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Derivative Instruments - Additional Information (Detail) (USD $)
In Thousands, unless otherwise specified
6 Months Ended 12 Months Ended
Jun. 30, 2014
Contract
Dec. 31, 2013
Contract
Schedule Of Loans And Allowance For Loan By Class Individually And Collectively Evaluated For Impairment [Line Items]    
Value of right to reclaim cash collateral and posted margin, recorded in "Other assets" $ 95,058 $ 3,040
Value of obligation to return cash collateral, recorded in "Other liabilities" 0 690
Net liability fair value of all derivative instruments linked to Ambac's own credit risk 66,214 42,555
Fair value of posted assets as collateral 91,761 126,223
Credit Derivatives [Member]
   
Schedule Of Loans And Allowance For Loan By Class Individually And Collectively Evaluated For Impairment [Line Items]    
Number of outstanding credit derivative transactions include ratings based collateral-posting triggers None of our outstanding credit derivative transactions None of our outstanding credit derivative transactions
Number of credit derivative contracts 4 4
Net liability fair value of credit derivative contracts 64,701 62,296
Notional value of credit derivative contracts $ 282,534 $ 277,881