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Other Real Estate Owned (Tables)
9 Months Ended
Sep. 30, 2014
Other Real Estate Owned Roll Forward [Table Text Block]
     
 For the quarter ended September 30, 2014
 Non-coveredNon-coveredCoveredCovered 
 OREOOREOOREOOREO 
(In thousands)Commercial/ ConstructionMortgageCommercial/ ConstructionMortgageTotal
Balance at beginning of period$ 49,787$ 89,633$ 107,905$ 47,900$ 295,225
Write-downs in value (2,714) (1,844) (5,839) (2,222) (12,619)
Additions 2,853 15,787 10,693 7,276 36,609
Sales (5,148) (13,008) (7,077) (7,057) (32,290)
Other adjustments (1) (89) (812) 615 (287)
Ending balance$ 44,777$ 90,479$ 104,870$ 46,512$ 286,638

     
 For the nine months ended September 30, 2014
 Non-coveredNon-coveredCoveredCovered 
 OREOOREOOREOOREO 
(In thousands)Commercial/ ConstructionMortgageCommercial/ ConstructionMortgageTotal
Balance at beginning of period$ 48,649$ 86,852$ 120,215$ 47,792$ 303,508
Write-downs in value (3,499) (2,952) (17,037) (3,369) (26,857)
Additions 13,824 46,070 46,147 15,870 121,911
Sales (15,482) (37,274) (40,290) (13,211) (106,257)
Other adjustments 1,285 (2,217) (4,165) (570) (5,667)
Ending balance$ 44,777$ 90,479$ 104,870$ 46,512$ 286,638

     
 For the quarter ended September 30, 2013
 Non-coveredNon-coveredCoveredCovered 
 OREOOREOOREOOREO 
(In thousands)Commercial/ ConstructionMortgageCommercial/ ConstructionMortgageTotal
Balance at beginning of period$ 65,125$ 93,795$ 138,885$ 44,340$ 342,145
Write-downs in value (2,881) (661) (10,288) (1,381) (15,211)
Additions 4,340 14,184 21,345 6,247 46,116
Sales (16,157) (22,111) (35,902) (3,278) (77,448)
Other adjustments - (132) 240 (240) (132)
Ending balance$ 50,427$ 85,075$ 114,280$ 45,688$ 295,470

     
 For the nine months ended September 30, 2013
 Non-coveredNon-coveredCoveredCovered 
 OREOOREOOREOOREO 
(In thousands)Commercial/ ConstructionMortgageCommercial/ ConstructionMortgageTotal
Balance at beginning of period$ 135,862$ 130,982$ 99,398$ 39,660$ 405,902
Write-downs in value (8,767) (8,939) (16,961) (3,166) (37,833)
Additions 26,598 69,369 73,020 22,796 191,783
Sales (103,556) (107,282) (41,417) (13,743) (265,998)
Other adjustments 290 945 240 141 1,616
Ending balance$ 50,427$ 85,075$ 114,280$ 45,688$ 295,470