Quarterly report pursuant to Section 13 or 15(d)

Available-for-Sale and Other Securities (Maturities/Unrealized) (Details)

v3.2.0.727
Available-for-Sale and Other Securities (Maturities/Unrealized) (Details) - USD ($)
$ in Thousands
3 Months Ended 6 Months Ended 12 Months Ended
Jun. 30, 2014
Jun. 30, 2015
Dec. 31, 2014
Investment maturity date range      
Non-marketable equity securities, Amortized Cost Non-marketable equity securities, Amortized Cost   $ 332,095 $ 331,559
Marketable equity securities, Amortized Cost   962 536
Total investment securities, Amortized Cost   10,203,184 9,359,886
Non-marketable equity securities, Fair Value   332,095 331,559
Marketable equity securities, fair value   1,731 1,269
Available-for-sale and other securities   10,254,871 9,384,670
Amortized cost, fair value, and gross unrealized gains and losses recognized in accumulated other comprehensive income      
Total investment securities, Amortized Cost   10,203,184 9,359,886
Total investment securities, Unrealized Gross Gains   (129,921) (117,554)
Total investment securities, Unrealized Gross Losses   (78,234) (92,770)
Available-for-sale and other securities   10,254,871 9,384,670
Investment securities in unrealized loss position      
Total temporarily impaired securities, less than 12 months, Fair value   2,014,035 1,437,360
Total temporarily impaired securities, less than 12 months, Unrealized Losses   (24,532) (12,949)
Total temporarily impaired securities, over 12 months, Fair Value   820,806 1,063,142
Total temporarily impaired securities, over 12 months, Unrealized Losses   (53,702) (79,821)
Total temporarily impaired securities, Fair Value   2,834,841 2,500,502
Available-for-sale Securities, Continuous Unrealized Loss Position, Aggregate Losses, Total   (78,234) (92,770)
U.S. Treasury [Member]      
Investment maturity date range      
Amortized Cost, Under 1 year   7,083 0
Fair Value, Under 1 year   7,085 0
Amortized Cost, 1-5 years   5,446 5,435
Fair Value, 1-5 years   5,515 5,452
Amortized Cost, 6-10 years   0 0
Fair Value, 6-10 years   0 0
Amortized Cost, Over 10 years   0 0
Fair Value, Over 10 years   0 0
Fair Value, Total   12,600 5,452
Total investment securities, Amortized Cost   12,529 5,435
Available-for-sale and other securities   12,600 5,452
Amortized cost, fair value, and gross unrealized gains and losses recognized in accumulated other comprehensive income      
Total investment securities, Amortized Cost   12,529 5,435
Total investment securities, Unrealized Gross Gains   (71) (17)
Total investment securities, Unrealized Gross Losses $ 0 0 0
Available-for-sale and other securities   12,600 5,452
Investment securities in unrealized loss position      
Total temporarily impaired securities, less than 12 months, Fair value   0 0
Total temporarily impaired securities, less than 12 months, Unrealized Losses   0 0
Total temporarily impaired securities, over 12 months, Fair Value   0 0
Total temporarily impaired securities, over 12 months, Unrealized Losses   0 0
Total temporarily impaired securities, Fair Value   0 0
Available-for-sale Securities, Continuous Unrealized Loss Position, Aggregate Losses, Total $ 0 0 0
Federal agencies - mortgage backed securities [Member]      
Investment maturity date range      
Amortized Cost, Under 1 year   32,515 47,023
Fair Value, Under 1 year   32,602 47,190
Amortized Cost, 1-5 years   201,594 216,775
Fair Value, 1-5 years   204,837 221,078
Amortized Cost, 6-10 years   228,390 184,576
Fair Value, 6-10 years   232,017 186,938
Amortized Cost, Over 10 years   5,647,118 4,825,525
Fair Value, Over 10 years   5,691,814 4,867,495
Fair Value, Total   6,161,270 5,322,701
Total investment securities, Amortized Cost   6,109,617 5,273,899
Available-for-sale and other securities   6,161,270 5,322,701
Amortized cost, fair value, and gross unrealized gains and losses recognized in accumulated other comprehensive income      
Total investment securities, Amortized Cost   6,109,617 5,273,899
Total investment securities, Unrealized Gross Gains   (68,308) (63,906)
Total investment securities, Unrealized Gross Losses   (16,655) (15,104)
