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Securities Available For Sale (Tables)
12 Months Ended
Dec. 31, 2014
Securities Available For Sale [Abstract]  
Summary Of Securities Available For Sale
Schedule Of OTTI Related To Historical Estimated Credit Losses On Debt Securities And Changes In Estimated Credit Losses Recognized In Pre-Tax Earnings
2014 2013 2012
Estimated credit losses as of prior year-end, $ 3,923 $ 4,365 $ 4,697
Additions for credit losses for securities on which
OTTI has been previously recognized --- 249 171
Additions for credit losses for securities on which
OTTI has not been previously recognized --- --- 682
Reductions for securities paid off during the period 510 691 1,185
Estimated credit losses as of December 31, $ 3,413 $ 3,923 $ 4,365
Schedule Of Fair Value Of Securities With Continuous Unrealized Losses
Schedule Of Maturities Distribution Of The Amortized Cost And Estimated Fair Value Of Securities Available For Sale
Amortized Estimated
Securities Available for Sale Cost Fair Value
Due one year or less $ --- $ ---
Due after one year through five years 5,195 5,307
Due after five years through ten years 12,860 13,639
Due after ten years 440,315 451,579
Total $ 458,370 $ 470,525
Schedule Of Realized Gains And Losses And Other-Than-Temporary Impairment Losses On Securities
Proceeds Other
from Sale of Than
Securities Temporary
Available Realized Realized Impairment
for Sale Gains Losses Losses Net
2014 $ 37,278 $ 809 $ (406 ) $ --- $ 403
2013 $ 17,234 $ 684 $ (8) $ 249 $ 427
2012 $ 39,304 $ 1,963 $ (25) $ 853 $ 1,085