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Junior Subordinated Debentures (Summary Of The Company's Junior Subordinated Debentures) (Details) (USD $)
6 Months Ended
Jun. 30, 2011
Dec. 31, 2010
Jun. 30, 2010
Junior subordinated debentures $ 249,493,000 $ 249,493,000 $ 249,493,000
Maturity Date Dec. 15, 2013    
Wintrust Capital Trust III [Member]
     
Common Securities 774,000    
Trust preferred securities 25,000,000    
Junior subordinated debentures 25,774,000    
Rate Structure L+3.25    
Contractual rate 3.53%    
Issue Date 04/2003    
Maturity Date Apr. 01, 2033    
Earliest Redemption Date 04/2008    
Wintrust Statutory Trust IV [Member]
     
Common Securities 619,000    
Trust preferred securities 20,000,000    
Junior subordinated debentures 20,619,000    
Rate Structure L+2.80    
Contractual rate 3.05%    
Issue Date 12/2003    
Maturity Date Dec. 01, 2033    
Earliest Redemption Date 12/2008    
Wintrust Statutory Trust V [Member]
     
Common Securities 1,238,000    
Trust preferred securities 40,000,000    
Junior subordinated debentures 41,238,000    
Rate Structure L+2.60    
Contractual rate 2.85%    
Issue Date 05/2004    
Maturity Date May 01, 2034    
Earliest Redemption Date 06/2009    
Wintrust Capital Trust VII [Member]
     
Common Securities 1,550,000    
Trust preferred securities 50,000,000    
Junior subordinated debentures 51,550,000    
Rate Structure L+1.95    
Contractual rate 2.20%    
Issue Date 12/2004    
Maturity Date Mar. 01, 2035    
Earliest Redemption Date 03/2010    
Wintrust Capital Trust VIII [Member]
     
Common Securities 1,238,000    
Trust preferred securities 40,000,000    
Junior subordinated debentures 41,238,000    
Rate Structure L+1.45    
Contractual rate 1.70%    
Issue Date 08/2005    
Maturity Date Sep. 01, 2035    
Earliest Redemption Date 09/2010    
Wintrust Captial Trust IX [Member]
     
Common Securities 1,547,000    
Trust preferred securities 50,000,000    
Junior subordinated debentures 51,547,000    
Rate Structure Fixed    
Contractual rate 6.84%    
Issue Date 09/2006    
Maturity Date Sep. 01, 2036    
Earliest Redemption Date 09/2011    
Northview Capital Trust I [Member]
     
Common Securities 186,000    
Trust preferred securities 6,000,000    
Junior subordinated debentures 6,186,000    
Rate Structure L+3.00    
Contractual rate 3.27%    
Issue Date 08/2003    
Maturity Date Nov. 01, 2033    
Earliest Redemption Date 08/2008    
Town Bankshares Capital Trust I [Member]
     
Common Securities 186,000    
Trust preferred securities 6,000,000    
Junior subordinated debentures 6,186,000    
Rate Structure L+3.00    
Contractual rate 3.27%    
Issue Date 08/2003    
Maturity Date Nov. 01, 2033    
Earliest Redemption Date 08/2008    
First Northwest Capital Trust I [Member]
     
Common Securities 155,000    
Trust preferred securities 5,000,000    
Junior subordinated debentures $ 5,155,000    
Rate Structure L+3.00    
Contractual rate 3.25%    
Issue Date 05/2004    
Maturity Date May 01, 2034    
Earliest Redemption Date 05/2009