XML 20 R48.htm IDEA: XBRL DOCUMENT v2.4.1.9
Offset of Assets/Liabilities (Tables)
12 Months Ended
Dec. 31, 2014
Offsetting [Abstract]  
Offsetting Assets [Table Text Block]
December 31, 2014
           Gross Amounts Not Offset in the Statement of Financial Condition  
    Gross Amounts Net Amount of      
    Offset in the Assets Presented      
  Gross Amount Statement of in Statement   Cash  
  of Recognized Financial of Financial Financial Collateral Net
  Assets Condition Condition Instruments Received Amount
  (In thousands)
Derivatives $ 8,107 $ - $ 8,107 $ 2,006 $ - $ 6,101
                   
                   
December 31, 2013
           Gross Amounts Not Offset in the Statement of Financial Condition  
    Gross Amounts Net amount of      
    Offset in the Assets Presented      
  Gross Amount Statement of in Statement   Cash  
  of Recognized Financial of Financial Financial Collateral Net
  Assets Condition Condition Instruments Received Amount
  (In thousands)
Derivatives $ 20,502 $ - $ 20,502 $ 2,450 $ 6,780 $ 11,272
Securities purchased under agreements to resell   60,000   -   60,000   64,587   -   (4,587)
Total $ 80,502 $ - $ 80,502 $ 67,037 $ 6,780 $ 6,685
Offsetting Liabilities [Table Text Block]
December 31, 2014
           Gross Amounts Not Offset in the Statement of Financial Condition  
      Net Amount of      
    Gross Amounts Liabilities      
    Offset in the   Presented         
  Gross Amount Statement of  in Statement   Cash  
  of Recognized Financial of Financial Financial Collateral Net
  Liabilities Condition Condition Instruments Provided Amount
        (In thousands)
Derivatives $ 16,698 $ - $ 16,698 $ - $ 2,980 $ 13,718
Securities sold under agreements to repurchase   977,816   -   977,816   1,088,525   -   (110,709)
Total $ 994,514 $ - $ 994,514 $ 1,088,525 $ 2,980 $ (96,991)
                   
                   
December 31, 2013
           Gross Amounts Not Offset in the Statement of Financial Condition  
      Net Amount of      
    Gross Amounts Liabilities      
    Offset in the   Presented         
  Gross Amount Statement of  in Statement   Cash  
  of Recognized Financial of Financial Financial Collateral Net
  Liabilities Condition Condition Instruments Provided Amount
  (In thousands)
Derivatives $ 30,672 $ - $ 30,672 $ - $ 2,980 $ 27,692
Securities sold under agreements to repurchase   1,265,000   -   1,265,000   1,277,919   67,029   (79,948)
Total $ 1,295,672 $ - $ 1,295,672 $ 1,277,919 $ 70,009 $ (52,256)