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Securities (Details 3) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 9 Months Ended
Sep. 30, 2012
Sep. 30, 2011
Sep. 30, 2012
Sep. 30, 2011
Dec. 31, 2011
Available-for-sale securities          
Impairment losses recognized in earnings on other-than-temporarily impaired securities $ 39 $ 193 $ 217 $ 651  
Non-credit-related losses other-than-temporary impairment on available-for-sale securities 1,471 4,356 1,471 4,356  
Credit related other-than-temporary impairment recognized in earnings          
Fair value of total securities available-for-sale 7,872,064   7,872,064   7,571,901
Non-agency CMOs
         
Credit related other-than-temporary impairment recognized in earnings          
Fair value of total securities available-for-sale 64,489   64,489   69,001
Variable rate non-agency CMOs
         
Available-for-sale securities          
Impairment losses recognized in earnings on other-than-temporarily impaired securities 39 200 200 700  
Credit related other-than-temporary impairment recognized in earnings          
Fair value of total securities available-for-sale 45,900   45,900    
Fixed rate non-agency CMOs
         
Credit related other-than-temporary impairment recognized in earnings          
Fair value of total securities available-for-sale 18,600   18,600    
Total debt securities
         
Credit related other-than-temporary impairment recognized in earnings          
Balance, beginning of period 17,366 17,293 17,531 17,923  
Subsequent credit-related impairment 39 193 217 651  
Reduction for securities sold or redeemed (537)   (537) (455)  
(Increase) decrease in expected cash flows on securities for which OTTI was previously recognized (267) 508 (610) (125)  
Balance, end of period 16,601 17,994 16,601 17,994  
Fair value of total securities available-for-sale $ 7,871,243   $ 7,871,243   $ 7,570,674