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Supplemental disclosure on the consolidated statements of cash flows (Tables)
3 Months Ended
Mar. 31, 2014
Schedule Of Cash Flow Supplemental Disclosures Table Text Block
     
(In thousands) March 31, 2014 March 31, 2013
Non-cash activities:    
Loans transferred to other real estate$ 35,272$ 85,520
Loans transferred to other property  10,538  7,852
Total loans transferred to foreclosed assets  45,810  93,372
Transfers from loans held-in-portfolio to loans held-for-sale  29,896  178,157
Transfers from loans held-for-sale to loans held-in-portfolio  1,919  16,109
Loans securitized into investment securities[1]  228,515  413,394
Trades receivable from brokers and counterparties  74,603  144,171
Trades payable to brokers and counterparties  222,297  37,149
Recognition of mortgage servicing rights on securitizations or asset transfers  3,528  5,102
Loans sold to a joint venture in exchange for an acquisition loan and an equity     
interest in the joint venture  -  194,514
[1] Includes loans securitized into trading securities and subsequently sold before quarter end.