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Fair Value of Financial Instruments (Tables)
6 Months Ended
Jun. 30, 2015
Fair Value Disclosures [Abstract]  
Estimated Fair Values of Financial Instruments

The following table presents the carrying amounts and estimated fair values for the dates indicated and the fair value hierarchy of the Company’s financial instruments.

 

        June 30,        
        2015     2014     December 31, 2014  
    Fair
Value
Hierarchy
  Carrying
Amount
    Estimated
Fair

Value
    Carrying
Amount
    Estimated
Fair

Value
    Carrying
Amount
    Estimated
Fair

Value
 
                    (Dollars in thousands)              

Financial assets:

             

Cash and cash equivalents

  Level 1   $ 514,890      $ 514,890      $ 110,688      $ 110,688      $ 150,203      $ 150,203   

Investment securities AFS

  Levels 1, 2
and 3
    782,277        782,277        892,129        892,129        839,321        839,321   

Loans and leases, net of ALLL

  Level 3     6,537,222        6,469,690        4,528,696        4,480,221        5,074,899        5,042,831   

FDIC loss share receivable

  Level 3     0        0        50,679        50,600        0        0   

Financial liabilities:

             

Demand, savings and interest bearing transaction deposits

  Level 1   $ 4,966,330      $ 4,966,330      $ 3,807,139      $ 3,807,139      $ 4,038,443      $ 4,038,443   

Time deposits

  Level 2     2,120,969        2,142,807        1,176,758        1,177,108        1,457,939        1,463,590   

Repurchase agreements with customers

  Level 1     70,011        70,011        55,999        55,999        65,578        65,578   

Other borrowings

  Level 2     161,931        171,614        280,875        304,381        190,855        203,493   

FDIC clawback payable

  Level 3     0        0        26,533        26,533        0        0   

Subordinated debentures

  Level 2     117,403        66,679        64,950        32,554        64,950        39,103