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SECURITIES (Details) - USD ($)
$ in Thousands
12 Months Ended
Sep. 30, 2015
Sep. 30, 2014
Sep. 30, 2013
Available-for-sale debt securities [Abstract]      
Fair value $ 576,583 $ 657,870  
Available-for-sale equity securities [Abstract]      
Fair value 679,504 482,346  
Available-for-sale securities [Abstract]      
Amortized cost 1,254,661 1,148,414  
Gross unrealized gains 10,377 7,038  
Gross unrealized (losses) (8,951) (15,236)  
Fair value 1,256,087 1,140,216  
Available-for-sale securities in a continuous unrealized loss position [Abstract]      
LESS THAN 12 MONTHS, Fair Value 545,994 280,692  
OVER 12 MONTHS, Fair Value 103,450 450,852  
TOTAL, Fair Value 649,444 731,544  
LESS THAN 12 MONTHS, Unrealized (Losses) (5,161) (1,442)  
OVER 12 MONTHS, Unrealized (Losses) (3,790) (13,794)  
TOTAL, Unrealized (Losses) (8,951) (15,236)  
AMORTIZED COST [Abstract]      
Due in one year or less 0 2,999  
Due after one year through five years 1,174 9,922  
Due after five years through ten years 370,087 285,413  
Due after ten years 302,596 185,851  
Total Amortized Cost 673,857 484,185  
Mortgage-backed securities 580,165 663,690  
Common equities and mutual funds 639 539  
Amortized cost 1,254,661 1,148,414  
FAIR VALUE [Abstract]      
Due in one year or less 0 3,048  
Due after one year through five years 1,207 10,079  
Due after five years through ten years 376,394 285,698  
Due after ten years 300,989 182,696  
Total Fair Value 678,590 481,521  
Mortgage-backed securities 576,583 657,870  
Common equities and mutual funds 914 825  
Total securities 1,256,087 1,140,216  
Summary of activities related to the sale of available for sale securities [Abstract]      
Proceeds from sales 566,371 166,804 $ 209,172
Gross gains on sales 2,753 2,292 2,947
Gross losses on sales 4,387 2,185 $ 401
Held-to-maturity Securities [Abstract]      
Amortized cost 345,744 282,933  
Gross unrealized gains 2,182 942  
Gross unrealized (losses) (1,079) (4,563)  
Fair value 346,847 279,312  
Held-to-maturity securities in a continuous unrealized loss position [Abstract]      
LESS THAN 12 MONTHS, Fair Value 89,700 1,056  
OVER 12 MONTHS, Fair Value 72,695 230,200  
TOTAL, Fair Value 162,395 231,256  
LESS THAN 12 MONTHS, Unrealized (Losses) (442) (2)  
OVER 12 MONTHS, Unrealized (Losses) (637) (4,561)  
TOTAL, Unrealized (Losses) (1,079) (4,563)  
AMORTIZED COST [Abstract]      
Due in one year or less 95 347  
Due after one year through five years 8,411 4,726  
Due after five years through ten years 140,145 91,532  
Due after ten years 130,516 116,294  
Total Amortized Cost 279,167 212,899  
Mortgage-backed securities 66,577 70,034  
Amortized cost 345,744 282,933  
FAIR VALUE [Abstract]      
Due in one year or less 96 348  
Due after one year through five years 8,430 4,718  
Due after five years through ten years 140,505 89,984  
Due after ten years 131,712 116,090  
Total Fair Value 280,743 211,140  
Mortgage-backed securities 66,104 68,172  
Total securities 346,847 279,312  
Trust Preferred Securities [Member]      
Available-for-sale securities [Abstract]      
Amortized cost [1] 14,930 19,368  
Unrealized gain (loss) [1] (2,263) (1,868)  
Fair value [1] 12,667 17,500  
AMORTIZED COST [Abstract]      
Amortized cost [1] 14,930 19,368  
FAIR VALUE [Abstract]      
Total securities [1] 12,667 17,500  
S&P Credit Rating, BB+ [Member] | Moody Credit Rating, Baa3 [Member] | Key Corp Capital I [Member] | Trust Preferred Securities [Member]      
Available-for-sale securities [Abstract]      
Amortized cost [1] 4,986    
Unrealized gain (loss) [1] (797)    
