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Fair Value Measurements (Details 3) (USD $)
In Thousands
Jun. 30, 2011
Dec. 31, 2010
Assets:    
Loans held for investment, net $ 5,206,007 $ 5,717,316
Investments carried at cost 32,826 33,062
Held-to-maturity, at amortized cost 136,250 184,473
Liabilities:    
Deposits 4,785,790 4,621,273
Credit facilities   67,508
Term debt 697,910 979,254
Convertible debt, net 528,909 523,650
Subordinated debt 440,168 437,286
Carrying Value [Member]
   
Assets:    
Loans held for investment, net 5,206,007 5,717,316
Investments carried at cost 32,826 33,062
Held-to-maturity, at amortized cost 136,250 184,473
Liabilities:    
Deposits 4,785,790 4,621,273
Credit facilities 0 67,508
Term debt 697,910 979,254
Convertible debt, net 528,909 523,650
Subordinated debt 440,168 437,286
Loan commitments and letters of credit 0 0
Fair Value [Member]
   
Assets:    
Loans held for investment, net 5,275,206 5,767,160
Investments carried at cost 62,834 64,735
Held-to-maturity, at amortized cost 142,302 195,438
Liabilities:    
Deposits 4,792,446 4,628,903
Credit facilities 0 66,464
Term debt 690,388 921,169
Convertible debt, net 539,898 539,297
Subordinated debt 255,297 253,626
Loan commitments and letters of credit $ 21,255 $ 32,972