Available-for-sale and other securities   6,161,270 5,322,701
Investment securities in unrealized loss position      
Total temporarily impaired securities, less than 12 months, Fair value   1,165,377 501,858
Total temporarily impaired securities, less than 12 months, Unrealized Losses   (6,575) (1,909)
Total temporarily impaired securities, over 12 months, Fair Value   284,316 527,280
Total temporarily impaired securities, over 12 months, Unrealized Losses   (10,080) (13,195)
Total temporarily impaired securities, Fair Value   1,449,693 1,029,138
Available-for-sale Securities, Continuous Unrealized Loss Position, Aggregate Losses, Total   (16,655) (15,104)
Other Federal Agencies [Member]      
Investment maturity date range      
Amortized Cost, Under 1 year   1,703 33,047
Fair Value, Under 1 year   1,710 33,237
Amortized Cost, 1-5 years   8,265 9,122
Fair Value, 1-5 years   8,693 9,575
Amortized Cost, 6-10 years   152,433 103,530
Fair Value, 6-10 years   155,589 105,019
Amortized Cost, Over 10 years   161,679 204,016
Fair Value, Over 10 years   163,192 203,712
Fair Value, Total   329,184 351,543
Total investment securities, Amortized Cost   324,080 349,715
Available-for-sale and other securities   329,184 351,543
Amortized cost, fair value, and gross unrealized gains and losses recognized in accumulated other comprehensive income      
Total investment securities, Amortized Cost   324,080 349,715
Total investment securities, Unrealized Gross Gains   (5,121) (2,871)
Total investment securities, Unrealized Gross Losses   (17) (1,043)
Available-for-sale and other securities   329,184 351,543
Investment securities in unrealized loss position      
Total temporarily impaired securities, less than 12 months, Fair value   1,484 159,708
Total temporarily impaired securities, less than 12 months, Unrealized Losses   (17) (1,020)
Total temporarily impaired securities, over 12 months, Fair Value   0 1,281
Total temporarily impaired securities, over 12 months, Unrealized Losses   0 (23)
Total temporarily impaired securities, Fair Value   1,484 160,989
Available-for-sale Securities, Continuous Unrealized Loss Position, Aggregate Losses, Total   (17) (1,043)
Total U.S. Government backed agencies [Member]      
Investment maturity date range      
Fair Value, Total   6,503,054 5,679,696
Total investment securities, Amortized Cost   6,446,226 5,629,049
Available-for-sale and other securities   6,503,054 5,679,696
Amortized cost, fair value, and gross unrealized gains and losses recognized in accumulated other comprehensive income      
Total investment securities, Amortized Cost   6,446,226 5,629,049
Total investment securities, Unrealized Gross Gains   (73,500) (66,794)
Total investment securities, Unrealized Gross Losses   (16,672) (16,147)
Available-for-sale and other securities   6,503,054 5,679,696
Investment securities in unrealized loss position      
Total temporarily impaired securities, less than 12 months, Fair value   1,166,861 661,566
Total temporarily impaired securities, less than 12 months, Unrealized Losses   (6,592) (2,929)
Total temporarily impaired securities, over 12 months, Fair Value   284,316 528,561
Total temporarily impaired securities, over 12 months, Unrealized Losses   (10,080) (13,218)
Total temporarily impaired securities, Fair Value   1,451,177 1,190,127
Available-for-sale Securities, Continuous Unrealized Loss Position, Aggregate Losses, Total   (16,672) (16,147)
Municipal securities [Member]      
Investment maturity date range      
Amortized Cost, Under 1 year   252,645 256,399
Fair Value, Under 1 year   244,911 255,835
Amortized Cost, 1-5 years   389,879 269,385
Fair Value, 1-5 years   391,985 274,003
Amortized Cost, 6-10 years   997,694 938,780
Fair Value, 6-10 years   1,006,042 945,954
Amortized Cost, Over 10 years   453,343 376,747
Fair Value, Over 10 years   475,428 392,777
Fair Value, Total   2,118,366 1,868,569
Total investment securities, Amortized Cost   2,093,561 1,841,311
Available-for-sale and other securities   2,118,366 1,868,569
