Quarterly report pursuant to Section 13 or 15(d)

Loans and Leases and Allowance For Credit Losses (TDR 1) (Details)

v2.4.0.6
Loans and Leases and Allowance For Credit Losses (TDR 1) (Details) (USD $)
3 Months Ended 9 Months Ended
Sep. 30, 2012
contracts
Sep. 30, 2011
contracts
Sep. 30, 2012
contracts
Sep. 30, 2011
contracts
Commercial and industrial owner occupied [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification $ (189,000) $ (1,156,000) $ 1,772,000 $ (2,265,000)
Number of Contracts, actual 35 21 104 66
Post-Modification Outstanding Balance 10,973,000 12,390,000 29,746,000 34,606,000
Commercial and industrial owner occupied [Member] | Interest Rate Reduction [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification 13,000 (70,000) 145,000 (748,000)
Number of Contracts, actual 7 3 21 27
Post-Modification Outstanding Balance 4,292,000 638,000 9,260,000 12,240,000
Commercial and industrial owner occupied [Member] | Amortization Or Maturity Date Change [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification (49,000) (1,085,000) 522,000 (1,759,000)
Number of Contracts, actual 23 16 70 35
Post-Modification Outstanding Balance 5,271,000 11,023,000 16,305,000 19,294,000
Commercial and industrial owner occupied [Member] | Other Concession [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification (153,000) (1,000) 1,105,000 242,000
Number of Contracts, actual 5 2 13 4
Post-Modification Outstanding Balance 1,410,000 729,000 4,181,000 3,072,000
Other commercial and industrial [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification (557,000) 1,302,000 (1,068,000) (3,268,000)
Number of Contracts, actual 36 19 142 76
Post-Modification Outstanding Balance 17,945,000 23,494,000 78,022,000 69,948,000
Other commercial and industrial [Member] | Interest Rate Reduction [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification (261,000) 1,225,000 1,000 11,000
Number of Contracts, actual 6 6 23 18
Post-Modification Outstanding Balance 2,029,000 18,292,000 7,095,000 21,382,000
Other commercial and industrial [Member] | Amortization Or Maturity Date Change [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification (432,000) 13,000 (1,270,000) (156,000)
Number of Contracts, actual 20 11 91 41
Post-Modification Outstanding Balance 12,393,000 2,175,000 36,403,000 23,145,000
Other commercial and industrial [Member] | Other Concession [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification 136,000 64,000 201,000 (3,123,000)
Number of Contracts, actual 10 2 28 17
Post-Modification Outstanding Balance 3,523,000 3,027,000 34,524,000 25,421,000
Commercial real estate retail properties [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification (3,000) 9,620,000 933,000 12,006,000
Number of Contracts, actual 2 10 20 28
Post-Modification Outstanding Balance 392,000 40,462,000 9,469,000 86,476,000
Commercial real estate retail properties [Member] | Interest Rate Reduction [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification 0 5,603,000 957,000 4,359,000
Number of Contracts, actual 0 2 8 8
Post-Modification Outstanding Balance 0 19,883,000 6,027,000 46,534,000
Commercial real estate retail properties [Member] | Amortization Or Maturity Date Change [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification (2,000) 4,012,000 (23,000) 6,358,000
Number of Contracts, actual 1 7 11 14
Post-Modification Outstanding Balance 116,000 17,984,000 3,166,000 25,689,000
Commercial real estate retail properties [Member] | Other Concession [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification (1,000) 5,000 (1,000) 1,289,000
Number of Contracts, actual 1 1 1 6
Post-Modification Outstanding Balance 276,000 2,595,000 276,000 14,253,000
Commercial real estate Multi family [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification 21,000 52,000 621,000 17,000
Number of Contracts, actual 21 5 42 15
Post-Modification Outstanding Balance 2,368,000 2,341,000 12,017,000 6,634,000
Commercial real estate Multi family [Member] | Interest Rate Reduction [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification (22,000) 103,000 (27,000) (8,000)
Number of Contracts, actual 8 4 10 10
Post-Modification Outstanding Balance 809,000 1,275,000 1,143,000 4,378,000
Commercial real estate Multi family [Member] | Amortization Or Maturity Date Change [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification 51,000 (51,000) (20,000) 25,000
Number of Contracts, actual 12 1 25 5
Post-Modification Outstanding Balance 1,216,000 1,066,000 2,913,000 2,256,000
Commercial real estate Multi family [Member] | Other Concession [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification (8,000) 0 668,000 0
Number of Contracts, actual 1 0 7 0
Post-Modification Outstanding Balance 343,000 0 7,961,000 0
Commercial real estate office [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification (635,000) 0 91,000 341,000
Number of Contracts, actual 3 0 13 5
Post-Modification Outstanding Balance 11,671,000 0 15,669,000 2,743,000
Commercial real estate office [Member] | Interest Rate Reduction [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification (599,000) 0 (236,000) 258,000
