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Fair Value Of Assets And Liabilities (Summary Of Book Value And Estimated Fair Value Of Financial Instruments) (Details) - USD ($)
$ in Thousands
Sep. 30, 2016
Dec. 31, 2015
Sep. 30, 2015
Assets:      
Total loans, net of unearned income and allowance for loan losses $ 19,354,230 $ 17,476,260 $ 16,514,678
Short-term financial assets:      
Interest-bearing cash 219,834 602,836 596,689
Federal funds sold 27,097 114,479 64,438
Securities purchased under agreements to resell 802,815 615,773 793,098
Trading securities 1,320,535 881,450 1,229,180
Loans held-for-sale [1] 155,215 126,342 124,308
Securities available-for-sale 4,027,594 [2] 3,929,846 3,673,641 [3]
Securities held-to-maturity 14,340 14,320 4,313
Derivative assets 160,736 104,365 152,548
Other assets:      
Total other assets 193,874   180,513
Nonearning assets:      
Cash and due from banks 327,639 300,811 256,342
Fixed income receivables 91,997 63,660 83,547
Total assets 28,449,222 26,192,637 25,386,073
Deposits:      
Total deposits 21,574,180 19,967,478 18,865,220
Trading liabilities 702,226 566,019 788,563
Short-term financial liabilities:      
Federal funds purchased 538,284 464,166 520,992
Securities sold under agreements to repurchase 341,998 338,133 332,329
Other short-term borrowings 792,736 137,861 99,887
Term borrowings:      
Total term borrowings 1,065,651 1,312,677 1,339,940
Derivative liabilities 144,829 108,339 140,965
Other noninterest-bearing liabilities:      
Fixed income payables 68,897 23,072 95,346
Total liabilities 25,704,640 $ 23,553,051 22,805,828
Carrying Reported Amount Fair Value Disclosure [Member]      
Assets:      
Total loans, net of unearned income and allowance for loan losses 19,354,230   16,514,678
Short-term financial assets:      
Interest-bearing cash 219,834   596,689
Federal funds sold 27,097   64,438
Securities purchased under agreements to resell 802,815   793,098
Total short-term financial assets 1,049,746   1,454,225
Trading securities [4] 1,320,535   1,229,180
Loans held-for-sale 155,215   124,308 [4]
Securities available-for-sale [4] 4,027,594 [5]   3,673,641 [6]
Securities held-to-maturity 14,340   4,313
Derivative assets [4] 160,736   152,548
Other assets:      
Tax credit investments 90,824   98,341
Deferred compensation assets 31,892   25,972
Total other assets 122,716   124,313
Nonearning assets:      
Cash and due from banks 327,639   256,342
Fixed income receivables 91,997   83,547
Accrued interest receivable 64,511   65,956
Total nonearning assets 484,147   405,845
Total assets 26,689,259   23,683,051
Deposits:      
Defined maturity 1,325,079   1,033,896
Undefined maturity 20,249,101   17,831,324
Total deposits 21,574,180   18,865,220
Trading liabilities [4] 702,226   788,563
Short-term financial liabilities:      
Federal funds purchased 538,284   520,992
Securities sold under agreements to repurchase 341,998   332,329
Other short-term borrowings 792,736   99,887
Total short-term financial liabilities 1,673,018   953,208
Term borrowings:      
Real estate investment trust-preferred 46,015   45,947
Term borrowings - new market tax credit investment 18,000   18,000
Borrowings secured by residential real estate 26,062   48,491
Other long term borrowings 975,574   1,227,502
Total term borrowings 1,065,651   1,339,940
Derivative liabilities [4] 144,829   140,965
Other noninterest-bearing liabilities:      
Fixed income payables 68,897   95,346
Accrued interest payable 15,376   25,358
Total other noninterest-bearing liabilities 84,273   120,704
Total liabilities 25,244,177   22,208,600
Carrying Reported Amount Fair Value Disclosure [Member] | Commercial Financial And Industrial Portfolio Segment [Member]      