Fair value [1] 4,189    
AMORTIZED COST [Abstract]      
Amortized cost [1] 4,986    
FAIR VALUE [Abstract]      
Total securities [1] 4,189    
S&P Credit Rating, BB+ [Member] | Moody Credit Rating, Baa3 [Member] | Huntington Capital Trust II SE [Member] | Trust Preferred Securities [Member]      
Available-for-sale securities [Abstract]      
Amortized cost [1]   4,977  
Unrealized gain (loss) [1]   (677)  
Fair value [1]   4,300  
AMORTIZED COST [Abstract]      
Amortized cost [1]   4,977  
FAIR VALUE [Abstract]      
Total securities [1]   4,300  
S&P Credit Rating, BB [Member] | Moody Credit Rating, Baa3 [Member] | Huntington Capital Trust II SE [Member] | Trust Preferred Securities [Member]      
Available-for-sale securities [Abstract]      
Amortized cost [1] 4,979    
Unrealized gain (loss) [1] (903)    
Fair value [1] 4,076    
AMORTIZED COST [Abstract]      
Amortized cost [1] 4,979    
FAIR VALUE [Abstract]      
Total securities [1] 4,076    
S&P Credit Rating, BBB- [Member] | Moody Credit Rating, Baa3 [Member] | Key Corp Capital I [Member] | Trust Preferred Securities [Member]      
Available-for-sale securities [Abstract]      
Amortized cost [1]   4,985  
Unrealized gain (loss) [1]   (585)  
Fair value [1]   4,400  
AMORTIZED COST [Abstract]      
Amortized cost [1]   4,985  
FAIR VALUE [Abstract]      
Total securities [1]   4,400  
S&P Credit Rating, BBB- [Member] | Moody Credit Rating, Baa2 [Member] | PNC Capital Trust [Member] | Trust Preferred Securities [Member]      
Available-for-sale securities [Abstract]      
Amortized cost [1] 4,965    
Unrealized gain (loss) [1] (563)    
Fair value [1] 4,402    
AMORTIZED COST [Abstract]      
Amortized cost [1] 4,965    
FAIR VALUE [Abstract]      
Total securities [1] 4,402    
S&P Credit Rating, BBB [Member] | Moody Credit Rating, Baa2 [Member] | PNC Capital Trust [Member] | Trust Preferred Securities [Member]      
Available-for-sale securities [Abstract]      
Amortized cost [1]   4,962  
Unrealized gain (loss) [1]   (562)  
Fair value [1]   4,400  
AMORTIZED COST [Abstract]      
Amortized cost [1]   4,962  
FAIR VALUE [Abstract]      
Total securities [1]   4,400  
S&P Credit Rating, A- [Member] | Moody Credit Rating, A3 [Member] | Wells Fargo (Corestates Capital) Trust [Member] | Trust Preferred Securities [Member]      
Available-for-sale securities [Abstract]      
Amortized cost [1]   4,444  
Unrealized gain (loss) [1]   (44)  
Fair value [1]   4,400  
AMORTIZED COST [Abstract]      
Amortized cost [1]   4,444  
FAIR VALUE [Abstract]      
Total securities [1]   4,400  
Debt Securities [Member]      
Available-for-sale debt securities [Abstract]      
Amortized cost 1,254,022 1,147,875  
Gross unrealized gains 10,094 6,747  
Gross unrealized (losses) (8,943) (15,231)  
Fair value 1,255,173 1,139,391  
Available-for-sale securities in a continuous unrealized loss position [Abstract]      
LESS THAN 12 MONTHS, Fair Value 545,994 280,569  
OVER 12 MONTHS, Fair Value 103,329 450,852  
TOTAL, Fair Value 649,323 731,421  
LESS THAN 12 MONTHS, Unrealized (Losses) (5,161) (1,437)  
OVER 12 MONTHS, Unrealized (Losses) (3,782) (13,794)  
TOTAL, Unrealized (Losses) (8,943) (15,231)  
Trust Preferred and Corporate Securities [Member]      
Available-for-sale debt securities [Abstract]      
Amortized cost 16,199 48,747  
Gross unrealized gains 8 191  
Gross unrealized (losses) (2,263) (2,009)  
Fair value 13,944 46,929  
Available-for-sale securities in a continuous unrealized loss position [Abstract]      
LESS THAN 12 MONTHS, Fair Value 0 6,073  
OVER 12 MONTHS, Fair Value 12,667 25,359  
