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Fair Value Of Financial Instruments (Tables)
3 Months Ended
Mar. 31, 2012
Fair Value Of Financial Instruments [Abstract]  
Schedule Of Estimated Fair Value Of Financial Instruments
 
March 31, 2012
December 31, 2011

(In thousands)
Carrying
Amount
Estimated
Fair Value
Carrying
Amount
Estimated
Fair Value
Financial Assets
    
    
Loans:
Business
$
2,920,237

$
2,933,184

$
2,808,265

$
2,820,005

Real estate - construction and land
376,642

379,239

386,598

388,723

Real estate - business
2,203,686

2,228,049

2,180,100

2,197,535

Real estate - personal
1,458,467

1,497,628

1,428,777

1,485,028

Consumer
1,113,481

1,141,300

1,114,889

1,136,798

Revolving home equity
448,169

455,468

463,587

471,086

Consumer credit card
723,759

737,158

788,701

780,808

Overdrafts
3,530

3,530

6,561

6,561

Loans held for sale
9,673

9,684
 
31,076

33,279

Investment securities:
Available for sale
9,120,399

9,120,399

9,224,702

9,224,702

Trading
34,178

34,178

17,853

17,853

Non-marketable
120,734

120,734

115,832

115,832

Federal funds sold
40,925

40,925

11,870

11,870

Securities purchased under agreements to resell
850,000

864,157

850,000

864,089

Interest earning deposits with banks
12,038

12,038

39,853

39,853

Cash and due from banks
381,462

381,462

465,828

465,828

Derivative instruments
18,785

18,785

21,537

21,537

Financial Liabilities
Non-interest bearing deposits
$
5,209,381

$
5,209,381

$
5,377,549

$
5,377,549

Savings, interest checking and money market deposits
9,038,283

9,038,283

8,933,941

8,933,941

Time open and certificates of deposit
2,524,096

2,531,391

2,488,393

2,493,727

Federal funds purchased
110,845

110,845

153,330

153,330

Securities sold under agreements to repurchase
1,012,143

1,010,437

1,102,751

1,099,883

Other borrowings
111,520

124,894

111,817

126,397

Derivative instruments
20,076

20,076

22,722

22,722