Assets:      
Total loans, net of unearned income and allowance for loan losses 12,031,432   9,538,832
Carrying Reported Amount Fair Value Disclosure [Member] | Commercial Real Estate Portfolio Segment [Member]      
Assets:      
Total loans, net of unearned income and allowance for loan losses 2,033,175   1,462,696
Carrying Reported Amount Fair Value Disclosure [Member] | Consumer Real Estate Portfolio Segment [Member]      
Assets:      
Total loans, net of unearned income and allowance for loan losses 4,525,136   4,731,464
Carrying Reported Amount Fair Value Disclosure [Member] | Permanent Mortgage Portfolio Segment [Member]      
Assets:      
Total loans, net of unearned income and allowance for loan losses 419,511   443,817
Carrying Reported Amount Fair Value Disclosure [Member] | Credit Card And Other Portfolio Segment [Member]      
Assets:      
Total loans, net of unearned income and allowance for loan losses 344,976   337,869
Estimate Of Fair Value Fair Value Disclosure [Member]      
Assets:      
Total loans, net of unearned income and allowance for loan losses 19,159,049   16,209,602
Short-term financial assets:      
Interest-bearing cash 219,834   596,689
Federal funds sold 27,097   64,438
Securities purchased under agreements to resell 802,815   793,098
Total short-term financial assets 1,049,746   1,454,225
Trading securities [4] 1,320,535   1,229,180
Loans held-for-sale 155,215   124,308 [4]
Securities available-for-sale [4] 4,027,594 [5]   3,673,641 [6]
Securities held-to-maturity 15,042   5,404
Derivative assets [4] 160,736   152,548
Other assets:      
Tax credit investments 89,879   58,030
Deferred compensation assets 31,892   25,972
Total other assets 121,771   84,002
Nonearning assets:      
Cash and due from banks 327,639   256,342
Fixed income receivables 91,997   83,547
Accrued interest receivable 64,511   65,956
Total nonearning assets 484,147   405,845
Total assets 26,493,835   23,338,755
Deposits:      
Defined maturity 1,334,178   1,039,007
Undefined maturity 20,249,101   17,831,324
Total deposits 21,583,279   18,870,331
Trading liabilities [4] 702,226   788,563
Short-term financial liabilities:      
Federal funds purchased 538,284   520,992
Securities sold under agreements to repurchase 341,998   332,329
Other short-term borrowings 792,736   99,887
Total short-term financial liabilities 1,673,018   953,208
Term borrowings:      
Real estate investment trust-preferred 49,350   49,350
Term borrowings - new market tax credit investment 18,240   18,158
Borrowings secured by residential real estate 24,759   41,848
Other long term borrowings 965,124   1,214,410
Total term borrowings 1,057,473   1,323,766
Derivative liabilities [4] 144,829   140,965
Other noninterest-bearing liabilities:      
Fixed income payables 68,897   95,346
Accrued interest payable 15,376   25,358
Total other noninterest-bearing liabilities 84,273   120,704
Total liabilities 25,245,098   22,197,537
Loan commitments 1,998   2,694
Standby and other commitments 3,867   4,424
Estimate Of Fair Value Fair Value Disclosure [Member] | Commercial Financial And Industrial Portfolio Segment [Member]      
Assets:      
Total loans, net of unearned income and allowance for loan losses 11,937,281   9,473,702
Estimate Of Fair Value Fair Value Disclosure [Member] | Commercial Real Estate Portfolio Segment [Member]      
Assets:      
Total loans, net of unearned income and allowance for loan losses 2,009,820   1,447,848
Estimate Of Fair Value Fair Value Disclosure [Member] | Consumer Real Estate Portfolio Segment [Member]      
Assets:      
Total loans, net of unearned income and allowance for loan losses 4,455,675   4,535,337
