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Fair Value Of Financial Instruments (Tables)
12 Months Ended
Dec. 31, 2014
Fair Value Disclosures [Abstract]  
Schedule Of Estimated Fair Value Of Financial Instruments
The estimated fair values of the Company’s financial instruments are as follows:
 
Fair Value Hierarchy Level
2014
 
2013
(In thousands)
Carrying Amount
Estimated Fair Value
 
Carrying Amount
Estimated Fair Value
Financial Assets
 
 
 
 
 
 
Loans:
 
 
 
 
 
 
     Business
Level 3
$
3,969,952

$
3,982,531

 
$
3,715,319

$
3,723,263

     Real estate - construction and land
Level 3
403,507

407,905

 
406,197

410,022

     Real estate - business
Level 3
2,288,215

2,315,378

 
2,313,550

2,345,124

     Real estate - personal
Level 3
1,883,092

1,933,456

 
1,787,626

1,802,364

     Consumer
Level 3
1,705,134

1,701,037

 
1,512,716

1,519,830

     Revolving home equity
Level 3
430,873

433,508

 
420,589

424,811

     Consumer credit card
Level 3
782,370

794,929

 
796,228

811,550

     Overdrafts
Level 3
6,095

6,095

 
4,611

4,611

Investment securities:
 
 
 
 
 
 
     Available for sale
Level 1
519,382

519,382

 
530,342

530,342

     Available for sale
Level 2
8,909,035

8,909,035

 
8,257,614

8,257,614

     Available for sale
Level 3
95,143

95,143

 
127,724

127,724

     Trading
Level 2
15,357

15,357

 
19,993

19,993

     Non-marketable
Level 3
106,875

106,875

 
107,324

107,324

Federal funds sold
Level 1
32,485

32,485

 
43,845

43,845

Securities purchased under agreements to resell
Level 3
1,050,000

1,048,866

 
1,150,000

1,149,625

Interest earning deposits with banks
Level 1
600,744

600,744

 
707,249

707,249

Cash and due from banks
Level 1
467,488

467,488

 
518,420

518,420

Derivative instruments
Level 2
10,454

10,454

 
12,976

12,976

Derivative instruments
Level 3
3

3

 
4

4

Financial Liabilities
 
 
 
 
 
 
Non-interest bearing deposits
Level 1
$
6,811,959

$
6,811,959

 
$
6,750,674

$
6,750,674

Savings, interest checking and money market deposits
Level 1
10,541,601

10,541,601

 
10,108,236

10,108,236

Time open and certificates of deposit
Level 3
2,122,218

2,121,114

 
2,188,438

2,190,610

Federal funds purchased
Level 1
3,840

3,840

 
24,795

24,795

Securities sold under agreements to repurchase
Level 3
1,858,678

1,858,731

 
1,321,763

1,321,633

Other borrowings
Level 3
104,058

111,102

 
107,310

116,843

Derivative instruments
Level 2
10,722

10,722

 
13,260

13,260

Derivative instruments
Level 3
226

226

 
69

69