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Fair Value Measurement of Assets and Liabilities - Carrying Amounts and Estimated Fair Values of Financial Instruments (Detail) - USD ($)
$ in Thousands
Jun. 30, 2015
Dec. 31, 2014
Fair value and carrying amounts of assets and liabilities not measured and not reported at fair value on the consolidated statement of financial condition    
Interest bearing deposits with banks $ 206,619 $ 367,838
Total investment securities held to maturity 1,739,295 1,815,976
Accrued interest receivable 58,278 57,333
Deposits with stated maturities 2,915,889 2,742,468
Carrying Amount    
Fair value and carrying amounts of assets and liabilities not measured and not reported at fair value on the consolidated statement of financial condition    
Total investment securities held to maturity 1,720,575 1,778,316
Carrying Amount | Quoted Prices in Active Markets for Identical Assets (Level 1)    
Fair value and carrying amounts of assets and liabilities not measured and not reported at fair value on the consolidated statement of financial condition    
Cash and due from banks 266,586 462,569
Interest bearing deposits with banks 206,619 367,838
Accrued interest receivable 58,278 57,333
Federal Reserve Bank and Federal Home Loan Bank stock 137,229 133,117
Deposits without stated maturities 11,415,142 11,291,648
Short-term borrowings 126,148 146,781
Accrued interest payable 15,225 15,526
Carrying Amount | Quoted Prices in Active Markets for Identical Assets (Level 1) | U.S. Treasury securities    
Fair value and carrying amounts of assets and liabilities not measured and not reported at fair value on the consolidated statement of financial condition    
Total investment securities held to maturity 139,051 139,121
Carrying Amount | Significant Other Observable Inputs (Level 2)    
Fair value and carrying amounts of assets and liabilities not measured and not reported at fair value on the consolidated statement of financial condition    
Deposits with stated maturities 2,915,889 2,742,468
Long-term borrowings 2,625,116 2,526,408
Junior subordinated debentures issued to capital trusts 41,333 41,252
Carrying Amount | Significant Other Observable Inputs (Level 2) | U.S. government agency securities    
Fair value and carrying amounts of assets and liabilities not measured and not reported at fair value on the consolidated statement of financial condition    
Total investment securities held to maturity 13,523 14,081
Carrying Amount | Significant Other Observable Inputs (Level 2) | Obligations of states and political subdivisions    
Fair value and carrying amounts of assets and liabilities not measured and not reported at fair value on the consolidated statement of financial condition    
Total investment securities held to maturity 498,128 500,018
Carrying Amount | Significant Other Observable Inputs (Level 2) | Residential mortgage-backed securities    
Fair value and carrying amounts of assets and liabilities not measured and not reported at fair value on the consolidated statement of financial condition    
Total investment securities held to maturity 965,647 986,992
Carrying Amount | Significant Other Observable Inputs (Level 2) | Trust preferred securities    
Fair value and carrying amounts of assets and liabilities not measured and not reported at fair value on the consolidated statement of financial condition    
Total investment securities held to maturity 79,617 98,456
Carrying Amount | Significant Other Observable Inputs (Level 2) | Corporate and other debt securities    
Fair value and carrying amounts of assets and liabilities not measured and not reported at fair value on the consolidated statement of financial condition    
Total investment securities held to maturity 24,609 39,648
Carrying Amount | Significant Unobservable Inputs (Level 3)    
Fair value and carrying amounts of assets and liabilities not measured and not reported at fair value on the consolidated statement of financial condition    
Net loans 14,377,459 13,371,560
Fair Value    
Fair value and carrying amounts of assets and liabilities not measured and not reported at fair value on the consolidated statement of financial condition    
Total investment securities held to maturity 1,739,295 1,815,976
Fair Value | Quoted Prices in Active Markets for Identical Assets (Level 1)    
Fair value and carrying amounts of assets and liabilities not measured and not reported at fair value on the consolidated statement of financial condition    
Cash and due from banks 266,586 462,569
Interest bearing deposits with banks 206,619 367,838
Accrued interest receivable 58,278 57,333
Federal Reserve Bank and Federal Home Loan Bank stock 137,229 133,117
Deposits without stated maturities 11,415,142 11,291,648
Short-term borrowings 126,148 146,781
Accrued interest payable 15,225 15,526
Fair Value | Quoted Prices in Active Markets for Identical Assets (Level 1) | U.S. Treasury securities    
Fair value and carrying amounts of assets and liabilities not measured and not reported at fair value on the consolidated statement of financial condition    
Total investment securities held to maturity 150,076 151,300
Fair Value | Significant Other Observable Inputs (Level 2)    
Fair value and carrying amounts of assets and liabilities not measured and not reported at fair value on the consolidated statement of financial condition    
Deposits with stated maturities 2,981,525 2,807,522
Long-term borrowings 2,833,408 2,738,122
Junior subordinated debentures issued to capital trusts 43,989 44,584
Fair Value | Significant Other Observable Inputs (Level 2) | U.S. government agency securities    
Fair value and carrying amounts of assets and liabilities not measured and not reported at fair value on the consolidated statement of financial condition    
Total investment securities held to maturity 13,802 14,385
Fair Value | Significant Other Observable Inputs (Level 2) | Obligations of states and political subdivisions    
Fair value and carrying amounts of assets and liabilities not measured and not reported at fair value on the consolidated statement of financial condition    
Total investment securities held to maturity 512,399 519,693
Fair Value | Significant Other Observable Inputs (Level 2) | Residential mortgage-backed securities    
Fair value and carrying amounts of assets and liabilities not measured and not reported at fair value on the consolidated statement of financial condition    
Total investment securities held to maturity 969,548 998,981
Fair Value | Significant Other Observable Inputs (Level 2) | Trust preferred securities    
Fair value and carrying amounts of assets and liabilities not measured and not reported at fair value on the consolidated statement of financial condition    
Total investment securities held to maturity 66,468 86,243
Fair Value | Significant Other Observable Inputs (Level 2) | Corporate and other debt securities    
Fair value and carrying amounts of assets and liabilities not measured and not reported at fair value on the consolidated statement of financial condition    
Total investment securities held to maturity 27,002 45,374
Fair Value | Significant Unobservable Inputs (Level 3)    
Fair value and carrying amounts of assets and liabilities not measured and not reported at fair value on the consolidated statement of financial condition    
Net loans $ 14,104,550 $ 13,085,830