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Securities Part 1 (Details) (USD $)
Jun. 30, 2012
Dec. 31, 2011
Sep. 30, 2011
Jun. 30, 2011
Trading Securities [Abstract]        
Fair Value, trading securities $ 149,317,000 $ 76,800,000   $ 99,846,000
Held-to-Maturity [Abstract]        
Amortized Cost 404,258,000 427,594,000   349,583,000
Carrying Value 412,479,000 [1] 439,236,000 [1]    
Investment securities, fair value 440,638,000 462,657,000   369,247,000
Not Recognized in OCI Gross Unrealized Gain 28,184,000 [1] 25,193,000 [1]   19,668,000 [1]
Not Recognized in OCI Gross Unrealized Loss (25,000) [1] (1,772,000) [1]   (4,000) [1]
Net Unrealized Gain on Investment Securities Transferred from Available for Sale Securities Portfolio 7,500,000 12,000,000 13,000,000  
Fair Value of Investment Securities Transferred from Available for Sale Securities Portfolio     131,000,000  
Amortized Cost of Investment Securities Transferred from Available for Sale Securities Portfolio     118,000,000  
Municipal and Other Tax Exempt Securities [Member]
       
Held-to-Maturity [Abstract]        
Amortized Cost 126,168,000 128,697,000    
Carrying Value 126,168,000 128,697,000    
Investment securities, fair value 130,308,000 133,670,000    
Not Recognized in OCI Gross Unrealized Gain 4,165,000 4,975,000    
Not Recognized in OCI Gross Unrealized Loss (25,000) (2,000)    
Residential Mortgage Backed Securities [Member]
       
Held-to-Maturity [Abstract]        
Amortized Cost 94,126,000 110,062,000   160,870,000
Carrying Value 102,347,000 121,704,000    
Investment securities, fair value 105,535,000 120,536,000   165,449,000
Not Recognized in OCI Gross Unrealized Gain 3,188,000 602,000   4,583,000
Not Recognized in OCI Gross Unrealized Loss 0 (1,770,000)   (4,000)
Other Debt Obligations [Member]
       
Held-to-Maturity [Abstract]        
Amortized Cost 183,964,000 188,835,000   188,713,000
Carrying Value 183,964,000 188,835,000    
Investment securities, fair value 204,795,000 208,451,000   203,798,000
Not Recognized in OCI Gross Unrealized Gain 20,831,000 19,616,000   15,085,000
Not Recognized in OCI Gross Unrealized Loss 0 0   0
Fixed Maturities Securities [Member]
       
Held-to-Maturity [Abstract]        
Carrying Value 310,132,000      
Investment securities, fair value 335,103,000      
Trading Securities [Member]
       
Trading Securities [Abstract]        
Fair Value, trading securities 149,317,000 76,800,000   99,846,000
Net Unrealized Gain (Loss) 240,000 783,000   (290,000)
Trading Securities [Member] | US Government Agencies Debt Securities [Member]
       
Trading Securities [Abstract]        
Fair Value, trading securities 46,502,000 12,379,000   22,739,000
Net Unrealized Gain (Loss) 222,000 59,000   9,000
Trading Securities [Member] | Obligations of the U. S. Government [Member]
       
Trading Securities [Abstract]        
Fair Value, trading securities 53,514,000 22,203,000   11,825,000
Net Unrealized Gain (Loss) 23,000 63,000   (37,000)
Trading Securities [Member] | Municipal and Other Tax Exempt Securities [Member]
       
Trading Securities [Abstract]        
Fair Value, trading securities 44,632,000 39,345,000   62,285,000
Net Unrealized Gain (Loss) 9,000 652,000   (249,000)
Trading Securities [Member] | Other trading securities [Member]
       
Trading Securities [Abstract]        
Fair Value, trading securities 4,669,000 2,873,000   2,997,000
Net Unrealized Gain (Loss) $ (14,000) $ 9,000   $ (13,000)
[1] Gross unrealized gains and losses are not recognized in AOCI in the Consolidated Balance Sheets.