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Fair Value (Schedule Of Key Model Inputs And Assumptions Used To Fair Value Certain Asset-Backed Securities) (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended
Sep. 30, 2013
Assumption for Fair Value as of Balance Sheet Date of Assets or Liabilities that relate to Transferor's Continuing Involvement [Line Items]  
Assets-backed securities, Fair value $ 1,153,443 [1]
Trust Preferred - Predominantly Banks [Member]
 
Assumption for Fair Value as of Balance Sheet Date of Assets or Liabilities that relate to Transferor's Continuing Involvement [Line Items]  
Assets-backed securities, Fair value 857,021
Asset-backed securities, Loss severity 100.00%
Trust Preferred - Predominantly Insurance [Member]
 
Assumption for Fair Value as of Balance Sheet Date of Assets or Liabilities that relate to Transferor's Continuing Involvement [Line Items]  
Assets-backed securities, Fair value 273,420
Asset-backed securities, Loss severity 100.00%
Asset-backed securities, Prepayment rate 5.00%
Trust Preferred - Individual Banks [Member]
 
Assumption for Fair Value as of Balance Sheet Date of Assets or Liabilities that relate to Transferor's Continuing Involvement [Line Items]  
Assets-backed securities, Fair value 23,002
Trust Preferred Securities - Real Estate Investment Trusts [Member]
 
Assumption for Fair Value as of Balance Sheet Date of Assets or Liabilities that relate to Transferor's Continuing Involvement [Line Items]  
Assets-backed securities, Fair value 19,518
Asset-backed securities, Prepayment rate 0.00%
Other (Including ABS CDOs) [Member]
 
Assumption for Fair Value as of Balance Sheet Date of Assets or Liabilities that relate to Transferor's Continuing Involvement [Line Items]  
Assets-backed securities, Fair value 25,197 [2]
Minimum [Member] | Trust Preferred Securities - Real Estate Investment Trusts [Member]
 
Assumption for Fair Value as of Balance Sheet Date of Assets or Liabilities that relate to Transferor's Continuing Involvement [Line Items]  
Asset-backed securities, Loss severity 60.00%
Minimum [Member] | Other (Including ABS CDOs) [Member]
 
Assumption for Fair Value as of Balance Sheet Date of Assets or Liabilities that relate to Transferor's Continuing Involvement [Line Items]  
Asset-backed securities, Loss severity 70.00%
Maximum [Member] | Trust Preferred Securities - Real Estate Investment Trusts [Member]
 
Assumption for Fair Value as of Balance Sheet Date of Assets or Liabilities that relate to Transferor's Continuing Involvement [Line Items]  
Asset-backed securities, Loss severity 100.00%
Maximum [Member] | Other (Including ABS CDOs) [Member]
 
Assumption for Fair Value as of Balance Sheet Date of Assets or Liabilities that relate to Transferor's Continuing Involvement [Line Items]  
Asset-backed securities, Loss severity 100.00%
Trust Preferred Banks and Insurance [Member] | Available-for-sale Securities [Member]
 
Assumption for Fair Value as of Balance Sheet Date of Assets or Liabilities that relate to Transferor's Continuing Involvement [Line Items]  
Assets-backed securities, Fair value 1,001,900 [1]
Trust Preferred Banks and Insurance [Member] | Held-to-maturity Securities [Member]
 
Assumption for Fair Value as of Balance Sheet Date of Assets or Liabilities that relate to Transferor's Continuing Involvement [Line Items]  
Assets-backed securities, Fair value 151,500 [1]
Other including ABS CDOs [Member] [Member] | Available-for-sale Securities [Member]
 
Assumption for Fair Value as of Balance Sheet Date of Assets or Liabilities that relate to Transferor's Continuing Involvement [Line Items]  
Assets-backed securities, Fair value 13,500 [1]
Other including ABS CDOs [Member] [Member] | Held-to-maturity Securities [Member]
 