Estimate Of Fair Value Fair Value Disclosure [Member] | Permanent Mortgage Portfolio Segment [Member]      
Assets:      
Total loans, net of unearned income and allowance for loan losses 410,302   413,188
Estimate Of Fair Value Fair Value Disclosure [Member] | Credit Card And Other Portfolio Segment [Member]      
Assets:      
Total loans, net of unearned income and allowance for loan losses 345,971   339,527
Contractual Amount [Member]      
Other noninterest-bearing liabilities:      
Loan commitments 8,012,345   7,962,431
Standby and other commitments 287,499   281,740
Fair Value Inputs Level1 [Member]      
Short-term financial assets:      
Securities available-for-sale 24,636   25,840
Other assets:      
Total other assets 43,651   42,307
Fair Value Inputs Level1 [Member] | Estimate Of Fair Value Fair Value Disclosure [Member]      
Assets:      
Total loans, net of unearned income and allowance for loan losses 0   0
Short-term financial assets:      
Interest-bearing cash 219,834   596,689
Federal funds sold 0   0
Securities purchased under agreements to resell 0   0
Total short-term financial assets 219,834   596,689
Trading securities [4] 0   0
Loans held-for-sale 0   0 [4]
Securities available-for-sale [4] 24,636 [5]   25,840 [6]
Securities held-to-maturity 0   0
Derivative assets [4] 11,759   16,335
Other assets:      
Tax credit investments 0   0
Deferred compensation assets 31,892   25,972
Total other assets 31,892   25,972
Nonearning assets:      
Cash and due from banks 327,639   256,342
Fixed income receivables 0   0
Accrued interest receivable 0   0
Total nonearning assets 327,639   256,342
Total assets 615,760   921,178
Deposits:      
Defined maturity 0   0
Undefined maturity 0   0
Total deposits 0   0
Trading liabilities [4] 0   0
Short-term financial liabilities:      
Federal funds purchased 0   0
Securities sold under agreements to repurchase 0   0
Other short-term borrowings 0   0
Total short-term financial liabilities 0   0
Term borrowings:      
Real estate investment trust-preferred 0   0
Term borrowings - new market tax credit investment 0   0
Borrowings secured by residential real estate 0   0
Other long term borrowings 0   0
Total term borrowings 0   0
Derivative liabilities [4] 10,924   15,921
Other noninterest-bearing liabilities:      
Fixed income payables 0   0
Accrued interest payable 0   0
Total other noninterest-bearing liabilities 0   0
Total liabilities 10,924   15,921
Fair Value Inputs Level1 [Member] | Estimate Of Fair Value Fair Value Disclosure [Member] | Commercial Financial And Industrial Portfolio Segment [Member]      
Assets:      
Total loans, net of unearned income and allowance for loan losses 0   0
Fair Value Inputs Level1 [Member] | Estimate Of Fair Value Fair Value Disclosure [Member] | Commercial Real Estate Portfolio Segment [Member]      
Assets:      
Total loans, net of unearned income and allowance for loan losses 0   0
Fair Value Inputs Level1 [Member] | Estimate Of Fair Value Fair Value Disclosure [Member] | Consumer Real Estate Portfolio Segment [Member]      
Assets:      
Total loans, net of unearned income and allowance for loan losses 0   0
Fair Value Inputs Level1 [Member] | Estimate Of Fair Value Fair Value Disclosure [Member] | Permanent Mortgage Portfolio Segment [Member]      
Assets:      
Total loans, net of unearned income and allowance for loan losses 0   0
Fair Value Inputs Level1 [Member] | Estimate Of Fair Value Fair Value Disclosure [Member] | Credit Card And Other Portfolio Segment [Member]      
Assets:      
Total loans, net of unearned income and allowance for loan losses 0   0
Fair Value Inputs Level2 [Member]      
Short-term financial assets:      
Securities available-for-sale 3,841,601   3,489,142
