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Other Comprehensive Income (Loss) (Tables)
6 Months Ended
Jun. 30, 2011
Other Comprehensive Income (Loss) [Abstract]  
Other Comprehensive Income (Loss) Components And Related Taxes
Six months ended June 30,
(in thousands)
 
Before-tax
amount
   
Tax expense
(benefit)
   
Net-of-tax
amount
 
                   
2011:
                 
Unrealized gains on available-for-sale securities
  $ 8,919     $ 3,121     $ 5,798  
Reclassification adjustment for gains realized in net income
    (21,997 )     (7,699 )     (14,298 )
Unrealized net holding gain on cash flow hedge
    297       104       193  
Other comprehensive loss
  $ (12,781 )   $ (4,474 )   $ (8,307 )
                         
2010:
                       
Unrealized gains on available-for-sale securities
  $ 12,479     $ 4,368     $ 8,111  
Reclassification adjustment for gains realized in net income
    (11,819 )     (4,137 )     (7,682 )
Unrealized net holding loss on cash flow hedge
    (324 )     (113 )     (211 )
Other comprehensive income
  $ 336     $ 118     $ 218  
Three months ended June 30,
(in thousands)
 
Before-tax amount
   
Tax expense (benefit)
   
Net-of-tax amount
 
                   
2011:
                 
   Unrealized gains on available-for-sale securities
  $ 12,085     $ 4,229     $ 7,856  
   Reclassification adjustment for gains realized in net income
    (15,362 )     (5,377 )     (9,985 )
   Unrealized net holding gain on cash flow hedge
    93       33       60  
           Other comprehensive loss
  $ (3,184 )   $ (1,115 )   $ (2,069 )
                         
2010:
                       
   Unrealized gains on available-for-sale securities
  $ 6,934     $ 2,428     $ 4,506  
   Reclassification adjustment for gains realized in net income
    (3,515 )     (1,231 )     (2,284 )
   Unrealized net holding loss on cash flow hedge
    (153 )     (53 )     (100 )
           Other comprehensive income
  $ 3,266     $ 1,144     $ 2,122  
Component Of Accumulated Other Comprehensive Income (Loss)
(in thousands)
 
Before-tax
amount
   
Tax expense
(benefit)
   
Net-of-tax
amount
 
                   
June 30, 2011:
                 
Changes in pension plan assets and benefit obligations
  $ (24,503 )   $ (8,576 )   $ (15,927 )
Unrealized gains on available-for-sale securities
    10,186       3,565       6,621  
Unrealized net holding loss on cash flow hedge
    (1,337 )     (468 )     (869 )
Total accumulated other comprehensive loss
  $ (15,654 )   $ (5,479 )   $ (10,175 )
                         
December 31, 2010:
                       
Changes in pension plan assets and benefit obligations
  $ (24,503 )   $ (8,576 )   $ (15,927 )
Unrealized gains on available-for-sale securities
    23,264       8,143       15,121  
Unrealized net holding loss on cash flow hedge
    (1,634 )     (572 )     (1,062 )
Total accumulated other comprehensive loss
  $ (2,873 )   $ (1,005 )   $ (1,868 )
                         
June 30, 2010:
                       
Changes in pension plan assets and benefit obligations
  $ (20,769 )   $ (7,269 )   $ (13,500 )
Unrealized gains on available-for-sale securities
    47,006       16,452       30,554  
Unrealized net holding loss on cash flow hedge
    (1,807 )     (632 )     (1,175 )
Total accumulated other comprehensive income
  $ 24,430     $ 8,551     $ 15,879