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Assets and Liabilities Measured at Fair Value (Tables)
9 Months Ended
Sep. 30, 2016
Fair Value [Abstract]  
Schedule of assets and liabilities measured at fair value on a recurring basis
September 30, 2016   Level 1     Level 2     Level 3     Total  
Assets:                                
Securities available for sale:                                
 U.S. Treasuries   $ 144,874     $ -     $ -     $ 144,874  
 U.S. Government agencies     -       20,455       -       20,455  
 State and political subdivisions     -       64,886       -       64,886  
 Mortgage-backed securities     -       1,175,781       -       1,175,781  
 Corporate bonds     -       312,059       500       312,559  
 Asset-backed securities     -       495,433       -       495,433  
 Other     -       1,125       -       1,125  
Mortgage loans held for sale     -       279       -       279  
Deferred compensation plan assets     4,134       -       -       4,134  
Servicing rights for government guaranteed loans     -       -       5,100       5,100  
Derivative financial instruments     -       20,598       4,865       25,463  
                                 
 Total assets   $ 149,008     $ 2,090,616     $ 10,465     $ 2,250,089  
                                 
Liabilities:                                
Deferred compensation plan liability   $ 4,134     $ -     $ -     $ 4,134  
Derivative financial instruments     -       22,933       9,615       32,548  
                                 
 Total liabilities   $ 4,134     $ 22,933     $ 9,615     $ 36,682  

 

December 31, 2015   Level 1     Level 2     Level 3     Total  
Assets:                                
Securities available for sale                                
 U.S. Treasuries   $ 168,706     $ -     $ -     $ 168,706  
 U.S. Government agencies     -       112,340       -       112,340  
 State and political subdivisions     -       56,268       -       56,268  
 Mortgage-backed securities     -       1,113,118       -       1,113,118  
 Corporate bonds     -       305,276       750       306,026  
 Asset-backed securities     -       533,242       -       533,242  
 Other     -       1,811       -       1,811  
Deferred compensation plan assets     3,450       -       -       3,450  
Servicing rights for government guaranteed loans     -       -       3,712       3,712  
Derivative financial instruments     -       10,664       9,418       20,082  
                                 
 Total assets   $ 172,156     $ 2,132,719     $ 13,880     $ 2,318,755  
                                 
Liabilities:                                
Deferred compensation plan liability   $ 3,450     $ -     $ -     $ 3,450  
Derivative financial instruments     -       13,031       15,794       28,825  
                                 
 Total liabilities   $ 3,450     $ 13,031     $ 15,794     $ 32,275  
Schedule of assets measured at fair value on a recurring basis using significant unobservable inputs
    2016     2015  
    Derivative
Asset
    Derivative
Liability
    Servicing
rights for
government
guaranteed
loans
    Securities
Available-
for-Sale
    Derivative
Asset
    Derivative
Liability
    Servicing
rights for
government
guaranteed
loans
    Securities
Available-
for-Sale
 
Three Months Ended September 30,                                                                
Balance at beginning of period   $ 2,657     $ 7,531     $ 4,615     $ 500     $ 11,531     $ 18,261     $ 3,118     $ 750  
Purchases     -       -       -       -       286       -       137       -  
Additions     -       16       752       -       -       -       455       -  
Sales and settlements     (204 )     (483 )     (126 )     -       -       -       -       -  
Other comprehensive income     -       -       -       -       -       -       -       -  
Amounts included in earnings - fair value adjustments     2,412       2,529       (141 )     -       (4,978 )     (5,461 )     (379 )     -  
Transfers between valuation levels, net     -       22       -       -       -       -       -       -  
Balance at end of period   $ 4,865     $ 9,615     $ 5,100     $ 500     $ 6,839     $ 12,800     $ 3,331     $ 750  
                                                                 
Nine Months Ended September 30,                                                                
Balance at beginning of period   $ 9,418     $ 15,794     $ 3,712     $ 750     $ 12,262     $ 18,979     $ 2,551     $ 750  
Purchases     -       -       -       -       286       -       137       -  
Additions     -       16       1,852       -       -       -       1,087       -  
Sales and settlements     (204 )     (483 )     (297 )     -       -       -       -       -  
Other comprehensive income     -       -       -       (250 )     -       -       -       -  
Amounts included in earnings - fair value adjustments     (4,349 )     (5,734 )     (167 )     -       (5,709 )     (6,179 )     (444 )     -  
Transfers between valuation levels, net     -       22       -       -       -       -       -       -  
Balance at end of period   $ 4,865     $ 9,615     $ 5,100     $ 500     $ 6,839     $ 12,800     $ 3,331     $ 750  
Schedule of quantitative information about Level 3 fair value measurements for fair value on a recurring basis
    Fair Value             Weighted Average  
    September 30,       December 31,        Valuation       September 30,     December 31,  
Level 3 Assets   2016      2015        Technique   Unobservable Inputs   2016     2015  
                                 
Servicing rights for government guaranteed loans   $ 5,100     $ 3,712     Discounted cash flow   Discount rate     12.1 %     11.8 %
                        Prepayment rate     7.22 %     6.95 %
                                         
Corporate bonds     500       750     Indicative bid provided by a broker   Multiple factors, including but not limited to, current operations, financial condition, cash flows, and recently executed financing transactions related to the company     N/A       N/A  
                                         
Derivative assets - mortgage     1,072       188     Internal model   Pull through rate     75.9 %     85.0 %
                                         
Derivative assets - other     3,793       9,230     Dealer priced   Dealer priced     N/A       N/A  
                                         
Derivative liabilities - risk participations     38       -     Internal model   Probable exposure rate     0.25 %     N/A   
                        Probability of default rate     1.80 %     N/A  
                                         
Derivative liabilities - other     9,577       15,794     Dealer priced   Dealer priced     N/A       N/A  
Schedule of presentation of united's assets and liabilities measured at fair value on nonrecurring basis
September 30, 2016   Level 1     Level 2     Level 3     Total  
Loans   $ -     $ -     $ 7,556     $ 7,556  
                                 
December 31, 2015                                
Loans   $ -     $ -     $ 7,589     $ 7,589  
Schedule of carrying amount and fair values for other financial instruments that are not measured at fair value on a recurring basis
    Carrying     Fair Value Level  
September 30, 2016   Amount     Level 1     Level 2     Level 3     Total  
Assets:                                        
 Securities held to maturity   $ 344,917     $ -     $ 357,550     $ -     $ 357,550  
 Loans, net     6,662,149       -       -       6,620,163       6,620,163  
 Mortgage loans held for sale     30,535       -       31,596       -       31,596  
 Residential mortgage servicing rights     3,673       -       -       3,694       3,694  
                                         
Liabilities:                                        
 Deposits     8,441,599       -       8,447,293       -       8,447,293  
 Federal Home Loan Bank advances     449,407       -       449,415       -       449,415  
 Long-term debt     174,959       -       -       174,946       174,946  
                                         
December 31, 2015                                        
Assets:                                        
 Securities held to maturity   $ 364,696     $ -     $ 371,658     $ -     $ 371,658  
 Loans, net     5,926,993       -       -       5,840,554       5,840,554  
 Mortgage loans held for sale     24,231       -       24,660       -       24,660  
 Residential mortgage servicing rights     3,370       -       -       3,521       3,521  
                                         
Liabilities:                                        
 Deposits     7,873,193       -       7,881,109       -       7,881,109  
 Federal Home Loan Bank advances     430,125       -       430,119       -       430,119  
 Long-term debt     163,836       -       -       166,668       166,668