Other assets:      
Total other assets 148,977   136,213
Fair Value Inputs Level2 [Member] | Estimate Of Fair Value Fair Value Disclosure [Member]      
Assets:      
Total loans, net of unearned income and allowance for loan losses 0   0
Short-term financial assets:      
Interest-bearing cash 0   0
Federal funds sold 27,097   64,438
Securities purchased under agreements to resell 802,815   793,098
Total short-term financial assets 829,912   857,536
Trading securities [4] 1,317,751   1,224,577
Loans held-for-sale 46,681   0 [4]
Securities available-for-sale [4] 3,841,601 [5]   3,489,142 [6]
Securities held-to-maturity 0   0
Derivative assets [4] 148,977   136,213
Other assets:      
Tax credit investments 0   0
Deferred compensation assets 0   0
Total other assets 0   0
Nonearning assets:      
Cash and due from banks 0   0
Fixed income receivables 91,997   83,547
Accrued interest receivable 64,511   65,956
Total nonearning assets 156,508   149,503
Total assets 6,341,430   5,856,971
Deposits:      
Defined maturity 1,334,178   1,039,007
Undefined maturity 20,249,101   17,831,324
Total deposits 21,583,279   18,870,331
Trading liabilities [4] 702,226   788,563
Short-term financial liabilities:      
Federal funds purchased 538,284   520,992
Securities sold under agreements to repurchase 341,998   332,329
Other short-term borrowings 792,736   99,887
Total short-term financial liabilities 1,673,018   953,208
Term borrowings:      
Real estate investment trust-preferred 0   0
Term borrowings - new market tax credit investment 0   0
Borrowings secured by residential real estate 0   0
Other long term borrowings 965,124   1,214,410
Total term borrowings 965,124   1,214,410
Derivative liabilities [4] 127,365   120,234
Other noninterest-bearing liabilities:      
Fixed income payables 68,897   95,346
Accrued interest payable 15,376   25,358
Total other noninterest-bearing liabilities 84,273   120,704
Total liabilities 25,135,285   22,067,450
Fair Value Inputs Level2 [Member] | Estimate Of Fair Value Fair Value Disclosure [Member] | Commercial Financial And Industrial Portfolio Segment [Member]      
Assets:      
Total loans, net of unearned income and allowance for loan losses 0   0
Fair Value Inputs Level2 [Member] | Estimate Of Fair Value Fair Value Disclosure [Member] | Commercial Real Estate Portfolio Segment [Member]      
Assets:      
Total loans, net of unearned income and allowance for loan losses 0   0
Fair Value Inputs Level2 [Member] | Estimate Of Fair Value Fair Value Disclosure [Member] | Consumer Real Estate Portfolio Segment [Member]      
Assets:      
Total loans, net of unearned income and allowance for loan losses 0   0
Fair Value Inputs Level2 [Member] | Estimate Of Fair Value Fair Value Disclosure [Member] | Permanent Mortgage Portfolio Segment [Member]      
Assets:      
Total loans, net of unearned income and allowance for loan losses 0   0
Fair Value Inputs Level2 [Member] | Estimate Of Fair Value Fair Value Disclosure [Member] | Credit Card And Other Portfolio Segment [Member]      
Assets:      
Total loans, net of unearned income and allowance for loan losses 0   0
Fair Value Inputs Level3 [Member]      
Short-term financial assets:      
Securities available-for-sale 0   2,946
Other assets:      
Total other assets 1,246   1,993
Fair Value Inputs Level3 [Member] | Estimate Of Fair Value Fair Value Disclosure [Member]      
Assets:      
Total loans, net of unearned income and allowance for loan losses 19,159,049   16,209,602
Short-term financial assets:      
Interest-bearing cash 0   0
Federal funds sold 0   0
Securities purchased under agreements to resell 0   0
Total short-term financial assets 0   0
Trading securities [4] 2,784   4,603
