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MANDATORILY REDEEMABLE PREFERRED SECURITIES (Details) (USD $)
In Millions, unless otherwise specified
3 Months Ended
Mar. 31, 2013
Debt Instrument [Line Items]  
Number of wholly owned, unconsolidated subsidiary trusts 2
Percent ownership of unconsolidated subsidiary trusts (in hundredths) 100.00%
Community Statutory Trust III [Member]
 
Terms of preferred securities for each trust [Abstract]  
Issuance Date 2001-07-31
Par Amount $ 24.5
Variable Interest Rate Basis 3 month LIBOR
Variable Interest Rate, Basis Spread (in hundredths) 3.58%
Effective Interest Rate (in hundredths) 3.88%
Maturity Date 2031-07-31
Call Provision Par
Community Capital Trust IV [Member]
 
Terms of preferred securities for each trust [Abstract]  
Issuance Date 2006-12-08
Par Amount $ 75.0
Variable Interest Rate Basis 3 month LIBOR
Variable Interest Rate, Basis Spread (in hundredths) 1.65%
Effective Interest Rate (in hundredths) 1.93%
Maturity Date 2036-12-15
Call Provision Par