ALLL)
Page 49 - Table 10: Valuation of Purchased Impaired Loans
Page 50 - PURCHASED IMPAIRED LOANS ACCRETABLE DIFFERENCE SENSITIVITY ANALYSIS
Page 51 - INVESTMENT SECURITIES
Page 52 - LOANS HELD FOR SALE
Page 53 - FUNDING AND CAPITAL SOURCES
Page 54 - Table 18: Basel I Risk-Based Capital
Page 55 - Table 19: Estimated Pro forma Fully Phased-In Basel III Tier 1 Common Capital Ratio
Page 56 - Table 20: Pro forma Transitional Basel III Tier 1 Common Capital Ratio
Page 57 - FAIR VALUE MEASUREMENTS
Page 58 - BUSINESS SEGMENTS REVIEW
Page 59 - RETAIL BANKING
Page 60 - N/A
Page 61 - CORPORATE INSTITUTIONAL BANKING
Page 62 - N/A
Page 63 - PRODUCT REVENUE
Page 64 - ASSET MANAGEMENT GROUP
Page 65 - N/A
Page 66 - RESIDENTIAL MORTGAGE BANKING
Page 67 - N/A
Page 68 - BLACKROCK
Page 69 - CRITICAL ACCOUNTING ESTIMATES AND JUDGMENTS
Page 70 - ALLOWANCES FOR LOAN AND LEASE LOSSES AND UNFUNDED LOAN COMMITMENTS AND LETTERS OF CREDIT
Page 71 - LEASE RESIDUALS
Page 72 - REVENUE RECOGNITION
Page 73 - RECENTLY ISSUED ACCOUNTING STANDARDS
Page 74 - RECENT ACCOUNTING PRONOUNCEMENTS
Page 75 - Table 29: Pension Expense Sensitivity Analysis
Page 76 - e.g.
Page 77 - Table 32: Analysis of Residential Mortgage Indemnification and Repurchase Claim Settlement Activity
Page 78 - Table 33: Analysis of Home Equity Unresolved Asserted Indemnification and Repurchase Claims
Page 79 - RISK MANAGEMENT
Page 80 - e.g.
Page 81 - RISK MONITORING AND REPORTING
Page 82 - NONPERFORMING ASSETS AND LOAN DELINQUENCIES
Page 83 - Table 35: Nonperforming Assets By Type
Page 84 - Table 36 : OREO and Foreclosed Assets
Page 85 - Table 38: Accruing Loans Past Due 30 To 59 Days (a)(b)
Page 86 - Table 40: Accruing Loans Past Due 90 Days Or More (a)(b)
Page 87 - Table 41: Home Equity Lines of Credit Draw Period End Dates
Page 88 - Table 42: Consumer Real Estate Related Loan Modifications
Page 89 - COMMERCIAL LOAN MODIFICATIONS AND PAYMENT PLANS
Page 90 - TROUBLED DEBT RESTRUCTURINGS
Page 91 - N/A
Page 92 - Table 46: Allowance for Loan and Lease Losses
Page 93 - N/A
Page 94 - MODEL RISK MANAGEMENT
Page 95 - LIQUIDITY RISK MANAGEMENT
Page 96 - N/A
Page 97 - PARENT COMPANY LIQUIDITY USES
Page 98 - PARENT COMPANY LIQUIDITY SOURCES
Page 99 - Table 47: Credit Ratings as of December 31, 2013 for PNC and PNC Bank, N.A.
Page 100 - MARKET RISK MANAGEMENT
Page 101 - Table 52: Alternate Interest Rate Scenarios: One Year Forward
Page 102 - MARKET RISK MANAGEMENT EQUITY AND OTHER INVESTMENT RISK
Page 103 - OTHER INVESTMENTS
Page 104 - Table 56: Financial Derivatives Summary
Page 105 - Provision For Credit Losses
Page 106 - Investment Securities
Page 107 - Shareholders Equity
Page 108 - Basis point
Page 109 - Futures and forward contracts
Page 110 - i.e.
