Quarterly report pursuant to Section 13 or 15(d)

FAIR VALUES OF ASSETS AND LIABILITIES (Non-recurring/fair values of financial instruments) (Details 5)

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FAIR VALUES OF ASSETS AND LIABILITIES (Non-recurring/fair values of financial instruments) (Details 5) - USD ($)
$ in Thousands
3 Months Ended 9 Months Ended
Sep. 30, 2015
Sep. 30, 2015
Dec. 31, 2014
Financial Assets:      
Trading account securities $ 38,609 $ 38,609 $ 42,191
Loans held for sale (includes $393,473 and $354,888 respectively, measured at fair value) (1) 675,636 675,636 416,327
Available-for-sale and other securities 11,094,868 11,094,868 9,384,670
Held-to-maturity securities, Total 3,157,688 3,157,688 3,379,905
Net loans and direct financing leases 49,063,971 49,063,971 47,050,530
Derivatives (77,557) (77,557) (101,197)
Financial Liabilities:      
Deposits 54,244,711 54,244,711 51,732,151
Short-term borrowings 1,453,812 1,453,812 2,397,101
Long-term borrowings 6,359,445 6,359,445 4,335,962
Derivatives (27,330) (27,330) (51,973)
Nonrecurring Basis      
Fair Value, Assets and Liabilities Measured on Recurring and Nonrecurring Basis [Line Items]      
MSR Fair Value Disclosure 133,812 133,812  
Gain Losses MSRs   (7,492)  
Assets measured at fair value on a nonrecurring basis      
Fair value, Impaired loans 52,837 52,837 52,911
Gain/(Losses), Impaired loans   (6,964)  
Fair value, Accrued income and other assets 24,910 24,910 35,039
Gain/(Losses), Accrued income and other assets   3,619  
Nonrecurring Basis | Level 1      
Fair Value, Assets and Liabilities Measured on Recurring and Nonrecurring Basis [Line Items]      
MSR Fair Value Disclosure 0 0  
Assets measured at fair value on a nonrecurring basis      
Fair value, Impaired loans 0 0  
Fair value, Accrued income and other assets 0 0  
Nonrecurring Basis | Level 2      
Fair Value, Assets and Liabilities Measured on Recurring and Nonrecurring Basis [Line Items]      
MSR Fair Value Disclosure 0 0  
Assets measured at fair value on a nonrecurring basis      
Fair value, Impaired loans 0 0  
Fair value, Accrued income and other assets 0 0  
Nonrecurring Basis | Level 3      
Fair Value, Assets and Liabilities Measured on Recurring and Nonrecurring Basis [Line Items]      
MSR Fair Value Disclosure 133,812 133,812  
Gain Losses MSRs (12,472)    
Assets measured at fair value on a nonrecurring basis      
Fair value, Impaired loans 52,837 52,837  
Gain/(Losses), Impaired loans (2,614)    
Fair value, Accrued income and other assets 24,910 24,910  
Gain/(Losses), Accrued income and other assets 356    
Carrying Amount      
Financial Assets:      
Cash and short-term assets 1,090,163 1,090,163 1,285,124
Trading account securities 38,609 38,609 42,191
Loans held for sale (includes $393,473 and $354,888 respectively, measured at fair value) (1) 675,636 675,636 416,327
Available-for-sale and other securities 11,094,868 11,094,868 9,384,670
Held-to-maturity securities, Total 3,157,688 3,157,688 3,379,905
Net loans and direct financing leases 49,063,971 49,063,971 47,050,530
Derivatives 451,584 451,584 352,642
Financial Liabilities:      
Deposits 54,244,711 54,244,711 51,732,151
Short-term borrowings 1,453,812 1,453,812 2,397,101
Long-term borrowings 6,359,445 6,359,445 4,335,962
Derivatives 289,677 289,677 284,255
Fair Value      
Financial Assets:      
Cash and short-term assets 1,090,163 1,090,163 1,285,124
Trading account securities 38,609 38,609 42,191
Loans held for sale (includes $393,473 and $354,888 respectively, measured at fair value) (1) 675,636 675,636 416,327
Available-for-sale and other securities 11,094,868 11,094,868 9,384,670
Held-to-maturity securities, Total 3,191,907 3,191,907 3,382,715
Net loans and direct financing leases 47,374,526 47,374,526 45,110,406
Derivatives 451,584 451,584 352,642
Financial Liabilities:      
Deposits 54,831,170 54,831,170 52,454,804
Short-term borrowings 1,453,812 1,453,812 2,397,101
Long-term borrowings 6,265,129 6,265,129 4,286,304
Derivatives 289,677 289,677 284,255
Fair Value | Level 1      
Financial Assets:      
Held-to-maturity securities, Total 0 0 0
Net loans and direct financing leases 0 0 0
Financial Liabilities:      
Deposits 0 0 0
Short-term borrowings 0 0 0
Long-term borrowings 0 0 0
Fair Value | Level 2      
Financial Assets:      
Held-to-maturity securities, Total 3,191,907 3,191,907 3,382,715
Net loans and direct financing leases 0 0 0
Financial Liabilities:      
Deposits 51,244,015 51,244,015 48,183,798
Short-term borrowings 0 0 0
Long-term borrowings 0 0 0
Fair Value | Level 3      
Financial Assets:      
Held-to-maturity securities, Total 0 0 0
Net loans and direct financing leases 47,374,526 47,374,526 45,110,406
Financial Liabilities:      
Deposits 3,587,155 3,587,155 4,271,006
Short-term borrowings 1,453,812 1,453,812 2,397,101
Long-term borrowings 6,265,129 6,265,129 4,286,304
Fair Value | Total Estimated Fair Value      
Financial Assets:      
Held-to-maturity securities, Total 3,191,907 3,191,907 3,382,715
Net loans and direct financing leases 47,374,526 47,374,526 45,110,406
Financial Liabilities:      
Deposits 54,831,170 54,831,170 52,454,804
Short-term borrowings 1,453,812 1,453,812 2,397,101
Long-term borrowings $ 6,265,129 $ 6,265,129 $ 4,286,304