Amortized cost, fair value, and gross unrealized gains and losses recognized in accumulated other comprehensive income      
Total investment securities, Amortized Cost   2,093,561 1,841,311
Total investment securities, Unrealized Gross Gains   (44,281) (37,398)
Total investment securities, Unrealized Gross Losses   (19,476) (10,140)
Available-for-sale and other securities   2,118,366 1,868,569
Investment securities in unrealized loss position      
Total temporarily impaired securities, less than 12 months, Fair value   521,393 568,619
Total temporarily impaired securities, less than 12 months, Unrealized Losses   (15,835) (9,127)
Total temporarily impaired securities, over 12 months, Fair Value   231,486 96,426
Total temporarily impaired securities, over 12 months, Unrealized Losses   (3,641) (1,013)
Total temporarily impaired securities, Fair Value   752,879 665,045
Available-for-sale Securities, Continuous Unrealized Loss Position, Aggregate Losses, Total   (19,476) (10,140)
Private label CMO [Member]      
Investment maturity date range      
Amortized Cost, Under 1 year   0 0
Fair Value, Under 1 year   0 0
Amortized Cost, 1-5 years   1,065 0
Fair Value, 1-5 years   1,109 0
Amortized Cost, 6-10 years   0 1,314
Fair Value, 6-10 years   0 1,371
Amortized Cost, Over 10 years   38,217 42,416
Fair Value, Over 10 years   36,895 40,555
Fair Value, Total   38,004 41,926
Total investment securities, Amortized Cost   39,282 43,730
Available-for-sale and other securities   38,004 41,926
Amortized cost, fair value, and gross unrealized gains and losses recognized in accumulated other comprehensive income      
Total investment securities, Amortized Cost   39,282 43,730
Total investment securities, Unrealized Gross Gains   (1,133) (1,116)
Total investment securities, Unrealized Gross Losses   (2,411) (2,920)
Available-for-sale and other securities   38,004 41,926
Investment securities in unrealized loss position      
Total temporarily impaired securities, less than 12 months, Fair value   0 0
Total temporarily impaired securities, less than 12 months, Unrealized Losses   0 0
Total temporarily impaired securities, over 12 months, Fair Value   22,246 22,650
Total temporarily impaired securities, over 12 months, Unrealized Losses   (2,411) (2,920)
Total temporarily impaired securities, Fair Value   22,246 22,650
Available-for-sale Securities, Continuous Unrealized Loss Position, Aggregate Losses, Total   (2,411) (2,920)
Other Asset Backed Securities [Member]      
Investment maturity date range      
Amortized Cost, Under 1 year   0 0
Fair Value, Under 1 year   0 0
Amortized Cost, 1-5 years   146,428 228,852
Fair Value, 1-5 years   146,936 229,364
Amortized Cost, 6-10 years   128,509 144,163
Fair Value, 6-10 years   128,725 144,193
Amortized Cost, Over 10 years   552,443 641,984
Fair Value, Over 10 years   515,656 582,441
Fair Value, Total   791,317 955,998
Total investment securities, Amortized Cost   827,380 1,014,999
Available-for-sale and other securities   791,317 955,998
Amortized cost, fair value, and gross unrealized gains and losses recognized in accumulated other comprehensive income      
Total investment securities, Amortized Cost   827,380 1,014,999
Total investment securities, Unrealized Gross Gains   (1,946) (2,061)
Total investment securities, Unrealized Gross Losses   (38,009) (61,062)
Available-for-sale and other securities   791,317 955,998
Investment securities in unrealized loss position      
Total temporarily impaired securities, less than 12 months, Fair value   234,815 157,613
Total temporarily impaired securities, less than 12 months, Unrealized Losses   (1,490) (641)
Total temporarily impaired securities, over 12 months, Fair Value   259,598 325,691
Total temporarily impaired securities, over 12 months, Unrealized Losses   (36,519) (60,421)
Total temporarily impaired securities, Fair Value   494,413 483,304
Available-for-sale Securities, Continuous Unrealized Loss Position, Aggregate Losses, Total   (38,009) (61,062)
Covered Bonds [Member]      
Investment maturity date range      
Amortized Cost, Under 1 year   0 0
Fair Value, Under 1 year   0 0