Page 111 - Return on average common shareholders equity
Page 112 - CAUTIONARY STATEMENT REGARDING FORWARD-LOOKING INFORMATION
Page 113 - ITEM 7A QUANTITATIVE AND QUALITATIVE DISCLOSURES ABOUT MARKET RISK
Page 114 - ITEM 8 FINANCIAL STATEMENTS AND SUPPLEMENTARY DATA
Page 115 - CONSOLIDATED INCOME STATEMENT
Page 116 - CONSOLIDATED STATEMENT OF COMPREHENSIVE INCOME
Page 117 - CONSOLIDATED BALANCE SHEET
Page 118 - CONSOLIDATED STATEMENT OF CHANGES IN EQUITY
Page 119 - CONSOLIDATED STATEMENT OF CASH FLOWS
Page 120 - CONSOLIDATED STATEMENT OF CASH FLOWS
Page 121 - NOTES TO CONSOLIDATED FINANCIAL STATEMENTS
Page 122 - REVENUE RECOGNITION
Page 123 - DEBT SECURITIES
Page 124 - PRIVATE EQUITY INVESTMENTS
Page 125 - LEASES
Page 126 - NONPERFORMING ASSETS
Page 127 - ACCOUNTING FOR NONPERFORMING ASSETS
Page 128 - ALLOWANCE FOR LOAN AND LEASE LOSSES
Page 129 - MORTGAGE AND OTHER SERVICING RIGHTS
Page 130 - REPURCHASE AND RESALE AGREEMENTS
Page 131 - INCOME TAXES
Page 132 - Reporting of Amounts Reclassified Out of Accumulated Other Comprehensive Income.
Page 133 - NOTE 3 LOAN SALE AND SERVICING ACTIVITIES AND VARIABLE INTEREST ENTITIES
Page 134 - Table 57: Certain Financial Information and Cash Flows Associated with Loan Sale and Servicing Activ
Page 135 - Table 58: Principal Balance, Delinquent Loans (Loans 90 Days or More Past Due), and Net Charge-offs
Page 136 - Table 60: Non-Consolidated VIEs
Page 137 - MARKET STREET
Page 138 - RESIDENTIAL AND COMMERCIAL MORTGAGE-BACKED SECURITIZATIONS
Page 139 - Table 62: Net Unfunded Credit Commitments
Page 140 - Table 63: Analysis of Loan Portfolio (a)
Page 141 - Table 64: Nonperforming Assets
Page 142 - COMMERCIAL LENDING ASSET CLASSES
Page 143 - Table 65: Commercial Lending Asset Quality Indicators (a)
Page 144 - CONSUMER PURCHASED IMPAIRED LOAN CLASS
Page 145 - Table 67: Home Equity and Residential Real Estate Asset Quality Indicators Excluding Purchased Impai
Page 146 - Table 68: Home Equity and Residential Real Estate Asset Quality Indicators Purchased Impaired Loans
Page 147 - CREDIT CARD AND OTHER CONSUMER LOAN CLASSES
Page 148 - TROUBLED DEBT RESTRUCTURINGS (TDRS)
Page 149 - Table 71: Financial Impact and TDRs by Concession Type (a)
Page 150 - N/A
Page 151 - Table 72: TDRs which have Subsequently Defaulted
Page 152 - IMPAIRED LOANS
Page 153 - NOTE 6 PURCHASED LOANS
Page 154 - NOTE 7 ALLOWANCES FOR LOAN AND LEASE LOSSES AND UNFUNDED LOAN COMMITMENTS AND LETTERS OF CREDIT
Page 155 - Table 76: Rollforward of Allowance for Loan and Lease Losses and Associated Loan Data
Page 156 - Table 76: Rollforward of Allowance for Loan and Lease Losses and Associated Loan Data
Page 157 - NOTE 8 INVESTMENT SECURITIES
Page 158 - Table 78: Investment Securities Summary
Page 159 - Table 79: Gross Unrealized Loss and Fair Value of Securities Available for Sale
Page 160 - Table 80: Credit Impairment Assessment Assumptions Non-Agency Residential Mortgage-Backed and Asset-
Page 161 - Table 82: Rollforward of Cumulative OTTI Credit Losses Recognized in Earnings
Page 162 - Table 85: Weighted-Average Expected Maturity of Mortgage and Other Asset-Backed Debt Securities
