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Fair Value Measurements (Tables)
3 Months Ended
Mar. 31, 2014
Fair Value, Assets and Liabilities Measured on Recurring and Nonrecurring Basis [Line Items]  
Assets and Liabilities Measured at Fair Value Using Significant Unobservable Inputs (Level 3)
Assets and Liabilities Measured at Fair Value
Using Significant Unobservable Inputs (Level 3)
 Investment Securities Available for Sale Derivative Financial Instruments
($ in Thousands)   
Balance December 31, 2012$ 480 $ 7,647
 Total net losses included in income:     
  Mortgage derivative loss    (5,930)
 Total net losses included in other comprehensive income:     
  Unrealized investment securities loss  (70)  
 Sales of investment securities  (111)  
Balance December 31, 2013$ 299 $ 1,717
 Total net losses included in income:     
  Mortgage derivative loss    (414)
 Total net losses included in other comprehensive income:     
  Unrealized investment securities loss  (78)  
 Sales of investment securities  6  
Balance March 31, 2014$ 227 $ 1,303
Assets and Liabilities Measured on Nonrecurring Basis at Fair Value
Assets and Liabilities Measured at Fair Value on a Nonrecurring Basis
     Fair Value Measurements Using
 March 31, 2014 Level 1   Level 2   Level 3
  ($ in Thousands)
Assets:           
Loans held for sale$ 46,529 $ $ 46,529 $
Impaired loans (1)  83,470       83,470
Mortgage servicing rights  71,987       71,987

     Fair Value Measurements Using
 December 31, 2013 Level 1   Level 2   Level 3
  ($ in Thousands)
Assets:           
Loans held for sale$ 64,738 $ $ 64,738 $
Impaired loans (1)  88,049       88,049
Mortgage servicing rights  74,444       74,444
Estimated fair values of financial instruments
  March 31, 2014
  Carrying   Fair Value Measurements Using
  Amount  Fair Value  Level 1 Level 2 Level 3
  ($ in Thousands)
Financial assets:          
Cash and due from banks$ 526,951$ 526,951$ 526,951$$
Interest-bearing deposits in other financial institutions  92,071  92,071  92,071  
Federal funds sold and securities purchased under          
agreements to resell  4,400  4,400  4,400  
Investment securities held to maturity  193,759  193,146   193,146 
Investment securities available for sale  5,277,908  5,277,908  4,249  5,273,432  227
FHLB and Federal Reserve Bank stocks  181,360  181,360   181,360 
Loans held for sale  46,529  46,529   46,529 
Loans, net  16,173,528  16,224,051    16,224,051
Bank owned life insurance  568,631  568,631   568,631 
Accrued interest receivable  69,317  69,317  69,317  
Interest rate-related instruments   40,078  40,078   40,078 
Foreign currency exchange forwards  744  744   744 
Interest rate lock commitments to originate residential           
mortgage loans held for sale  791  791    791
Forward commitments to sell residential mortgage loans  512  512    512
Purchased options (time deposit)  7,490  7,490   7,490 
Financial liabilities:          
Noninterest-bearing demand, savings, interest-bearing           
demand, and money market deposits$ 15,885,280$ 15,885,280$$$ 15,885,280
Brokered CDs and other time deposits  1,624,647  1,626,978   1,626,978 
Short-term funding  1,247,906  1,247,906   1,247,906 
Long-term funding  2,932,040  2,924,315   2,924,315 
Accrued interest payable  1,520  1,520  1,520  
Interest rate-related instruments   42,843  42,843   42,843 
Foreign currency exchange forwards  607  607   607 
Standby letters of credit (1)  3,844  3,844   3,844 
Written options (time deposit)  7,490  7,490   7,490 

  December 31, 2013
  Carrying   Fair Value Measurements Using
  Amount  Fair Value  Level 1 Level 2 Level 3
  ($ in Thousands)
Financial assets:          
Cash and due from banks$ 455,482$ 455,482$ 455,482$$
Interest-bearing deposits in other financial institutions  126,018  126,018  126,018  
Federal funds sold and securities purchased under           
agreements to resell  20,745  20,745  20,745  
Investment securities held to maturity  175,210  169,889   169,889 
Investment securities available for sale  5,250,585  5,250,585  4,240  5,246,046  299
FHLB and Federal Reserve Bank stocks  181,249  181,249   181,249 
Loans held for sale  64,738  64,738   64,738 
Loans, net  15,627,946  15,599,094    15,599,094
Bank owned life insurance  568,413  568,413   568,413 
Accrued interest receivable  66,308  66,308  66,308  
Interest rate-related instruments   42,980  42,980   42,980 
Foreign currency exchange forwards  748  748   748 
Interest rate lock commitments to originate residential           
mortgage loans held for sale  416  416    416
Forward commitments to sell residential mortgage loans  1,301  1,301    1,301
Purchased options (time deposit)  7,328  7,328   7,328 
Financial liabilities:          
Noninterest-bearing demand, savings, interest-bearing           
demand, and money market deposits$ 15,581,971$ 15,581,971$$$ 15,581,971
Brokered CDs and other time deposits  1,685,196  1,687,198   1,687,198 
Short-term funding  740,926  740,926   740,926 
Long-term funding  3,087,267  3,085,893   3,085,893 
Accrued interest payable  7,994  7,994  7,994  
Interest rate-related instruments   45,815  45,815   45,815 
Foreign currency exchange forwards  655  655   655 
Standby letters of credit (1)  3,754  3,754   3,754 
Written options (time deposit)  7,328  7,328   7,328 
Fair Value, Measurements, Recurring [Member]
 
Fair Value, Assets and Liabilities Measured on Recurring and Nonrecurring Basis [Line Items]  
Assets and Liabilities Measured on Recurring Basis at Fair Value
Assets and Liabilities Measured at Fair Value on a Recurring Basis
      Fair Value Measurements Using
  March 31, 2014 Level 1   Level 2   Level 3
   ($ in Thousands)
Assets:           
Investment securities available for sale:           
U.S. Treasury securities$ 1,002 $ 1,002 $ $
Obligations of state and political subdivisions (municipal securities)  665,344     665,344  
Residential mortgage-related securities:           
 Government-sponsored enterprise (GSE)  3,769,242     3,769,242  
 Private-label  2,697     2,697  
GNMA commercial mortgage-related securities  813,567     813,567  
Asset-backed securities  21,282     21,282  
Other securities (debt and equity)  4,774   3,247   1,300   227
 Total investment securities available for sale$ 5,277,908 $ 4,249 $ 5,273,432 $ 227
Derivatives (trading and other assets)$ 49,615 $ $ 48,312 $ 1,303
Liabilities:           
Derivatives (trading and other liabilities)$ 50,940 $ $ 50,940 $

      Fair Value Measurements Using
  December 31, 2013 Level 1   Level 2   Level 3
   ($ in Thousands)
Assets:           
Investment securities available for sale:           
U.S. Treasury securities$ 1,002 $ 1,002 $ $
Obligations of state and political subdivisions (municipal securities)  676,080     676,080  
Residential mortgage-related securities:           
 Government-sponsored enterprise (GSE)  3,838,430     3,838,430  
 Private-label  3,014     3,014  
GNMA commercial mortgage-related securities  647,477     647,477  
Asset-backed securities  23,059     23,059  
Other securities (debt and equity)  61,523   3,238   57,986   299
 Total investment securities available for sale$ 5,250,585 $ 4,240 $ 5,246,046 $ 299
Derivatives (trading and other assets)$ 52,773 $ $ 51,056 $ 1,717
Liabilities:           
Derivatives (trading and other liabilities)$ 53,798 $ $ 53,798 $