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Loan and Lease Finance Receivables and Allowance for Credit Losses (Details 3) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 6 Months Ended
Jun. 30, 2012
Jun. 30, 2011
Jun. 30, 2012
Jun. 30, 2011
Allowance for credit losses and recorded investment in financing receivables        
Beginning balance $ 91,922 $ 101,067 $ 93,964 $ 105,259
Charge-offs (1,602) (4,606) (3,958) (16,644)
Recoveries 1,572 434 1,886 1,212
Provision/Reallocation of ALLL       7,068
Ending balance 91,892 96,895 91,892 96,895
Ending balance: Individually evaluated for impairment 1,254 1,207 1,254 1,207
Ending balance: Collectively evaluated for impairment 90,638 95,688 90,638 95,688
Finance receivables ending balance 3,390,762 [1] 3,531,981 [1] 3,390,762 [1] 3,531,981 [1]
Ending balance: Individually evaluated for impairment 107,108 [1] 101,816 [1] 107,108 [1] 101,816 [1]
Ending balance: Collectively evaluated for impairment 3,073,507 [1] 3,095,940 [1] 3,073,507 [1] 3,095,940 [1]
Ending balance: Acquired loans with deteriorated credit quality 210,147 [1] 334,225 [1] 210,147 [1] 334,225 [1]
Covered Loans [Member]
       
Allowance for credit losses and recorded investment in financing receivables        
Charge-offs (50) [2] (24) [2] (81) [2] (418) [2]
Recoveries   2 [2] 0 [2] 5 [2]
Provision/Reallocation of ALLL 50 [2] 22 [2] 81 [2] 413 [2]
Ending balance    [2]      [2]  
Ending balance: Collectively evaluated for impairment    [2]      [2]  
Finance receivables ending balance 210,147 [1] 334,225 [1] 210,147 [1] 334,225 [1]
Ending balance: Acquired loans with deteriorated credit quality 210,147 [1] 334,225 [1] 210,147 [1] 334,225 [1]
Commercial and Industrial [Member]
       
Allowance for credit losses and recorded investment in financing receivables        
Beginning balance 11,907 10,443 10,654 11,472
Charge-offs (123) (194) (683) (883)
Recoveries 526 29 588 171
Provision/Reallocation of ALLL 22 1,008 1,773 526
Ending balance 12,332 11,286 12,332 11,286
Ending balance: Individually evaluated for impairment 486 379 486 379
Ending balance: Collectively evaluated for impairment 11,846 10,907 11,846 10,907
Finance receivables ending balance 523,816 [1] 470,746 [1] 523,816 [1] 470,746 [1]
Ending balance: Individually evaluated for impairment 7,926 [1] 7,218 [1] 7,926 [1] 7,218 [1]
Ending balance: Collectively evaluated for impairment 515,890 [1] 463,528 [1] 515,890 [1] 463,528 [1]
Construction [Member]
       
Allowance for credit losses and recorded investment in financing receivables        
Beginning balance 4,323 6,378 4,947 10,188
Charge-offs   (1,257)   (7,417)
Recoveries 1,025 155 1,052 403
Provision/Reallocation of ALLL (2,319) (938) (2,970) 1,164
Ending balance 3,029 4,338 3,029 4,338
Ending balance: Individually evaluated for impairment   158   158
Ending balance: Collectively evaluated for impairment 3,029 4,180 3,029 4,180
Finance receivables ending balance 68,312 [1] 85,106 [1] 68,312 [1] 85,106 [1]
Ending balance: Individually evaluated for impairment 37,989 [1] 39,500 [1] 37,989 [1] 39,500 [1]
Ending balance: Collectively evaluated for impairment 30,323 [1] 45,606 [1] 30,323 [1] 45,606 [1]
Real Estate [Member]
       
Allowance for credit losses and recorded investment in financing receivables        
Beginning balance 51,935 42,790 51,873 43,529
Charge-offs (1,426) (1,912) (1,956) (4,383)
Recoveries 14 [1] 102 235 434
Provision/Reallocation of ALLL (2,165) 4,285 (1,794) 5,685
Ending balance 48,358 45,265 48,358 45,265
Ending balance: Individually evaluated for impairment 668 646 668 646
Ending balance: Collectively evaluated for impairment 47,690 44,619 47,690 44,619
Finance receivables ending balance 2,124,644 [1] 2,157,969 [1] 2,124,644 [1] 2,157,969 [1]
Ending balance: Individually evaluated for impairment 49,901 [1] 52,247 [1] 49,901 [1] 52,247 [1]
Ending balance: Collectively evaluated for impairment 2,074,743 [1] 2,105,722 [1] 2,074,743 [1] 2,105,722 [1]
Municipal Lease Finance Receivables [Member]
       
Allowance for credit losses and recorded investment in financing receivables        
Beginning balance 2,020 2,811 2,403 2,172
Provision/Reallocation of ALLL (364) (193) (747) 446
Ending balance 1,656 2,618 1,656 2,618
Ending balance: Collectively evaluated for impairment 1,656 2,618 1,656 2,618
Finance receivables ending balance 109,816 [1] 119,419 [1] 109,816 [1] 119,419 [1]
Ending balance: Collectively evaluated for impairment 109,816 [1] 119,419 [1] 109,816 [1] 119,419 [1]
Dairy and Livestock [Member]
       
Allowance for credit losses and recorded investment in financing receivables        
Beginning balance 16,026 33,427 17,230 36,061
Charge-offs   (1,087) (1,150) (3,291)
Recoveries 2 39 2 39
Provision/Reallocation of ALLL 839 (8,868) 785 (9,298)
Ending balance 16,867 23,511 16,867 23,511
Ending balance: Collectively evaluated for impairment 16,867 23,511 16,867 23,511
Finance receivables ending balance 281,027 [1] 296,801 [1] 281,027 [1] 296,801 [1]
Ending balance: Individually evaluated for impairment 10,900 [1] 2,672 [1] 10,900 [1] 2,672 [1]
Ending balance: Collectively evaluated for impairment 270,127 [1] 294,129 [1] 270,127 [1] 294,129 [1]
Consumer, Auto and Other [Member]
       
Allowance for credit losses and recorded investment in financing receivables        
Beginning balance 1,543 1,673 1,638 1,034
Charge-offs (3) (132) (88) (252)
Recoveries 5 107 9 160
Provision/Reallocation of ALLL (35) (40) (49) 666
Ending balance 1,510 1,608 1,510 1,608
Ending balance: Individually evaluated for impairment 100 24 100 24
Ending balance: Collectively evaluated for impairment 1,410 1,584 1,410 1,584
Finance receivables ending balance 73,000 [1] 67,715 [1] 73,000 [1] 67,715 [1]
Ending balance: Individually evaluated for impairment 392 [1] 179 [1] 392 [1] 179 [1]
Ending balance: Collectively evaluated for impairment 72,608 [1] 67,536 [1] 72,608 [1] 67,536 [1]
Unallocated [Member]
       
Allowance for credit losses and recorded investment in financing receivables        
Beginning balance 4,168 3,545 5,219 803
Provision/Reallocation of ALLL 3,972 4,724 2,921 7,466
Ending balance 8,140 8,269 8,140 8,269
Ending balance: Collectively evaluated for impairment $ 8,140 $ 8,269 $ 8,140 $ 8,269
[1] Net of purchase accounting discount and deferred loan fees.
[2] Represents the allowance and related loan balance determined in accordance with ASC 310-30.