Page 163 - FINANCIAL INSTRUMENTS ACCOUNTED FOR AT FAIR VALUE ON A RECURRING BASIS
Page 164 - FINANCIAL DERIVATIVES
Page 165 - RESIDENTIAL MORTGAGE LOANS HELD FOR SALE
Page 166 - RESIDENTIAL MORTGAGE SERVICING RIGHTS
Page 167 - LOANS
Page 168 - Table 87: Fair Value Measurements Summary
Page 169 - Table 88: Reconciliation of Level 3 Assets and Liabilities
Page 170 - Year Ended December 31, 2012
Page 171 - Table 89: Fair Value Measurements Recurring Quantitative Information
Page 172 - December 31, 2012
Page 173 - OTHER FINANCIAL ASSETS ACCOUNTED FOR AT FAIR VALUE ON A NONRECURRING BASIS
Page 174 - OREO AND FORECLOSED ASSETS
Page 175 - Table 91: Fair Value Measurements Nonrecurring Quantitative Information
Page 176 - FINANCIAL ASSETS ACCOUNTED FOR UNDER FAIR VALUE OPTION
Page 177 - Table 93: Fair Value Option Fair Value and Principal Balances
Page 178 - Table 94: Additional Fair Value Information Related to Financial Instruments
Page 179 - GENERAL
Page 180 - DEPOSITS
Page 181 - Table 96: Other Intangible Assets
Page 182 - Table 100: Residential Mortgage Servicing Rights
Page 183 - Table 101: Commercial Mortgage Loan Servicing Rights Key Valuation Assumptions
Page 184 - NOTE 12 TIME DEPOSITS
Page 185 - NOTE 14 CAPITAL SECURITIES OF SUBSIDIARY TRUSTS AND PERPETUAL TRUST SECURITIES
Page 186 - Table 110: Summary of Replacement Capital Covenants of Perpetual Trust Securities
Page 187 - NOTE 15 EMPLOYEE BENEFIT PLANS
Page 188 - PNC PENSION PLAN ASSETS
Page 189 - FAIR VALUE MEASUREMENTS
Page 190 - Table 114: Pension Plan Assets Fair Value Hierarchy
Page 191 - Table 115: Rollforward of Pension Plan Level 3 Assets
Page 192 - Table 117: Components of Net Periodic Benefit Cost
Page 193 - Table 120: Effect of One Percent Change in Assumed Health Care Cost
Page 194 - NOTE 16 STOCK BASED COMPENSATION PLANS
Page 195 - INCENTIVE/PERFORMANCE UNIT SHARE AWARDS AND RESTRICTED STOCK/SHARE UNIT AWARDS
Page 196 - LIABILITY AWARDS
Page 197 - NOTE 17 FINANCIAL DERIVATIVES
Page 198 - Table 128: Derivatives Designated As Hedging Instruments under GAAP
Page 199 - CASH FLOW HEDGES
Page 200 - DERIVATIVES NOT DESIGNATED AS HEDGING INSTRUMENTS UNDER GAAP
Page 201 - N/A
Page 202 - Table 133: Gains (Losses) on Derivatives Not Designated As Hedging Instruments under GAAP
Page 203 - Table 135: Credit Ratings of Credit Default Swaps (a)
Page 204 - Table 139: Derivative Assets and Liabilities Offsetting
Page 205 - NOTE 18 EARNINGS PER SHARE
Page 206 - NOTE 19 EQUITY
Page 207 - WARRANTS
Page 208 - NOTE 20 OTHER COMPREHENSIVE INCOME
Page 209 - Table 144: Accumulated Other Comprehensive Income (Loss) Components
Page 210 - NOTE 21 INCOME TAXES
Page 211 - Table 149: Changes in Liability for Unrecognized Tax Benefits
Page 212 - Table 150: Basel I Regulatory Capital
Page 213 - INTERCHANGE LITIGATION
Page 214 - CBNV MORTGAGE LITIGATION
Page 215 - OVERDRAFT LITIGATION
Page 216 - Fulton Financial Advisors, N.A. v. PNC Capital Markets, LLC
Page 217 - CAPTIVE MORTGAGE REINSURANCE LITIGATION
Page 218 - Montoya vs. PNC Bank, N.A.
