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Investment Securities (Non-agency Commercial Mortgage-backed Securities) (Details) (Fair Value, USD $)
In Millions, unless otherwise specified
Mar. 31, 2013
Dec. 31, 2012
Mar. 31, 2012
Dec. 31, 2011
Investment securities        
Fair value investments $ 6,580.6 [1],[2] $ 6,950.7 [1],[2] $ 6,706.3 [3],[4] $ 7,500.8 [3],[4]
Fixed rate CMBS
       
Investment securities        
Fair value investments 206.5      
Fixed rate CMBS | Super Senior
       
Investment securities        
Fair value investments 128.0 [5]      
Fixed rate CMBS | Senior
       
Investment securities        
Fair value investments 60.7 [6]      
Fixed rate CMBS | Subordinate
       
Investment securities        
Fair value investments 17.8 [7]      
Floating rate CMBS
       
Investment securities        
Fair value investments 78.4      
Floating rate CMBS | Super Senior
       
Investment securities        
Fair value investments 14.9 [5]      
Floating rate CMBS | Senior
       
Investment securities        
Fair value investments 36.4 [6]      
Floating rate CMBS | Subordinate
       
Investment securities        
Fair value investments 27.1 [7]      
Commercial Mortgage Backed Securities
       
Investment securities        
Fair value investments 284.9 334.1    
Commercial Mortgage Backed Securities | Super Senior
       
Investment securities        
Fair value investments 142.9 [5]      
Commercial Mortgage Backed Securities | Senior
       
Investment securities        
Fair value investments 97.1 [6]      
Commercial Mortgage Backed Securities | Subordinate
       
Investment securities        
Fair value investments $ 44.9 [7]      
[1] Carrying value includes $296.9 that is classified as assets held for sale relating to discontinued operations.
[2] Excludes carrying value of $34.9 associated with other long-term investment limited partnerships accounted for using the equity method and $(0.2) related to forward contracts.
[3] Excludes carrying value of $33.0 and $33.2 at March 31, 2012 and January 1, 2012 associated with other long-term investment limited partnerships accounted for using the equity method.
[4] Carrying value includes $111.8 that is classified as assets held for sale relating to discontinued operations.
[5] At issuance, Super Senior were rated AAA by Standard & Poor’s, Aaa by Moody’s or AAA by Fitch and were senior to other AAA or Aaa bonds.
[6] At issuance, Senior were rated AAA by Standard & Poor’s, Aaa by Moody’s or AAA by Fitch and were senior to non-AAA or non-Aaa bonds.
[7] At issuance, Subordinate were not rated AAA by Standard & Poor’s, Aaa by Moody’s or AAA by Fitch and were junior to AAA or Aaa bonds.