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Investment Securities (Tables)
3 Months Ended
Mar. 31, 2015
Investment Securities [Abstract]  
Schedule Of FHN's Investment Securities
The following tables summarize FHN’s investment securities on March 31, 2015 and 2014:
March 31, 2015
  Gross  Gross
AmortizedUnrealizedUnrealizedFair
(Dollars in thousands)CostGainsLossesValue
Securities available-for-sale ("AFS"):    
U.S. treasuries$100  $-  $-$100  
Government agency issued mortgage-backed securities ("MBS")727,828  35,718  (696)762,850  
Government agency issued collateralized mortgage obligations ("CMO")2,691,544  35,030  (10,427)2,716,147  
Other U.S. government agencies 1,655  36  -1,691  
States and municipalities9,905  -  -9,905  
Equity and other (a)181,834  -  (196)181,638  
Total securities available-for-sale (b)$3,612,866  $70,784  $(11,319)$3,672,331  
Securities held-to-maturity ("HTM"):
States and municipalities$4,299$1,152$-$5,451
Total securities held-to-maturity$4,299$1,152$-$5,451

  • Includes restricted investments in FHLB-Cincinnati stock of $87.9 million and FRB stock of $66.0 million. The remainder is money market and cost method investments.
  • Includes $3.2 billion of securities pledged to secure public deposits, securities sold under agreements to repurchase, and for other purposes.

  March 31, 2014
  Gross  Gross
AmortizedUnrealizedUnrealizedFair
(Dollars in thousands)CostGainsLossesValue
Securities available-for-sale:      
U.S. treasuries  $39,989  $1  $-$39,990  
Government agency issued MBS 762,069  34,332  (3,839)792,562  
Government agency issued CMO   2,565,310  13,996  (47,536)2,531,770  
Other U.S. government agencies   2,078  104  -2,182  
States and municipalities  15,155  -  -15,155  
Equity and other (a)189,543  -  (23)189,520  
Total securities available-for-sale (b)$3,574,144  $48,433  $(51,398)$3,571,179  
Securities held-to-maturity:
States and municipalities$4,274$1,180$-$5,454
Total securities held-to-maturity$4,274$1,180$-$5,454

  • Includes restricted investments in FHLB-Cincinnati stock of $87.9 million and FRB stock of $66.0 million. The remainder is money market, venture capital, and cost method investments.
  • Includes $3.3 billion of securities pledged to secure public deposits, securities sold under agreements to repurchase, and for other purposes.
Schedule Of Amortized Cost And Fair Value By Contractual Maturity
The amortized cost and fair value by contractual maturity for the available-for-sale and held-to-maturity securities portfolios on March 31, 2015, are provided below:
Held-to-Maturity Available-for-Sale
AmortizedFairAmortized  Fair
(Dollars in thousands)CostValueCostValue
Within 1 year$-$-$1,655  $1,691  
After 1 year; within 5 years--1,600  1,600  
After 5 years; within 10 years---  -  
After 10 years4,2995,4518,405  8,405  
Subtotal4,2995,45111,660  11,696  
Government agency issued MBS and CMO (a)--3,419,372  3,478,997  
Equity and other--181,834  181,638  
Total$4,299$5,451$3,612,866  $3,672,331  

Expected maturities will differ from contractual maturities because borrowers may have the right to call or prepay obligations with or without call or prepayment penalties.

Schedule Of Gross Gains And Losses On Sale From Available For Sale Portfolio
The table below provides information on gross gains and gross losses from investment securities for the three months ended March 31:
Available-for-sale
(Dollars in thousands)  2015  2014
Gross gains on sales of securities $276  $5,657
Gross (losses) on sales of securities  -  -
Net gain/(loss) on sales of securities (a)$276  $5,657

Proceeds for the three months ended March 31, 2015 were $.3 million. Proceeds for the three months ended March 31, 2014 were $5.7 million, inclusive of $1.4 million of equity securities.

Schedule Of Investments Within The Available For Sale Portfolio That Had Unrealized Losses
The following tables provide information on investments within the available-for-sale portfolio that had unrealized losses as of March 31, 2015 and 2014:
As of March 31, 2015
Less than 12 months 12 months or longer  Total
Fair  UnrealizedFair  Unrealized  Fair  Unrealized
(Dollars in thousands)ValueLossesValueLossesValueLosses
Government agency issued CMO$417,267  $(1,729)$485,053$(8,698)$902,320$(10,427)
Government agency issued MBS25,712(79)34,853(617)60,565(696)
Total debt securities442,979(1,808)519,906(9,315)962,885(11,123)
Equity887(161)9(35)896(196)
Total temporarily impaired securities$443,866$(1,969)$519,915$(9,350)$963,781$(11,319)

As of March 31, 2014
Less than 12 months 12 months or longer  Total
Fair  UnrealizedFair  Unrealized  Fair  Unrealized
(Dollars in thousands)ValueLossesValueLossesValueLosses
Government agency issued CMO$1,637,064  $(43,221)$77,904  $(4,315)  $1,714,968  $(47,536)
Government agency issued MBS144,901  (3,839)-  -  144,901  (3,839)
Total debt securities1,781,965(47,060)77,904(4,315)1,859,869(51,375)
Equity43(23)--43(23)
Total temporarily impaired securities$1,782,008  $(47,083)$77,904  $(4,315)  $1,859,912  $(51,398)