Amortized Cost, 1-5 years   0 0
Fair Value, 1-5 years   0 0
Amortized Cost, 6-10 years   0 0
Fair Value, 6-10 years   0 0
Amortized Cost, Over 10 years   0 0
Fair Value, Over 10 years   0 0
Fair Value, Total   0 0
Total investment securities, Amortized Cost   0 0
Available-for-sale and other securities   0 0
Amortized cost, fair value, and gross unrealized gains and losses recognized in accumulated other comprehensive income      
Total investment securities, Amortized Cost   0 0
Total investment securities, Unrealized Gross Gains   0 0
Total investment securities, Unrealized Gross Losses   0 0
Available-for-sale and other securities   0 0
Investment securities in unrealized loss position      
Total temporarily impaired securities, less than 12 months, Fair value   0 0
Total temporarily impaired securities, less than 12 months, Unrealized Losses   0 0
Total temporarily impaired securities, over 12 months, Fair Value   0 0
Total temporarily impaired securities, over 12 months, Unrealized Losses   0 0
Total temporarily impaired securities, Fair Value   0 0
Available-for-sale Securities, Continuous Unrealized Loss Position, Aggregate Losses, Total   0 0
Corporate debt [Member]      
Investment maturity date range      
Amortized Cost, Under 1 year   29,986 18,767
Fair Value, Under 1 year   29,990 18,953
Amortized Cost, 1-5 years   308,150 314,773
Fair Value, 1-5 years   315,987 323,503
Amortized Cost, 6-10 years   109,769 145,611
Fair Value, 6-10 years   108,607 143,720
Amortized Cost, Over 10 years   0 0
Fair Value, Over 10 years   0 0
Fair Value, Total   454,584 486,176
Total investment securities, Amortized Cost   447,905 479,151
Available-for-sale and other securities   454,584 486,176
Amortized cost, fair value, and gross unrealized gains and losses recognized in accumulated other comprehensive income      
Total investment securities, Amortized Cost   447,905 479,151
Total investment securities, Unrealized Gross Gains   (8,292) (9,442)
Total investment securities, Unrealized Gross Losses   (1,613) (2,417)
Available-for-sale and other securities   454,584 486,176
Investment securities in unrealized loss position      
Total temporarily impaired securities, less than 12 months, Fair value   90,201 49,562
Total temporarily impaired securities, less than 12 months, Unrealized Losses   (580) (252)
Total temporarily impaired securities, over 12 months, Fair Value   21,677 88,398
Total temporarily impaired securities, over 12 months, Unrealized Losses   (1,033) (2,165)
Total temporarily impaired securities, Fair Value   111,878 137,960
Available-for-sale Securities, Continuous Unrealized Loss Position, Aggregate Losses, Total   (1,613) (2,417)
Other Securities [Member]      
Investment maturity date range      
Amortized Cost, Under 1 year   0 250
Fair Value, Under 1 year   0 250
Amortized Cost, 1-5 years   3,950 3,150
Fair Value, 1-5 years   3,897 3,066
Amortized Cost, 6-10 years   0 0
Fair Value, 6-10 years   0 0
Amortized Cost, Over 10 years   0 0
Fair Value, Over 10 years   0 0
Fair Value, Total   349,546 352,305
Total investment securities, Amortized Cost   348,830 351,646
Available-for-sale and other securities   349,546 352,305
Amortized cost, fair value, and gross unrealized gains and losses recognized in accumulated other comprehensive income      
Total investment securities, Amortized Cost   348,830 351,646
Total investment securities, Unrealized Gross Gains   (769) (743)
Total investment securities, Unrealized Gross Losses   (53) (84)
Available-for-sale and other securities   349,546 352,305
Investment securities in unrealized loss position      
Total temporarily impaired securities, less than 12 months, Fair value   765 0
Total temporarily impaired securities, less than 12 months, Unrealized Losses   (35) 0
Total temporarily impaired securities, over 12 months, Fair Value   1,483 1,416
Total temporarily impaired securities, over 12 months, Unrealized Losses   (18) (84)
Total temporarily impaired securities, Fair Value   2,248 1,416
Available-for-sale Securities, Continuous Unrealized Loss Position, Aggregate Losses, Total   $ (53) $ (84)