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Investment Securities (Details 2) (USD $)
3 Months Ended 9 Months Ended
Sep. 30, 2013
Sep. 30, 2012
Sep. 30, 2013
Sep. 30, 2012
Dec. 31, 2012
Held-to-maturity debt securities amortized cost disclosures          
Due in one year or less, held-to-maturity debt securities amortized cost $ 1,325,000   $ 1,325,000    
Due after one year through five years, held-to-maturity debt securities amortized cost 1,075,000   1,075,000    
Amortized cost, held-to-maturity debt securities 2,400,000   2,400,000   2,400,000
Held-to-maturity debt securities, Estimated fair value disclosures          
Due in one year or less, held-to-maturity debt securities, Estimated fair value 1,325,000   1,325,000    
Due after one year through five years, held-to-maturity debt securities, Estimated fair value 1,075,000   1,075,000    
Estimated fair value 2,400,000   2,400,000   2,400,000
Available-for-sale debt securities amortized cost disclosures          
Due after five years through ten years, available-for-sale debt securities amortized cost 697,000   697,000    
Due after ten years, available-for-sale debt securities amortized cost 244,000,000   244,000,000    
Residential mortgage-backed securities, amortized cost 5,197,331,000   5,197,331,000    
Equity securities, amortized cost 28,075,000   28,075,000    
Amortized cost, Available for sale securities 5,470,103,000   5,470,103,000   5,423,189,000
Available for sale debt securities, Estimated Fair Value Disclosures          
Due after five years through ten years, available-for-sale debt securities, Estimated Fair Value 744,000   744,000    
Due after ten years, available-for-sale debt securities, Estimated Fair Value 246,987,000   246,987,000    
Residential mortgage-backed securities, Estimated Fair Value 5,172,186,000   5,172,186,000    
Equity securities, Estimated Fair Value 28,833,000   28,833,000    
Estimated fair value, Available for sale securities 5,448,750,000   5,448,750,000   5,525,015,000
Amortized cost of available for sale investment securities pledged 2,070,772,000   2,070,772,000    
Fair value of available for sale investment securities pledged 2,106,076,000   2,106,076,000    
Proceeds from sales and calls of available for sale securities 0 1,207,581,000 178,124,000 1,279,963,000  
Proceeds from sales of mortgage-backed securities 0 1,205,556,000 177,623,000 1,237,071,000  
Gross gains realized on sales 0 32,935,000 9,601,000 35,528,000  
Gross losses realized on sales 0 0 0 (1,000)  
Impairment charges on available-for-sale investment securities 573,000 239,000 1,300,000 647,000  
Impairment charges on available-for-sale investment securities, after tax $ 372,000 $ 155,000 $ 845,000 $ 421,000