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FAIR VALUE (Details 5)
9 Months Ended
Sep. 30, 2013
Valuation Methodologies  
Minimum number of quoted market prices used in determining fair value of available-for-sale investment securities 2
Number of trust preferred securities included in Level 3 available-for-sale securities 4
Percentage of total available-for-sale securities represented by Level 3 available-for-sale securities, maximum 1.00%
Minimum number of quoted market prices traditionally used in determining fair value of level 3 available-for-sale securities 2
Equity swap agreements
 
Valuation Methodologies  
Term of contract 5 years
Foreign exchange options
 
Valuation Methodologies  
Term of contract 5 years