Assumption for Fair Value as of Balance Sheet Date of Assets or Liabilities that relate to Transferor's Continuing Involvement [Line Items]  
Assets-backed securities, Fair value $ 11,700 [1]
Constant Default Rate Year 1 [Member] | Minimum [Member] | Trust Preferred - Predominantly Banks [Member]
 
Assumption for Fair Value as of Balance Sheet Date of Assets or Liabilities that relate to Transferor's Continuing Involvement [Line Items]  
Asset-backed securities, Constant default rate 0.30% [3]
Constant Default Rate Year 1 [Member] | Minimum [Member] | Trust Preferred - Predominantly Insurance [Member]
 
Assumption for Fair Value as of Balance Sheet Date of Assets or Liabilities that relate to Transferor's Continuing Involvement [Line Items]  
Asset-backed securities, Constant default rate 0.30% [4]
Constant Default Rate Year 1 [Member] | Minimum [Member] | Trust Preferred Securities - Real Estate Investment Trusts [Member]
 
Assumption for Fair Value as of Balance Sheet Date of Assets or Liabilities that relate to Transferor's Continuing Involvement [Line Items]  
Asset-backed securities, Constant default rate 4.30% [5]
Constant Default Rate Year 1 [Member] | Maximum [Member] | Trust Preferred - Predominantly Banks [Member]
 
Assumption for Fair Value as of Balance Sheet Date of Assets or Liabilities that relate to Transferor's Continuing Involvement [Line Items]  
Asset-backed securities, Constant default rate 3.52% [3]
Constant Default Rate Year 1 [Member] | Maximum [Member] | Trust Preferred - Predominantly Insurance [Member]
 
Assumption for Fair Value as of Balance Sheet Date of Assets or Liabilities that relate to Transferor's Continuing Involvement [Line Items]  
Asset-backed securities, Constant default rate 0.34% [4]
Constant Default Rate Year 1 [Member] | Maximum [Member] | Trust Preferred Securities - Real Estate Investment Trusts [Member]
 
Assumption for Fair Value as of Balance Sheet Date of Assets or Liabilities that relate to Transferor's Continuing Involvement [Line Items]  
Asset-backed securities, Constant default rate 7.80% [5]
Constant Default Rate Year 2 to 3 [Member] | Minimum [Member] | Trust Preferred Securities - Real Estate Investment Trusts [Member]
 
Assumption for Fair Value as of Balance Sheet Date of Assets or Liabilities that relate to Transferor's Continuing Involvement [Line Items]  
Asset-backed securities, Constant default rate 5.00% [5]
Constant Default Rate Year 2 to 3 [Member] | Maximum [Member] | Trust Preferred Securities - Real Estate Investment Trusts [Member]
 
Assumption for Fair Value as of Balance Sheet Date of Assets or Liabilities that relate to Transferor's Continuing Involvement [Line Items]  
Asset-backed securities, Constant default rate 5.50% [5]
Constant Default Rate Year 2 to 5 [Member] | Minimum [Member] | Trust Preferred - Predominantly Banks [Member]
 
Assumption for Fair Value as of Balance Sheet Date of Assets or Liabilities that relate to Transferor's Continuing Involvement [Line Items]  
Asset-backed securities, Constant default rate 0.47% [3]
Constant Default Rate Year 2 to 5 [Member] | Minimum [Member] | Trust Preferred - Predominantly Insurance [Member]
 
Assumption for Fair Value as of Balance Sheet Date of Assets or Liabilities that relate to Transferor's Continuing Involvement [Line Items]  
Asset-backed securities, Constant default rate 0.48% [4]
Constant Default Rate Year 2 to 5 [Member] | Maximum [Member] | Trust Preferred - Predominantly Banks [Member]
 
Assumption for Fair Value as of Balance Sheet Date of Assets or Liabilities that relate to Transferor's Continuing Involvement [Line Items]  
Asset-backed securities, Constant default rate 1.05% [3]
Constant Default Rate Year 2 to 5 [Member] | Maximum [Member] | Trust Preferred - Predominantly Insurance [Member]
 
