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Fair Value Of Financial Instruments (Tables)
6 Months Ended
Jun. 30, 2014
Fair Value Of Financial Instruments [Abstract]  
Schedule Of Estimated Fair Value Of Financial Instruments
The estimated fair values of the Company’s financial instruments and the classification of their fair value measurement within the valuation hierarchy are as follows:
 
Fair Value Hierarchy Level
June 30, 2014
 
December 31, 2013

(In thousands)
Carrying
Amount
Estimated
Fair Value
 
Carrying
Amount
Estimated
Fair Value
Financial Assets
 
 
 
 
 
 
Loans:
 
 
 
 
 
 
Business
Level 3
$
4,095,253

$
4,106,975

 
$
3,715,319

$
3,723,263

Real estate - construction and land
Level 3
442,093

445,999

 
406,197

410,022

Real estate - business
Level 3
2,277,898

2,309,972

 
2,313,550

2,345,124

Real estate - personal
Level 3
1,819,204

1,853,736

 
1,787,626

1,802,364

Consumer
Level 3
1,637,841

1,638,204

 
1,512,716

1,519,830

Revolving home equity
Level 3
423,566

427,150

 
420,589

424,811

Consumer credit card
Level 3
760,289

771,101

 
796,228

811,550

Overdrafts
Level 3
3,895

3,895

 
4,611

4,611

Investment securities:
 
 
 
 
 
 
Available for sale
Level 1
540,477

540,477

 
530,342

530,342

Available for sale
Level 2
8,610,055

8,610,055

 
8,257,614

8,257,614

Available for sale
Level 3
132,108

132,108

 
127,724

127,724

Trading
Level 2
15,684

15,684

 
19,993

19,993

Non-marketable
Level 3
93,748

93,748

 
107,324

107,324

Federal funds sold
Level 1
29,490

29,490

 
43,845

43,845

Securities purchased under agreements to resell
Level 3
950,000

949,766

 
1,150,000

1,149,625

Interest earning deposits with banks
Level 1
18,877

18,877

 
707,249

707,249

Cash and due from banks
Level 1
516,509

516,509

 
518,420

518,420

Derivative instruments
Level 2
12,264

12,264

 
12,976

12,976

Derivative instruments
Level 3
4

4

 
4

4

Financial Liabilities
 
 
 
 
 
 
Non-interest bearing deposits
Level 1
$
6,413,161

$
6,413,161

 
$
6,750,674

$
6,750,674

Savings, interest checking and money market deposits
Level 1
10,085,460
10,085,460
 
10,108,236
10,108,236
Time open and certificates of deposit
Level 3
2,441,215

2,442,040

 
2,188,438

2,190,610

Federal funds purchased
Level 1
175,645

175,645

 
24,795

24,795

Securities sold under agreements to repurchase
Level 3
978,678

978,753

 
1,321,763

1,321,633

Other borrowings
Level 3
105,096

113,686

 
107,310

116,843

Derivative instruments
Level 2
12,450

12,450

 
13,260

13,260

Derivative instruments
Level 3
192

192

 
69

69