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Borrowings and Subordinated Debentures - Subordinated Debentures (Details)
$ in Thousands, € in Millions
6 Months Ended
Jun. 30, 2020
USD ($)
Jun. 30, 2020
EUR (€)
Dec. 31, 2019
USD ($)
Subordinated Borrowing [Line Items]      
Subordinated Debentures, Gross $ 540,744   $ 540,690
Subordinated debentures $ 460,772   $ 458,209
Rate 0.04% 0.04% 1.64%
Trust Preferred Securities Two Thousand Six Series Three      
Subordinated Borrowing [Line Items]      
Denomination value | €   € 25.8  
London Interbank Offered Rate (LIBOR) | Subordinated Debt Trust V Due September 2033      
Subordinated Borrowing [Line Items]      
Rate Index (Quarterly Reset) 3.10%    
London Interbank Offered Rate (LIBOR) | Subordinated Debt Trust VI Due September 2033      
Subordinated Borrowing [Line Items]      
Rate Index (Quarterly Reset) 3.05%    
London Interbank Offered Rate (LIBOR) | Subordinated Debt Trust CII Due September 2033      
Subordinated Borrowing [Line Items]      
Rate Index (Quarterly Reset) 2.95%    
London Interbank Offered Rate (LIBOR) | Subordinated Debt Trust VII Due April 2034      
Subordinated Borrowing [Line Items]      
Rate Index (Quarterly Reset) 2.75%    
London Interbank Offered Rate (LIBOR) | Subordinated Debt Trust CIII Due September 2035      
Subordinated Borrowing [Line Items]      
Rate Index (Quarterly Reset) 1.69%    
London Interbank Offered Rate (LIBOR) | Subordinated Debt Trust FCCI Due March 2037      
Subordinated Borrowing [Line Items]      
Rate Index (Quarterly Reset) 1.60%    
London Interbank Offered Rate (LIBOR) | Subordinated Debt Trust FCBI Due December 2035      
Subordinated Borrowing [Line Items]      
Rate Index (Quarterly Reset) 1.55%    
London Interbank Offered Rate (LIBOR) | Trust Preferred Securities Two Thousand Five Series One      
Subordinated Borrowing [Line Items]      
Rate Index (Quarterly Reset) 1.95%    
London Interbank Offered Rate (LIBOR) | Trust Preferred Securities Two Thousand Five Series Two      
Subordinated Borrowing [Line Items]      
Rate Index (Quarterly Reset) 1.95%    
London Interbank Offered Rate (LIBOR) | Two Thousand Six One Term Debt Securitization      
Subordinated Borrowing [Line Items]      
Rate Index (Quarterly Reset) 1.95%    
London Interbank Offered Rate (LIBOR) | Two Thousand Six Two Term Debt Securitization      
Subordinated Borrowing [Line Items]      
Rate Index (Quarterly Reset) 1.95%    
London Interbank Offered Rate (LIBOR) | Trust Preferred Securities Two Thousand Six Series Four      
Subordinated Borrowing [Line Items]      
Rate Index (Quarterly Reset) 1.95%    
London Interbank Offered Rate (LIBOR) | Trust Preferred Securities Two Thousand Six Series Five      
Subordinated Borrowing [Line Items]      
Rate Index (Quarterly Reset) 1.95%    
London Interbank Offered Rate (LIBOR) | Two Thousand Seven One Term Debt Securitization      
Subordinated Borrowing [Line Items]      
Rate Index (Quarterly Reset) 1.95%    
Euribor Rate | Trust Preferred Securities Two Thousand Six Series Three      
Subordinated Borrowing [Line Items]      
Rate Index (Quarterly Reset) 2.05%    
Subordinated Debentures      
Subordinated Borrowing [Line Items]      
Unamortized discount [1] $ (79,972)   $ (82,481)
Rate 2.65% 2.65% 3.87%
Subordinated Debentures | Subordinated Debt Trust V Due September 2033      
Subordinated Borrowing [Line Items]      
Balance $ 10,310   $ 10,310
Rate 3.40% 3.40% 5.00%
Date Issued Aug. 15, 2003    
Maturity Date Sep. 17, 2033    
Description of variable rate basis 3-month LIBOR + 3.10    
Subordinated Debentures | Subordinated Debt Trust VI Due September 2033      
Subordinated Borrowing [Line Items]      
Balance $ 10,310   $ 10,310
Rate 3.36% 3.36% 4.94%
Date Issued Sep. 03, 2003    
Maturity Date Sep. 15, 2033    
Description of variable rate basis 3-month LIBOR + 3.05    
Subordinated Debentures | Subordinated Debt Trust CII Due September 2033      
