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Investment Securities (Narrative) (Details) (USD $)
6 Months Ended
Jun. 30, 2012
Securities
Dec. 31, 2011
Investment [Line Items]    
Non-marketable FHLB and FRB stock held for debt and regulatory purposes $ 45,300,000 $ 45,300,000
Non-marketable private equity investments held 70,900,000 70,500,000
U.S. Treasury inflation-protected securities held 362,000,000  
Common stock classified as equity securities held by the holding company 27,000,000  
Percentage decrease requiring a review for impairment 20.00%  
Fair value of securities on other-than-temporary impairment watch list 211,400,000  
Aggregate fair value of non-agency mortgage backed securities with other-than-temporary impairment 109,900,000  
Credit-related portion of impairments included in earnings 10,700,000  
Noncredit-related portion of impairments recognized in other comprehensive income 684,000  
Number of individual securities held in the available for sale portfolio 1,600  
Number of individual securities held in the available for sale portfolio in a loss position 121  
Portfolio securities aggregate fair value loss position 796,688,000 1,715,182,000
Minimum period that OTTI securities have been in a loss position 12 months  
Fair value of securities with an other-than-temporary impairment, which have been in a loss position for 12 months or longer 60,500,000  
The fair value of securities identified as other-than-temporarily impaired which have been in a loss position for 12 months or longer, as a percentage of the total available for sale portfolio value. 0.70%  
Fair value of securities with temporary impairment with loss position for twelve months or longer 191,500,000  
Fair value of securities with temporary impairment in a loss position for 12 months or longer, as a percentage of total available for sale portfolio 2.10%  
Gross unrealized losses included in state and municipal obligation holdings 16,200,000  
Unrealized losses included in auction rate securities held 15,800,000  
Unrealized losses included in other state and municipal obligations held 430,000  
Aggregate fair value of state and municipal obligations excluding auction rate securities 1,200,000,000  
State and municipal obligation portfolio, excluding auction rate securities, as a percentage of total available for sale securities 13.40%  
Securities pledged as collateral 4,100,000,000  
Securities pledged as collateral and may be sold or re-pledged 629,600,000  
Number of investments in a single issuer that exceed 10% of stockholder's equity 0  
No investment in a single issuer exceeds this percentage of stockholder's equity 10.00%  
State And Municipal Obligations [Member]
   
Investment [Line Items]    
Auction rate securities held at fair value 127,500,000  
Portfolio securities aggregate fair value loss position $ 217,594,000 $ 176,769,000