Quarterly report pursuant to Section 13 or 15(d)

Our Portfolio - Summary of Anticipated Maturity Dates of Financing Receivables and Investments and Weighted Average Yield (Details)

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Our Portfolio - Summary of Anticipated Maturity Dates of Financing Receivables and Investments and Weighted Average Yield (Details)
$ in Millions
6 Months Ended
Jun. 30, 2020
USD ($)
Maturities by period (excluding allowance)  
Total $ 1,128
Less than 1 year 1
1-5 years 174
5-10 years 309
More than 10 years $ 644
Weighted average yield by period  
Total 8.10%
Less than 1 year 4.30%
1-5 years 7.10%
5-10 years 8.90%
More than 10 years 7.60%
Maturities by period  
Total $ 46
Less than 1 year 0
1-5 years 0
5-10 years 0
More than 10 years $ 46
Weighted average yield by period  
Total 3.90%
Less than 1 year 0.00%
1-5 years 0.00%
5-10 years 0.00%
More than 10 years 3.90%