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Fair Value Measurement of Assets and Liabilities - Carrying Amounts and Estimated Fair Values (Detail) - USD ($)
$ in Thousands
Jun. 30, 2017
Dec. 31, 2016
Fair value and carrying amounts of assets and liabilities not measured and not reported at fair value on the consolidated statement of financial condition    
Interest bearing deposits with banks $ 129,959 $ 171,710
Investment securities held to maturity: 1,828,732 1,924,597
Accrued interest receivable 69,732 66,816
Deposits with stated maturities 3,368,993 3,138,871
Carrying Amount    
Fair value and carrying amounts of assets and liabilities not measured and not reported at fair value on the consolidated statement of financial condition    
Investment securities held to maturity: 1,822,263 1,925,572
Carrying Amount | Level 1    
Fair value and carrying amounts of assets and liabilities not measured and not reported at fair value on the consolidated statement of financial condition    
Cash and due from banks 227,830 220,791
Interest bearing deposits with banks 129,959 171,710
Accrued interest receivable 69,732 66,816
Federal Reserve Bank and Federal Home Loan Bank stock 201,116 147,127
Deposits without stated maturities 13,881,025 14,591,837
Short-term borrowings 1,734,444 1,080,960
Accrued interest payable 10,931 10,675
Carrying Amount | Level 1 | U.S. Treasury securities    
Fair value and carrying amounts of assets and liabilities not measured and not reported at fair value on the consolidated statement of financial condition    
Investment securities held to maturity: 138,754 138,830
Carrying Amount | Level 2    
Fair value and carrying amounts of assets and liabilities not measured and not reported at fair value on the consolidated statement of financial condition    
Deposits with stated maturities 3,368,993 3,138,871
Long-term borrowings 1,819,615 1,433,906
Junior subordinated debentures issued to capital trusts 41,658 41,577
Carrying Amount | Level 2 | U.S. government agency securities    
Fair value and carrying amounts of assets and liabilities not measured and not reported at fair value on the consolidated statement of financial condition    
Investment securities held to maturity: 10,597 11,329
Carrying Amount | Level 2 | Obligations of states and political subdivisions    
Fair value and carrying amounts of assets and liabilities not measured and not reported at fair value on the consolidated statement of financial condition    
Investment securities held to maturity: 501,402 566,590
Carrying Amount | Level 2 | Residential mortgage-backed securities    
Fair value and carrying amounts of assets and liabilities not measured and not reported at fair value on the consolidated statement of financial condition    
Investment securities held to maturity: 1,070,137 1,112,460
Carrying Amount | Level 2 | Trust preferred securities    
Fair value and carrying amounts of assets and liabilities not measured and not reported at fair value on the consolidated statement of financial condition    
Investment securities held to maturity: 59,814 59,804
Carrying Amount | Level 2 | Corporate and other debt securities    
Fair value and carrying amounts of assets and liabilities not measured and not reported at fair value on the consolidated statement of financial condition    
Investment securities held to maturity: 41,559 36,559
Carrying Amount | Level 3    
Fair value and carrying amounts of assets and liabilities not measured and not reported at fair value on the consolidated statement of financial condition    
Net loans 17,594,314 17,121,684
Fair Value    
Fair value and carrying amounts of assets and liabilities not measured and not reported at fair value on the consolidated statement of financial condition    
Investment securities held to maturity: 1,828,732 1,924,597
Fair Value | Level 1    
Fair value and carrying amounts of assets and liabilities not measured and not reported at fair value on the consolidated statement of financial condition    
Cash and due from banks 227,830 220,791
Interest bearing deposits with banks 129,959 171,710
Accrued interest receivable 69,732 66,816
Federal Reserve Bank and Federal Home Loan Bank stock 201,116 147,127
Deposits without stated maturities 13,881,025 14,591,837
Short-term borrowings 1,739,208 1,081,751
Accrued interest payable 10,931 10,675
Fair Value | Level 1 | U.S. Treasury securities    
Fair value and carrying amounts of assets and liabilities not measured and not reported at fair value on the consolidated statement of financial condition    
Investment securities held to maturity: 147,656 147,495
Fair Value | Level 2    
Fair value and carrying amounts of assets and liabilities not measured and not reported at fair value on the consolidated statement of financial condition    
Deposits with stated maturities 3,375,127 3,160,572
Long-term borrowings 1,906,668 1,523,386
Junior subordinated debentures issued to capital trusts 46,298 45,785
Fair Value | Level 2 | U.S. government agency securities    
Fair value and carrying amounts of assets and liabilities not measured and not reported at fair value on the consolidated statement of financial condition    
Investment securities held to maturity: 10,802 11,464
Fair Value | Level 2 | Obligations of states and political subdivisions    
Fair value and carrying amounts of assets and liabilities not measured and not reported at fair value on the consolidated statement of financial condition    
Investment securities held to maturity: 517,830 577,826
Fair Value | Level 2 | Residential mortgage-backed securities    
Fair value and carrying amounts of assets and liabilities not measured and not reported at fair value on the consolidated statement of financial condition    
Investment securities held to maturity: 1,062,008 1,102,802
Fair Value | Level 2 | Trust preferred securities    
Fair value and carrying amounts of assets and liabilities not measured and not reported at fair value on the consolidated statement of financial condition    
Investment securities held to maturity: 48,268 47,290
Fair Value | Level 2 | Corporate and other debt securities    
Fair value and carrying amounts of assets and liabilities not measured and not reported at fair value on the consolidated statement of financial condition    
Investment securities held to maturity: 42,168 37,720
Fair Value | Level 3    
Fair value and carrying amounts of assets and liabilities not measured and not reported at fair value on the consolidated statement of financial condition    
Net loans $ 17,187,164 $ 16,756,655