Assumption for Fair Value as of Balance Sheet Date of Assets or Liabilities that relate to Transferor's Continuing Involvement [Line Items]  
Asset-backed securities, Constant default rate 0.58% [4]
Constant Default Rate Year 4 to 6 [Member] | Trust Preferred Securities - Real Estate Investment Trusts [Member]
 
Assumption for Fair Value as of Balance Sheet Date of Assets or Liabilities that relate to Transferor's Continuing Involvement [Line Items]  
Asset-backed securities, Constant default rate 1.00% [5]
Constant Default Rate Year 6 to Maturity [Member] | Trust Preferred Securities - Real Estate Investment Trusts [Member]
 
Assumption for Fair Value as of Balance Sheet Date of Assets or Liabilities that relate to Transferor's Continuing Involvement [Line Items]  
Asset-backed securities, Constant default rate 0.50% [5]
Constant Default Rate Year 6 to Maturity [Member] | Minimum [Member] | Trust Preferred - Predominantly Banks [Member]
 
Assumption for Fair Value as of Balance Sheet Date of Assets or Liabilities that relate to Transferor's Continuing Involvement [Line Items]  
Asset-backed securities, Constant default rate 0.59% [3]
Constant Default Rate Year 6 to Maturity [Member] | Minimum [Member] | Trust Preferred - Predominantly Insurance [Member]
 
Assumption for Fair Value as of Balance Sheet Date of Assets or Liabilities that relate to Transferor's Continuing Involvement [Line Items]  
Asset-backed securities, Constant default rate 0.50% [4]
Constant Default Rate Year 6 to Maturity [Member] | Maximum [Member] | Trust Preferred - Predominantly Banks [Member]
 
Assumption for Fair Value as of Balance Sheet Date of Assets or Liabilities that relate to Transferor's Continuing Involvement [Line Items]  
Asset-backed securities, Constant default rate 0.67% [3]
Constant Default Rate Year 6 to Maturity [Member] | Maximum [Member] | Trust Preferred - Predominantly Insurance [Member]
 
Assumption for Fair Value as of Balance Sheet Date of Assets or Liabilities that relate to Transferor's Continuing Involvement [Line Items]  
Asset-backed securities, Constant default rate 0.54% [4]
Constant Default Rate Until 2016 [Member] | Minimum [Member] | Trust Preferred - Predominantly Banks [Member]
 
Assumption for Fair Value as of Balance Sheet Date of Assets or Liabilities that relate to Transferor's Continuing Involvement [Line Items]  
Asset-backed securities, Prepayment rate 7.50% [6]
Constant Default Rate Until 2016 [Member] | Maximum [Member] | Trust Preferred - Predominantly Banks [Member]
 
Assumption for Fair Value as of Balance Sheet Date of Assets or Liabilities that relate to Transferor's Continuing Involvement [Line Items]  
Asset-backed securities, Prepayment rate 21.69% [6]
Constant Default Rate 2016 to Maturity [Member] | Trust Preferred - Predominantly Banks [Member]
 
Assumption for Fair Value as of Balance Sheet Date of Assets or Liabilities that relate to Transferor's Continuing Involvement [Line Items]  
Asset-backed securities, Prepayment rate 3.00% [6]
[1] Includes $1,001.9 million of AFS securities and $151.5 million of HTM securities.
[2] Includes $13.5 million of AFS securities and $11.7 million of HTM securities.
[3] CDR ranges: yr 1 – 0.30% to 3.52%; yrs 2-5 – 0.47% to 1.05%; yrs 6 to maturity – 0.59% to 0.67%.
[4] CDR ranges: yr 1 – 0.30% to 0.34%; yrs 2-5 – 0.48% to 0.58%; yrs 6 to maturity – 0.50% to 0.54%.
[5] CDR ranges: yr 1 – 4.3% to 7.8%; yrs 2-3 – 5.0% to 5.5%; yrs 4-6 – 1.0%; yrs 6 to maturity – 0.50%.
[6] Constant Prepayment Rate (“CPR”) ranges: 7.50% to 21.69% annually until 2016; 2016 to maturity – 3.0% annually.