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Fair Value of Financial Instruments (Detail) - Changes in Level 3 fair value measurements based on the hierarchy levels (Fair Value, Inputs, Level 3 [Member], USD $)
In Thousands, unless otherwise specified
3 Months Ended 9 Months Ended
Sep. 30, 2012
Sep. 30, 2012
Available-for-sale Securities [Member]
   
Balance, beginning of period $ 49,878 $ 57,028
Total net losses for the year included in    
Income (145) (359)
Other comprehensive income, gross 286 305
Transfers to level 2 (39,778) (39,778)
Purchases 51 428
Sales 0 0
Servicing assets that resulted from transfers of financial assets 0 0
Paydowns (5,651) (12,983)
Balance, end of period 4,641 4,641
Residential Mortgage Servicing Rights [Member]
   
Balance, beginning of period 11,764 10,663
Total net losses for the year included in    
Income (1,469) (4,129)
Other comprehensive income, gross 0 0
Transfers to level 2 0 0
Purchases 0 0
Sales 0 0
Servicing assets that resulted from transfers of financial assets 2,209 5,970
Paydowns 0 0
Balance, end of period $ 12,504 $ 12,504