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Pledged Assets
12 Months Ended
Dec. 31, 2011
Pledged Assets [Abstract]  
Pledged Assets

Note 10 — Pledged Assets

The Company has pledged certain securities and loans to collateralize lines of credit and/or borrowings with the Federal Reserve Bank of Chicago and the FHLB of Indianapolis and other potential future obligations. The following table details pledged asset by asset class, and the carrying value of pledged assets and the asset maturities.

 

                                     
    December 31, 2011         December 31, 2010  
    Carrying
Value
    Maturities         Carrying
Value
    Maturities  
   

 

 

 
    (Dollars in thousands)  

Cash pledged for letter of credit

  $ 14,546               $ 17,353        

Securities classified as trading:

                           

U.S. Treasury bonds

    184,601       Various           158,754       2012  

Securities classified as available-for-sale:

                           

U.S. government sponsored agencies

                    279       2015-2032  

Non-agency collateralized mortgage obligation securities obligations

    110,328       2036           136,707       2036  

Loans:

                           

Residential first mortgage

    4,444,186       Various           5,122,456       Various  

Second mortgage

    128,113       Various           202       Various  

HELOC

    33,505       Various           253,030       Various  

Commercial real estate

    504,579       Various           554,382       Various  

Loans repurchased with government guarantees

    1,741,857       Various           1,573,106       Various  
   

 

 

               

 

 

         

Totals

  $ 7,161,715                 $ 7,816,269