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Note 20 - Commitments, Guarantees, and Contingent Liabilities (Tables)
12 Months Ended
Dec. 31, 2011
Contractual or Notional Amounts of Financial Instruments [Text Block]
   
December 31,
 
   
2011
   
2010
 
Commitments to extend credit:
           
Home equity lines
  $ 257,315     $ 275,826  
Credit card lines
    21,257       26,376  
1-4 family real estate construction
    13,300       26,682  
Commercial real estate
    139,574       175,608  
Commercial and industrial
    609,601       553,168  
Overdraft protection program (1)
    178,699       169,824  
All other commitments
    129,015       97,299  
Total commitments
  $ 1,348,761     $ 1,324,783  
Letters of credit:
               
1-4 family real estate construction
  $ 8,661     $ 10,551  
Commercial real estate
    49,373       54,896  
All other
    58,532       74,594  
Total letters of credit
  $ 116,566     $ 140,041  
Unamortized fees associated with letters of credit (2) (3)
  $ 668     $ 696  
Remaining weighted-average term, in months
    9.62       12.2  
Remaining lives, in years
 
0.1 to 12.6
   
0.1 to 9.5
 
Recourse on assets securitized:
               
Unpaid principal balance of assets securitized
  $ -     $ 7,424  
Cap on recourse obligation
  $ -     $ 2,208  
Carrying value of recourse obligation (2)
  $ -     $ 148  
Repurchases and Charge-Offs of Recourse Loans [Table Text Block]
 
Years ended December 31,
 
 
2011
 
2010
 
2009
 
Recourse loans repurchased during the year
  $ -     $ 241     $ 767  
Recourse loans charged-off during the year
    -       174       73