| Customer Deposits |
NOTE 8 Customer Deposits As of December 31, customer deposits were categorized as interest-bearing or non-interest-bearing as follows: | (Millions) | | 2014 | | 2013 | | U.S.: | | | | | | | | Interest-bearing | | $ | 43,279 | | $ | 40,831 | | Non-interest-bearing (includes Card Member credit balances of: 2014, $372 million; 2013, $340 million) | | | 418 | | | 360 | | Non-U.S.: | | | | | | | | Interest-bearing | | | 115 | | | 121 | | Non-interest-bearing (includes Card Member credit balances of: 2014, $347 million; 2013, $437 million) | | | 359 | | | 451 | | Total customer deposits | | $ | 44,171 | | $ | 41,763 |
Customer deposits by deposit type as of December 31 were as follows: | (Millions) | | 2014 | | 2013 | | U.S. retail deposits: | | | | | | | | Savings accounts ― Direct | | $ | 26,159 | | $ | 24,550 | | Certificates of deposit: | | | | | | | | | Direct | | | 333 | | | 489 | | | Third-party | | | 7,838 | | | 6,929 | | Sweep accounts ―Third-party | | | 8,949 | | | 8,863 | | Other retail deposits: | | | | | | | | Non-U.S. deposits and U.S. non-interest bearing deposits | | | 173 | | | 155 | | Card Member credit balances ― U.S. and non-U.S. | | | 719 | | | 777 | | Total customer deposits | | $ | 44,171 | | $ | 41,763 |
The scheduled maturities of certificates of deposit as of December 31, 2014 were as follows: | (Millions) | | U.S. | | Non-U.S. | | Total | | 2015 | | | 1,744 | | $ | 21 | | $ | 1,765 | | 2016 | | | 2,136 | | | ― | | | 2,136 | | 2017 | | | 1,491 | | | ― | | | 1,491 | | 2018 | | | 1,480 | | | ― | | | 1,480 | | 2019 | | | 1,304 | | | ― | | | 1,304 | | After 5 years | | | 16 | | | ― | | | 16 | | Total | | $ | 8,171 | | $ | 21 | | $ | 8,192 |
As of December 31, certificates of deposit in denominations of $250,000 or more, in the aggregate, were as follows: | (Millions) | | 2014 | | 2013 | | U.S. | | $ | 111 | | $ | 148 | | Non-U.S. | | | 17 | | | ― | | Total | | $ | 128 | | $ | 148 |
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