Loans held-for-sale 108,534   124,308 [4]
Securities available-for-sale [4] 161,357 [5]   158,659 [6]
Securities held-to-maturity 15,042   5,404
Derivative assets [4] 0   0
Other assets:      
Tax credit investments 89,879   58,030
Deferred compensation assets 0   0
Total other assets 89,879   58,030
Nonearning assets:      
Cash and due from banks 0   0
Fixed income receivables 0   0
Accrued interest receivable 0   0
Total nonearning assets 0   0
Total assets 19,536,645   16,560,606
Deposits:      
Defined maturity 0   0
Undefined maturity 0   0
Total deposits 0   0
Trading liabilities [4] 0   0
Short-term financial liabilities:      
Federal funds purchased 0   0
Securities sold under agreements to repurchase 0   0
Other short-term borrowings 0   0
Total short-term financial liabilities 0   0
Term borrowings:      
Real estate investment trust-preferred 49,350   49,350
Term borrowings - new market tax credit investment 18,240   18,158
Borrowings secured by residential real estate 24,759   41,848
Other long term borrowings 0   0
Total term borrowings 92,349   109,356
Derivative liabilities [4] 6,540   4,810
Other noninterest-bearing liabilities:      
Fixed income payables 0   0
Accrued interest payable 0   0
Total other noninterest-bearing liabilities 0   0
Total liabilities 98,889   114,166
Fair Value Inputs Level3 [Member] | Estimate Of Fair Value Fair Value Disclosure [Member] | Commercial Financial And Industrial Portfolio Segment [Member]      
Assets:      
Total loans, net of unearned income and allowance for loan losses 11,937,281   9,473,702
Fair Value Inputs Level3 [Member] | Estimate Of Fair Value Fair Value Disclosure [Member] | Commercial Real Estate Portfolio Segment [Member]      
Assets:      
Total loans, net of unearned income and allowance for loan losses 2,009,820   1,447,848
Fair Value Inputs Level3 [Member] | Estimate Of Fair Value Fair Value Disclosure [Member] | Consumer Real Estate Portfolio Segment [Member]      
Assets:      
Total loans, net of unearned income and allowance for loan losses 4,455,675   4,535,337
Fair Value Inputs Level3 [Member] | Estimate Of Fair Value Fair Value Disclosure [Member] | Permanent Mortgage Portfolio Segment [Member]      
Assets:      
Total loans, net of unearned income and allowance for loan losses 410,302   413,188
Fair Value Inputs Level3 [Member] | Estimate Of Fair Value Fair Value Disclosure [Member] | Credit Card And Other Portfolio Segment [Member]      
Assets:      
Total loans, net of unearned income and allowance for loan losses 345,971   339,527
FHLB-Cincinnati Stock [Member] | Fair Value Inputs Level3 [Member]      
Other noninterest-bearing liabilities:      
Restricted investments 87,900   87,900
FRB Stock [Member] | Fair Value Inputs Level3 [Member]      
Other noninterest-bearing liabilities:      
Restricted investments $ 68,600   $ 65,800
[1] September 30 , 2016 and 2015 an d December 31, 2015 include $17.2 million , $ 21.7 million and $22.4 million, respectively, of held-for-sale consumer mortgage loans secured by residentia l real estate in process of foreclosure.
[2] Includes $ 3.3 billion of securities pledged to secure public deposits, securities sold under agreements to repurchase, and for other purposes.
[3] Includes $ 2.9 billion of securities pledged to secure public deposits, securities sold under agreements to repu rchase, and for other purposes .
[4] Classes are detailed in the recurring and nonrecurring measurement tables.
[5] Level 3 includes restricted investments in FHLB-Cincinnati stock of $ 87.9 million and FRB stock of $ 68.6 million .
[6] Level 3 includes restricted investments in FHLB-Cincinnati stock of $ 87.9 million and FRB stock of $ 65.8 million.