Page 219 - N/A
Page 220 - OTHER
Page 221 - INDEMNIFICATIONS
Page 222 - RECOURSE AND REPURCHASE OBLIGATIONS
Page 223 - Table 153: Analysis of Indemnification and Repurchase Liability for Asserted Claims and Unasserted C
Page 224 - Table 154: Reinsurance Agreements Exposure (a)
Page 225 - Table 156: Resale and Repurchase Agreements Offsetting
Page 226 - NOTE 25 PARENT COMPANY
Page 227 - Table 160: Parent Company Statement of Cash Flows
Page 228 - BUSINESS SEGMENT PRODUCTS AND SERVICES
Page 229 - Table 161: Results Of Businesses
Page 230 - NOTE 27 SUBSEQUENT EVENTS
Page 231 - AVERAGE CONSOLIDATED BALANCE SHEET AND NET INTEREST ANALYSIS
Page 232 - N/A
Page 233 - ANALYSIS OF YEAR-TO-YEAR CHANGES IN NET INTEREST INCOME
Page 234 - TANGIBLE BOOK VALUE PER COMMON SHARE RATIO (NON-GAAP)
Page 235 - NONPERFORMING ASSETS AND RELATED INFORMATION
Page 236 - SUMMARY OF LOAN LOSS EXPERIENCE
Page 237 - SELECTED LOAN MATURITIES AND INTEREST SENSITIVITY
Page 238 - DISCLOSURE CONTROLS AND PROCEDURES AND CHANGES IN INTERNAL CONTROL OVER FINANCIAL REPORTING
Page 239 - Equity Compensation Plan Information
Page 240 - N/A
Page 241 - ITEM 13 CERTAIN RELATIONSHIPS AND RELATED TRANSACTIONS, AND DIRECTOR INDEPENDENCE
Page 242 - SIGNATURES
Page 243 - EXHIBIT INDEX
Page 244 - E-2
Page 245 - E-3
Page 246 - E-4
Page 247 - E-5
Page 248 - E-6
Page 249 - E-7
Page 250 - E-8
Subdocument 2 - EX-4.25 - EX-4.25
Page 1 - EXHIBIT 4.25
Page 2 - Global Bank Note Forms; Terms; Execution
Page 3 - Authorized Representatives
Page 4 - Reliance on Instructions; Request for Instructions
Page 5 - Payment of Principal
Page 6 - Bank Note Register; Registration, Transfer, Exchange; Persons Deemed Owners
Page 7 - Mutilated, Destroyed, Lost, or Stolen Global Bank Notes
Page 8 - Cancellation
Page 9 - provided
Page 10 - Acceleration of Maturity
Page 11 - Cancellation of Unissued Notes
Page 12 - provided
Page 13 - lisa.kovac@pnc.com
Page 14 - Benefit of Agreement
Page 15 - provided
Page 16 - Counterparts
Page 17 - N/A
Page 18 - N/A
Page 19 - N/A
Page 20 - N/A
Page 21 - N/A
Page 22 - N/A
Page 23 - N/A
Page 24 - N/A
Page 25 - N/A
Page 26 - N/A
Page 27 - N/A
Page 28 - N/A
Page 29 - N/A
Page 30 - N/A
Page 31 - N/A
Page 32 - N/A
Page 33 - N/A
Page 34 - N/A
Page 35 - N/A
Page 36 - N/A
Page 37 - N/A
Page 38 - N/A
Page 39 - N/A
Page 40 - GLOBAL SENIOR BANK NOTE
Page 41 - provided, however
Page 42 - N/A
Page 43 - N/A
Page 44 - N/A
Page 45 - N/A
Page 46 - N/A
Page 47 - In the event of the appointment of a receiver, liquidator or conservator for the Bank, the FDIC as c
Page 48 - N/A
Page 49 - N/A
Page 50 - N/A
Page 51 - ABBREVIATIONS
Page 52 - ASSIGNMENT
Page 53 - OPTION TO ELECT REPAYMENT
Page 54 - N/A
Page 55 - N/A
Page 56 - GLOBAL SENIOR BANK NOTE
Page 57 - N/A
Page 58 - provided
Page 59 - provided
Page 60 - N/A
Page 61 - N/A
Page 62 - provided
Page 63 - provided
Page 64 - e.g
Page 65 - Federal Funds Rate
Page 66 - LIBOR
Page 67 - provided
Page 68 - N/A
Page 69 - In the event of the appointment of a receiver, liquidator or conservator for the Bank, the FDIC as c