Number of Contracts, actual 1 0 4 3
Post-Modification Outstanding Balance 2,039,000 0 4,155,000 1,505,000
Commercial real estate office [Member] | Amortization Or Maturity Date Change [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification (36,000) 0 327,000 83,000
Number of Contracts, actual 2 0 6 2
Post-Modification Outstanding Balance 9,632,000 0 11,208,000 1,238,000
Commercial real estate office [Member] | Other Concession [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification 0 0 0 0
Number of Contracts, actual 0 0 3 0
Post-Modification Outstanding Balance 0 0 306,000 0
Commercial real estate Industrial and warehouse [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification (3,953,000) (939,000) (4,070,000) (6,682,000)
Number of Contracts, actual 8 3 15 8
Post-Modification Outstanding Balance 33,177,000 2,376,000 38,950,000 23,612,000
Commercial real estate Industrial and warehouse [Member] | Interest Rate Reduction [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification (224,000) 0 (220,000) (299,000)
Number of Contracts, actual 1 0 2 1
Post-Modification Outstanding Balance 1,600,000 0 4,600,000 2,165,000
Commercial real estate Industrial and warehouse [Member] | Amortization Or Maturity Date Change [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification (3,729,000) (2,000) (3,850,000) (5,446,000)
Number of Contracts, actual 7 2 13 6
Post-Modification Outstanding Balance 31,577,000 229,000 34,350,000 19,300,000
Commercial real estate Industrial and warehouse [Member] | Other Concession [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification 0 (937,000) 0 (937,000)
Number of Contracts, actual 0 1 0 1
Post-Modification Outstanding Balance 0 2,147,000 0 2,147,000
Residential Mortgage [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification 4,744,000 682,000 5,629,000 1,815,000
Number of Contracts, actual 655 171 864 525
Post-Modification Outstanding Balance 57,549,000 22,901,000 89,807,000 77,510,000
Residential Mortgage [Member] | Interest Rate Reduction [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification 59,000 0 10,000 (589,000)
Number of Contracts, actual 8 2 12 8
Post-Modification Outstanding Balance 1,300,000 181,000 7,466,000 6,604,000
Residential Mortgage [Member] | Amortization Or Maturity Date Change [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification 117,000 649,000 1,051,000 2,289,000
Number of Contracts, actual 113 164 318 499
Post-Modification Outstanding Balance 16,234,000 22,120,000 42,326,000 67,351,000
Residential Mortgage [Member] | Other Concession [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification 41,000 33,000 41,000 115,000
Number of Contracts, actual 6 5 6 18
Post-Modification Outstanding Balance 663,000 600,000 663,000 3,555,000
Residential Mortgage [Member] | Chapter 7 Bankruptcy
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification 4,527,000 0 4,527,000 0
Number of Contracts, actual 528 0 528 0
Post-Modification Outstanding Balance 39,352,000 [1] 0 39,352,000 [1] 0
Impact of chargeoffs to post-modification balances 7,900,000   7,900,000  
Automobile Loan [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification 1,724,000 (65,000) 1,685,000 (110,000)
Number of Contracts, actual 2,486 834 3,407 1,548
Post-Modification Outstanding Balance 15,250,000 7,834,000 21,750,000 14,018,000
Automobile Loan [Member] | Interest Rate Reduction [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification 0 3,000 4,000 3,000
Number of Contracts, actual 7 12 28 14
Post-Modification Outstanding Balance 51,000 147,000 271,000 186,000
Automobile Loan [Member] | Amortization Or Maturity Date Change [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification (30,000) (68,000) (73,000) (113,000)
Number of Contracts, actual 501 822 1,401 1,534
Post-Modification Outstanding Balance 3,533,000 7,687,000 9,813,000 13,832,000
Automobile Loan [Member] | Other Concession [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification 0 0 0 0
Number of Contracts, actual 0 0 0 0
Post-Modification Outstanding Balance 0 0 0 0
Automobile Loan [Member] | Chapter 7 Bankruptcy
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification 1,754,000 0 1,754,000 0
Number of Contracts, actual 1,978 0 1,978 0
Post-Modification Outstanding Balance 11,666,000 [2] 0 11,666,000 [2] 0
Impact of chargeoffs to post-modification balances 2,000,000   2,000,000  
Home equity secured by first-lien other [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification 5,416,000 1,127,000 7,892,000 2,486,000
Number of Contracts, actual 255 97 411 170
Post-Modification Outstanding Balance 17,226,000 11,677,000 35,127,000 20,909,000
Home equity secured by first-lien other [Member] | Interest Rate Reduction [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification 1,185,000 1,016,000 3,666,000 1,899,000
Number of Contracts, actual 47 48 177 95
Post-Modification Outstanding Balance 6,837,000 5,857,000 21,841,000 11,836,000
Home equity secured by first-lien other [Member] | Amortization Or Maturity Date Change [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification 28,000 111,000 23,000 587,000
Number of Contracts, actual 31 49 57 75
