Quarterly report pursuant to Section 13 or 15(d)

Held To Maturity Securities (Tables)

v3.2.0.727
Held To Maturity Securities (Tables)
3 Months Ended
Jun. 30, 2015
Held to Maturity Securities [Abstract]  
Contractual maturities of held-to-maturity securities

Listed below are the contractual maturities (under 1 year, 1-5 years, 6-10 years, and over 10 years) of held-to-maturity securities at June 30, 2015 and December 31, 2014:

June 30, 2015 December 31, 2014
Amortized Fair Amortized Fair
(dollar amounts in thousands) Cost Value Cost Value
Federal agencies: mortgage-backed securities:
Under 1 year $ --- $ --- $ --- $ ---
1-5 years --- --- --- ---
6-10 years 24,901 24,476 24,901 24,263
Over 10 years 2,906,086 2,911,305 3,136,460 3,140,194
Total Federal agencies: mortgage-backed securities 2,930,987 2,935,781 3,161,361 3,164,457
Other agencies:
Under 1 year --- --- --- ---
1-5 years --- --- --- ---
6-10 years 92,903 94,396 54,010 54,843
Over 10 years 272,671 271,961 156,553 155,821
Total other agencies 365,574 366,357 210,563 210,664
Total U.S. Government backed agencies 3,296,561 3,302,138 3,371,924 3,375,121
Municipal securities:
Under 1 year --- --- --- ---
1-5 years --- --- --- ---
6-10 years --- --- --- ---
Over 10 years 7,599 7,341 7,981 7,594
Total municipal securities 7,599 7,341 7,981 7,594
Total held-to-maturity securities $ 3,304,160 $ 3,309,479 $ 3,379,905 $ 3,382,715
Amortized cost, gross unrealized gains and losses, and fair value by investment category

The following table provides amortized cost, gross unrealized gains and losses, and fair value by investment category at June 30, 2015 and December 31, 2014:

Unrealized
Amortized Gross Gross Fair
(dollar amounts in thousands) Cost Gains Losses Value
June 30, 2015
Federal Agencies:
Mortgage-backed securities $ 2,930,987 $ 24,266 $ (19,472) $ 2,935,781
Other agencies 365,574 2,537 (1,754) 366,357
Total U.S. Government
backed agencies 3,296,561 26,803 (21,226) 3,302,138
Municipal securities 7,599 --- (258) 7,341
Total held-to-maturity securities $ 3,304,160 $ 26,803 $ (21,484) $ 3,309,479
Unrealized
Amortized Gross Gross Fair
(dollar amounts in thousands) Cost Gains Losses Value
December 31, 2014
Federal Agencies:
Mortgage-backed securities $ 3,161,361 $ 24,832 $ (21,736) $ 3,164,457
Other agencies 210,563 1,251 (1,150) 210,664
Total U.S. Government
backed agencies 3,371,924 26,083 (22,886) 3,375,121
Municipal securities 7,981 --- (387) 7,594
Total held-to-maturity securities $ 3,379,905 $ 26,083 $ (23,273) $ 3,382,715
Investment securities in an unrealized loss position
Less than 12 Months Over 12 Months Total
Fair Unrealized Fair Unrealized Fair Unrealized
(dollar amounts in thousands ) Value Losses Value Losses Value Losses
June 30, 2015
Federal Agencies:
Mortgage-backed securities $ 887,538 $ (6,871) $ 382,679 $ (12,601) $ 1,270,217 $ (19,472)
Other agencies 163,312 (1,615) 21,662 (139) 184,974 (1,754)
Total U.S. Government backed securities 1,050,850 (8,486) 404,341 (12,740) 1,455,191 (21,226)
Municipal securities --- --- 7,341 (258) 7,341 (258)
Total temporarily impaired securities $ 1,050,850 $ (8,486) $ 411,682 $ (12,998) $ 1,462,532 $ (21,484)
Less than 12 Months Over 12 Months Total
Fair Unrealized Fair Unrealized Fair Unrealized
(dollar amounts in thousands ) Value Losses Value Losses Value Losses
December 31, 2014
Federal Agencies:
Mortgage-backed securities $ 707,934 $ (5,550) $ 622,026 $ (16,186) $ 1,329,960 $ (21,736)
Other agencies 36,956 (198) 71,731 (952) 108,687 (1,150)
Total U.S. Government backed securities 744,890 (5,748) 693,757 (17,138) 1,438,647 (22,886)
Municipal securities 7,594 (387) --- --- 7,594 (387)
Total temporarily impaired securities $ 752,484 $ (6,135) $ 693,757 $ (17,138) $ 1,446,241 $ (23,273)