Page 70 - N/A
Page 71 - N/A
Page 72 - N/A
Page 73 - ABBREVIATIONS
Page 74 - ASSIGNMENT
Page 75 - OPTION TO ELECT REPAYMENT
Page 76 - N/A
Page 77 - N/A
Page 78 - N/A
Page 79 - N/A
Page 80 - N/A
Page 81 - N/A
Page 82 - N/A
Page 83 - N/A
Page 84 - N/A
Page 85 - N/A
Page 86 - Payment of principal on this Subordinated Note may be accelerated only in the case of an Event of De
Page 87 - N/A
Page 88 - N/A
Page 89 - N/A
Page 90 - N/A
Page 91 - ABBREVIATIONS
Page 92 - ASSIGNMENT
Page 93 - OPTION TO ELECT REPAYMENT
Page 94 - N/A
Page 95 - N/A
Page 96 - GLOBAL SUBORDINATED BANK NOTE
Page 97 - N/A
Page 98 - N/A
Page 99 - N/A
Page 100 - N/A
Page 101 - N/A
Page 102 - N/A
Page 103 - N/A
Page 104 - provided
Page 105 - N/A
Page 106 - Federal Funds Rate
Page 107 - provided
Page 108 - LIBOR
Page 109 - N/A
Page 110 - Payment of principal on this Subordinated Note may be accelerated only in the case of an Event of De
Page 111 - limitation, applicable capital regulations) then in effect, no repayment pursuant to an acceleration
Page 112 - N/A
Page 113 - N/A
Page 114 - N/A
Page 115 - N/A
Page 116 - ABBREVIATIONS
Page 117 - ASSIGNMENT
Page 118 - OPTION TO ELECT REPAYMENT
Subdocument 3 - EX-4.28 - EX-4.28
Page 1 - EXHIBIT 4.28
Page 2 - N/A
Page 3 - GLOBAL SENIOR BANK NOTE
Page 4 - N/A
Page 5 - N/A
Page 6 - N/A
Page 7 - N/A
Page 8 - N/A
Page 9 - N/A
Page 10 - provided
Page 11 - N/A
Page 12 - e.g.
Page 13 - N/A
Page 14 - LIBOR
Page 15 - N/A
Page 16 - In the event of the appointment of a receiver, liquidator or conservator for the Bank, the FDIC as c
Page 17 - provided
Page 18 - N/A
Page 19 - N/A
Page 20 - ABBREVIATIONS
Page 21 - ASSIGNMENT
Page 22 - Extension of Maturity
Page 23 - N/A
Page 24 - N/A
Page 25 - N/A
Page 26 - N/A
Page 27 - Applicable Extension Date
Subdocument 4 - EX-10.1.3 - EX-10.1.3
Page 1 - EXHIBIT 10.1.3
Page 2 - Participant
Page 3 - Amendment and Termination
Page 4 - Liability of the Board and the Committee
Page 5 - The PNC Financial Services Group, Inc. Supplemental Executive Retirement Plan
Subdocument 5 - EX-10.2.4 - EX-10.2.4
Page 1 - EXHIBIT 10.2.4
Page 2 - Administration; Delegation
Page 3 - Amendment and Termination
Page 4 - Construction
Page 5 - The PNC Financial Services Group, Inc. ERISA Excess Pension Plan
Subdocument 6 - EX-10.4.2 - EX-10.4.2
Page 1 - EXHIBIT 10.4.2
Page 2 - Administration; Delegation
Page 3 - Corporation and Affiliate Liability
Page 4 - The PNC Financial Services Group, Inc. Supplemental Incentive Savings Plan
Subdocument 7 - EX-10.5.6 - EX-10.5.6
Page 1 - EXHIBIT 10.5.6
Page 2 - pro rata
Page 3 - Liability of the Board and the Committee
Page 4 - The PNC Financial Services Group, Inc. Deferred Compensation Plan
Subdocument 8 - EX-10.6.2 - EX-10.6.2
Page 1 - EXHIBIT 10.6.2
Page 2 - Administration; Delegation
Page 3 - [Signature Page to Amendment 2013-1 to
Subdocument 9 - EX-10.16 - EX-10.16
Page 1 - EXHIBIT 10.16
Page 2 - Corporation
Page 3 - Plan Year
Page 4 - 2.2 Payroll Deductions.