Subordinated Borrowing [Line Items]      
Balance $ 5,155   $ 5,155
Rate 3.25% 3.25% 4.85%
Date Issued Sep. 17, 2003    
Maturity Date Sep. 17, 2033    
Description of variable rate basis 3-month LIBOR + 2.95    
Subordinated Debentures | Subordinated Debt Trust VII Due April 2034      
Subordinated Borrowing [Line Items]      
Balance $ 61,856   $ 61,856
Rate 3.51% 3.51% 4.69%
Date Issued Feb. 05, 2004    
Maturity Date Apr. 23, 2034    
Description of variable rate basis 3-month LIBOR + 2.75    
Subordinated Debentures | Subordinated Debt Trust CIII Due September 2035      
Subordinated Borrowing [Line Items]      
Balance $ 20,619   $ 20,619
Rate 2.00% 2.00% 3.58%
Date Issued Aug. 15, 2005    
Maturity Date Sep. 15, 2035    
Description of variable rate basis 3-month LIBOR + 1.69    
Subordinated Debentures | Subordinated Debt Trust FCCI Due March 2037      
Subordinated Borrowing [Line Items]      
Balance $ 16,495   $ 16,495
Rate 1.91% 1.91% 3.49%
Date Issued Jan. 25, 2007    
Maturity Date Mar. 15, 2037    
Description of variable rate basis 3-month LIBOR + 1.60    
Subordinated Debentures | Subordinated Debt Trust FCBI Due December 2035      
Subordinated Borrowing [Line Items]      
Balance $ 10,310   $ 10,310
Rate 1.86% 1.86% 3.44%
Date Issued Sep. 30, 2005    
Maturity Date Dec. 15, 2035    
Description of variable rate basis 3-month LIBOR + 1.55    
Subordinated Debentures | Trust Preferred Securities Two Thousand Five Series One      
Subordinated Borrowing [Line Items]      
Balance $ 82,475   $ 82,475
Rate 2.26% 2.26% 3.85%
Date Issued Nov. 21, 2005    
Maturity Date Dec. 15, 2035    
Description of variable rate basis 3-month LIBOR + 1.95    
Subordinated Debentures | Trust Preferred Securities Two Thousand Five Series Two      
Subordinated Borrowing [Line Items]      
Balance $ 128,866   $ 128,866
Rate 2.71% 2.71% 3.89%
Date Issued Dec. 14, 2005    
Maturity Date Jan. 30, 2036    
Description of variable rate basis 3-month LIBOR + 1.95    
Subordinated Debentures | Two Thousand Six One Term Debt Securitization      
Subordinated Borrowing [Line Items]      
Balance $ 51,545   $ 51,545
Rate 2.71% 2.71% 3.89%
Date Issued Feb. 22, 2006    
Maturity Date Apr. 30, 2036    
Description of variable rate basis 3-month LIBOR + 1.95    
Subordinated Debentures | Two Thousand Six Two Term Debt Securitization      
Subordinated Borrowing [Line Items]      
Balance $ 51,550   $ 51,550
Rate 2.71% 2.71% 3.89%
Date Issued Sep. 27, 2006    
Maturity Date Oct. 30, 2036    
Description of variable rate basis 3-month LIBOR + 1.95    
Subordinated Debentures | Trust Preferred Securities Two Thousand Six Series Three      
Subordinated Borrowing [Line Items]      
Balance [2] $ 28,956   $ 28,902
Rate 1.82% 1.82% 1.64%
Date Issued Sep. 29, 2006    
Maturity Date Oct. 30, 2036    
Description of variable rate basis 3-month EURIBOR + 2.05    
Subordinated Debentures | Trust Preferred Securities Two Thousand Six Series Four      
Subordinated Borrowing [Line Items]      
Balance $ 16,470   $ 16,470
Rate 2.71% 2.71% 3.89%
Date Issued Dec. 05, 2006    
Maturity Date Jan. 30, 2037    
Description of variable rate basis 3-month LIBOR + 1.95    
Subordinated Debentures | Trust Preferred Securities Two Thousand Six Series Five      
Subordinated Borrowing [Line Items]      
Balance $ 6,650   $ 6,650
Rate 2.71% 2.71% 3.89%
Date Issued Dec. 19, 2006    
Maturity Date Jan. 30, 2037    
Description of variable rate basis 3-month LIBOR + 1.95    
Subordinated Debentures | Two Thousand Seven One Term Debt Securitization      
Subordinated Borrowing [Line Items]      
Balance $ 39,177   $ 39,177
Rate 2.71% 2.71% 3.89%
Date Issued Jun. 13, 2007    
Maturity Date Jul. 30, 2037    
Description of variable rate basis 3-month LIBOR + 1.95    
[1] Amount represents the fair value adjustment on trust preferred securities assumed in acquisitions.
[2] Denomination is in Euros with a value of €25.8 million.