Post-Modification Outstanding Balance 2,928,000 5,820,000 5,825,000 9,073,000
Home equity secured by first-lien other [Member] | Other Concession [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification 0 0 0 0
Number of Contracts, actual 0 0 0 0
Post-Modification Outstanding Balance 0 0 0 0
Home equity secured by first-lien other [Member] | Chapter 7 Bankruptcy
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification 4,203,000 0 4,203,000 0
Number of Contracts, actual 177 0 177 0
Post-Modification Outstanding Balance 7,461,000 [3] 0 7,461,000 [3] 0
Impact of chargeoffs to post-modification balances 4,300,000   4,300,000  
Home equity secured by junior-lien [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification 17,967,000 62,000 18,167,000 346,000
Number of Contracts, actual 1,260 99 1,316 198
Post-Modification Outstanding Balance 15,510,000 4,623,000 17,861,000 8,455,000
Home equity secured by junior-lien [Member] | Interest Rate Reduction [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification 226,000 22,000 443,000 287,000
Number of Contracts, actual 15 55 52 109
Post-Modification Outstanding Balance 1,273,000 2,992,000 2,749,000 5,480,000
Home equity secured by junior-lien [Member] | Amortization Or Maturity Date Change [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification (40,000) 40,000 (57,000) 59,000
Number of Contracts, actual 40 44 59 89
Post-Modification Outstanding Balance 1,586,000 1,631,000 2,458,000 2,975,000
Home equity secured by junior-lien [Member] | Other Concession [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification 0 0 0 0
Number of Contracts, actual 7 0 7 0
Post-Modification Outstanding Balance 285,000 0 288,000 0
Home equity secured by junior-lien [Member] | Chapter 7 Bankruptcy
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification 17,781,000 0 17,781,000 0
Number of Contracts, actual 1,198 0 1,198 0
Post-Modification Outstanding Balance 12,366,000 [4] 0 12,366,000 [4] 0
Impact of chargeoffs to post-modification balances 18,800,000   18,800,000  
Other Consumer loan [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification 9,000 30,000 53,000 54,000
Number of Contracts, actual 23 56 39 68
Post-Modification Outstanding Balance 238,000 909,000 728,000 1,200,000
Other Consumer loan [Member] | Interest Rate Reduction [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification 9,000 48,000 23,000 73,000
Number of Contracts, actual 7 6 12 11
Post-Modification Outstanding Balance 65,000 561,000 228,000 837,000
Other Consumer loan [Member] | Amortization Or Maturity Date Change [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification 0 (18,000) 30,000 (19,000)
Number of Contracts, actual 4 50 15 57
Post-Modification Outstanding Balance 25,000 348,000 352,000 363,000
Other Consumer loan [Member] | Other Concession [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification 0 0 0 0
Number of Contracts, actual 0 0 0 0
Post-Modification Outstanding Balance 0 0 0 0
Other Consumer loan [Member] | Chapter 7 Bankruptcy
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification 0 0 0 0
Number of Contracts, actual 12 0 12 0
Post-Modification Outstanding Balance 148,000 [5] 0 148,000 [5] 0
Impact of chargeoffs to post-modification balances 0   0  
Other commercial real estate [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification 422,000 (585,000) 1,964,000 (3,183,000)
Number of Contracts, actual 15 24 52 68
Post-Modification Outstanding Balance 14,408,000 41,793,000 78,433,000 129,212,000
Other commercial real estate [Member] | Interest Rate Reduction [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification (72,000) (374,000) (288,000) (1,180,000)
Number of Contracts, actual 2 10 9 15
Post-Modification Outstanding Balance 755,000 7,834,000 2,792,000 17,893,000
Other commercial real estate [Member] | Amortization Or Maturity Date Change [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification 383,000 (211,000) 4,145,000 (2,022,000)
Number of Contracts, actual 10 12 38 48
Post-Modification Outstanding Balance 13,454,000 31,470,000 66,007,000 103,120,000
Other commercial real estate [Member] | Other Concession [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification 111,000 0 (1,893,000) 19,000
Number of Contracts, actual 3 2 5 5
Post-Modification Outstanding Balance 199,000 2,489,000 9,634,000 8,199,000
Total Loan Portfolio [Member]
       
Financing Receivable, Modifications [Line Items]        
Financial effects of modification 24,966,000 10,130,000 33,669,000 1,557,000
Number of Contracts, actual 4,799 1,339 6,425 2,775
Post-Modification Outstanding Balance $ 196,707,000 $ 170,800,000 $ 427,579,000 $ 475,323,000
[1] Chapter 7 bankruptcy pre-modification balances were impacted by $7.9 million of charge-offs.
[2] Chapter 7 bankruptcy pre-modification balances were impacted by $2.0 million of charge-offs.
[3] Chapter 7 bankruptcy pre-modification balances were impacted by $4.3 million of charge-offs.
[4] Chapter 7 bankruptcy pre-modification balances were impacted by $18.8 million of charge-offs.
[5] Chapter 7 bankruptcy pre-modification balances were not significantly impacted by charge-offs.