Page 5 - ARTICLE III. PURCHASE OF SHARES
Page 6 - 4.2 Adjustment for Changes in Common Stock.
Page 7 - 5.3 Ceasing to be an Employee of a Designated Subsidiary.
Page 8 - 6.4 Application of Funds.
Subdocument 10 - EX-10.36 - EX-10.36
Page 1 - EXHIBIT 10.36
Page 2 - Terms of Award
Page 3 - Additional Conditions
Page 4 - Qualifying Retirement Termination
Page 5 - Termination for Cause
Page 6 - Suspension and Forfeiture Related to Judicial Criminal Proceedings
Page 7 - Settlement
Page 8 - No Rights as Shareholder Until Issuance of Shares
Page 9 - Prohibitions Against Sale, Assignment, etc.; Payment to Legal Representative
Page 10 - Employment
Page 11 - Board
Page 12 - CEO
Page 13 - Compensation Committee
Page 14 - Competitive Activity
Page 15 - Disabled
Page 16 - Plan
Page 17 - Grantee Covenants
Page 18 - Ownership of Inventions
Page 19 - Severability
Page 20 - Subject to the Plan and Interpretations
Page 21 - N/A
Page 22 - Definitions
Page 23 - Dividend Equivalents
Page 24 - Payment
Page 25 - Forfeiture Upon Failure to Meet Service Requirements
Page 26 - Forfeiture Upon Termination for Cause or Pursuant to Detrimental Conduct Provisions
Page 27 - Suspension and Forfeiture Related to Judicial Criminal Proceedings
Page 28 - Settlement
Page 29 - No Rights as Shareholder Until Issuance of Shares
Page 30 - Prohibitions Against Sale, Assignment, etc.; Payment to Legal Representative
Page 31 - Employment
Page 32 - Board
Page 33 - CEO
Page 34 - Compensation Committee
Page 35 - Consolidated Subsidiary
Page 36 - Disabled
Page 37 - Restricted Share Units
Page 38 - No-Hire
Page 39 - Enforcement Provisions
Page 40 - Applicable Law; Clawback
Page 41 - N/A
Page 42 - Definitions
Page 43 - Tranches
Page 44 - Dividend Equivalents
Page 45 - Payment
Page 46 - Detrimental Conduct
Page 47 - Vesting and Settlement of Restricted Share Units
Page 48 - Payout Timing
Page 49 - No Rights as Shareholder Until Issuance of Shares
Page 50 - Prohibitions Against Sale, Assignment, etc.; Payment to Legal Representative
Page 51 - Employment
Page 52 - CEO
Page 53 - Compensation Committee
Page 54 - Consolidated Subsidiary
Page 55 - Dividend Equivalents
Page 56 - Share
Page 57 - Ownership of Inventions
Page 58 - Severability
Page 59 - Headings; Entire Agreement
Page 60 - N/A
Page 61 - Definitions
Page 62 - Terms of Award
Page 63 - Dividend Equivalents
Page 64 - Forfeiture of Award Upon Failure to Meet Service Requirements
Page 65 - Termination for Cause
Page 66 - Performance Conditions and Related Annual Performance Factors
Page 67 - First Risk Performance Condition and Related Annual Performance Factor
Page 68 - not
Page 69 - not
Page 70 - Risk Performance Review Criteria
Page 71 - Change of Control
Page 72 - Performance Adjustment of Outstanding Share Units
Page 73 - Termination of Portions of Award Due to Performance Adjustments
Page 74 - Settlement
