Annual report pursuant to Section 13 and 15(d)

OTHER REGULATORY MATTERS (Tables)

v3.3.1.900
OTHER REGULATORY MATTERS (Tables)
12 Months Ended
Dec. 31, 2015
Banking and Thrift [Abstract]  
Period-end capital amounts and capital ratios
Amounts presented prior to January 1, 2015 are calculated using the Basel I capital requirements.
 
 
Well-
 
 
 
December 31,
 
 
capitalized
 
Minimum
 
2015
 
2014
 
 
Capital
 
Capital
 
Basel III
 
Basel I
(dollar amounts in thousands)
 
Ratios
 
Ratios
 
Ratio
 
Amount
 
Ratio
 
Amount
Common equity tier 1 risk-based capital
Consolidated
N.A.

 
4.50
%
 
9.79
%
 
$
5,721,028

 
N.A.

 
N.A.

 
Bank
6.50
%
 
4.50

 
9.46

 
5,518,748

 
N.A.

 
N.A.

Tier 1 risk-based capital
Consolidated
6.00

 
6.00

 
10.53

 
6,154,000

 
11.50
%
 
$
6,265,900

 
Bank
8.00

 
6.00

 
9.83

 
5,735,274

 
11.28

 
6,136,190

Total risk-based capital
Consolidated
10.00

 
8.00

 
12.64

 
7,386,936

 
13.56

 
7,388,336

 
Bank
10.00

 
8.00

 
11.74

 
6,850,596

 
12.79

 
6,956,242

Tier 1 leverage capital
Consolidated
N.A.

 
4.00

 
8.79

 
6,154,000

 
9.74

 
6,265,900

 
Bank
5.00

 
4.00

 
8.21

 
5,735,274

 
9.56

 
6,136,190