Page 75 - Settlement Where Vesting Occurs Prior to Change of Control
Page 76 - Disputes
Page 77 - Form of Payment
Page 78 - phantom investment amount for the related Dividend Equivalents base amount
Page 79 - Prohibitions Against Sale, Assignment, etc.; Payment to Legal Representative
Page 80 - Employment
Page 81 - CEO
Page 82 - Compensation Committee
Page 83 - Consolidated Subsidiary
Page 84 - Disabled
Page 85 - Person
Page 86 - Earnings Adjustments
Page 87 - Grantee Covenants
Page 88 - Ownership of Inventions
Page 89 - Reform
Page 90 - Headings; Entire Agreement
Page 91 - N/A
Subdocument 11 - EX-12.1 - EX-12.1
Page 1 - N/A
Subdocument 12 - EX-12.2 - EX-12.2
Page 1 - N/A
Subdocument 13 - EX-21 - EX-21
Page 1 - EXHIBIT 21
Subdocument 14 - EX-23.1 - EX-23.1
Page 1 - EXHIBIT 23.1
Subdocument 15 - EX-23.2 - EX-23.2
Page 1 - EXHIBIT 23.2
Subdocument 16 - EX-24 - EX-24
Page 1 - EXHIBIT 24
Page 2 - N/A
Page 3 - N/A
Page 4 - N/A
Subdocument 17 - EX-31.1 - EX-31.1
Page 1 - EXHIBIT 31.1
Subdocument 18 - EX-31.2 - EX-31.2
Page 1 - EXHIBIT 31.2
Subdocument 19 - EX-32.1 - EX-32.1
Page 1 - EXHIBIT 32.1
Subdocument 20 - EX-32.2 - EX-32.2
Page 1 - EXHIBIT 32.2
Subdocument 21 - EX-99.1 - EX-99.1
Page 1 - EXHIBIT 99.1
Page 2 - Internal Control Integrated Framework (1992)
Page 3 - N/A
Page 4 - N/A
Page 5 - N/A
Page 6 - N/A
Page 7 - N/A
Page 8 - N/A
Page 9 - N/A
Page 10 - 1. Introduction and Basis of Presentation
Page 11 - Consolidation.
Page 12 - Separate Account Collateral Assets Held and Liabilities Under Securities Lending Agreements.
Page 13 - Noncontrolling Interests.
Page 14 - BlackRock Solutions and Advisory
Page 15 - Earnings per Share ( EPS )
Page 16 - Level 3 Inputs:
Page 17 - Accounting Pronouncements Adopted in 2013
Page 18 - Held-to-Maturity Investments
Page 19 - 4. Consolidated Sponsored Investment Funds
Page 20 - 5. Fair Value Disclosures
Page 21 - N/A
Page 22 - N/A
Page 23 - Level 3 Assets.
Page 24 - N/A
Page 25 - Realized and Unrealized Gains (Losses) for Level 3 Assets and Liabilities.
Page 26 - Assets of Consolidated VIEs.
Page 27 - Investments in Certain Entities that Calculate Net Asset Value Per Share
Page 28 - Fair Value Option.
Page 29 - 6. Variable Interest Entities
Page 30 - CDOs/CLOs
Page 31 - 9. Goodwill
Page 32 - Indefinite-Lived Acquired Management Contracts
Page 33 - Long-Term Borrowings
Page 34 - 13. Commitments and Contingencies
Page 35 - 14. Stock-Based Compensation
Page 36 - Long-Term Incentive Plans Funded by PNC.
Page 37 - Other Deferred Compensation Plans.
Page 38 - Revenue from Related Parties
Page 39 - Barclays
Page 40 - Broker-dealers.
Page 41 - May 2012 PNC Capital Exchange.
Page 42 - N/A
Page 43 - 20. Restructuring Charges
Page 44 - Goodwill
Page 45 - 22. Earnings Per Share
Page 46 - 24. Selected Quarterly Financial Data (unaudited)
Page 47 - 25. Subsequent Events
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