TOTAL, Fair Value 12,667 31,432  
LESS THAN 12 MONTHS, Unrealized (Losses) 0 (47)  
OVER 12 MONTHS, Unrealized (Losses) (2,263) (1,962)  
TOTAL, Unrealized (Losses) (2,263) (2,009)  
Small Business Administration Securities [Member]      
Available-for-sale debt securities [Abstract]      
Amortized cost 54,493 66,541  
Gross unrealized gains 1,563 543  
Gross unrealized (losses) 0 (72)  
Fair value 56,056 67,012  
Available-for-sale securities in a continuous unrealized loss position [Abstract]      
LESS THAN 12 MONTHS, Fair Value   8,454  
OVER 12 MONTHS, Fair Value   0  
TOTAL, Fair Value   8,454  
LESS THAN 12 MONTHS, Unrealized (Losses)   (72)  
OVER 12 MONTHS, Unrealized (Losses)   0  
TOTAL, Unrealized (Losses)   (72)  
Obligations of States and Political Subdivisions [Member]      
Held-to-maturity Securities [Abstract]      
Amortized cost 19,540 19,304  
Gross unrealized gains 60 48  
Gross unrealized (losses) (187) (372)  
Fair value 19,413 18,980  
Held-to-maturity securities in a continuous unrealized loss position [Abstract]      
LESS THAN 12 MONTHS, Fair Value 5,528 1,056  
OVER 12 MONTHS, Fair Value 7,964 14,079  
TOTAL, Fair Value 13,492 15,135  
LESS THAN 12 MONTHS, Unrealized (Losses) (34) (2)  
OVER 12 MONTHS, Unrealized (Losses) (153) (370)  
TOTAL, Unrealized (Losses) (187) (372)  
AMORTIZED COST [Abstract]      
Amortized cost 19,540 19,304  
FAIR VALUE [Abstract]      
Total securities 19,413 18,980  
Non-Bank Qualified Obligation of States And Political Subdivisions [Member]      
Available-for-sale debt securities [Abstract]      
Amortized cost 603,165 368,897  
Gross unrealized gains 7,240 2,494  
Gross unrealized (losses) (1,815) (3,811)  
Fair value 608,590 367,580  
Available-for-sale securities in a continuous unrealized loss position [Abstract]      
LESS THAN 12 MONTHS, Fair Value 97,006 27,062  
OVER 12 MONTHS, Fair Value 42,583 191,146  
TOTAL, Fair Value 139,589 218,208  
LESS THAN 12 MONTHS, Unrealized (Losses) (860) (70)  
OVER 12 MONTHS, Unrealized (Losses) (955) (3,741)  
TOTAL, Unrealized (Losses) (1,815) (3,811)  
Held-to-maturity Securities [Abstract]      
Amortized cost 259,627 193,595  
Gross unrealized gains 2,122 894  
Gross unrealized (losses) (419) (2,329)  
Fair value 261,330 192,160  
Held-to-maturity securities in a continuous unrealized loss position [Abstract]      
LESS THAN 12 MONTHS, Fair Value 78,663 0  
OVER 12 MONTHS, Fair Value 4,136 147,949  
TOTAL, Fair Value 82,799 147,949  
LESS THAN 12 MONTHS, Unrealized (Losses) (365) 0  
OVER 12 MONTHS, Unrealized (Losses) (54) (2,329)  
TOTAL, Unrealized (Losses) (419) (2,329)  
AMORTIZED COST [Abstract]      
Amortized cost 259,627 193,595  
FAIR VALUE [Abstract]      
Total securities 261,330 192,160  
Mortgage-backed Securities [Member]      
Available-for-sale debt securities [Abstract]      
Amortized cost 580,165 663,690  
Gross unrealized gains 1,283 3,519  
Gross unrealized (losses) (4,865) (9,339)  
Fair value 576,583 657,870  
Available-for-sale securities in a continuous unrealized loss position [Abstract]      
LESS THAN 12 MONTHS, Fair Value 448,988 238,980  
OVER 12 MONTHS, Fair Value 48,079 234,347  
TOTAL, Fair Value 497,067 473,327  
LESS THAN 12 MONTHS, Unrealized (Losses) (4,301) (1,248)  
OVER 12 MONTHS, Unrealized (Losses) (564) (8,091)  
TOTAL, Unrealized (Losses) (4,865) (9,339)  
Held-to-maturity Securities [Abstract]      
Amortized cost 66,577 70,034  
Gross unrealized gains 0 0  
Gross unrealized (losses) (473) (1,862)  
Fair value 66,104 68,172  
Held-to-maturity securities in a continuous unrealized loss position [Abstract]      
LESS THAN 12 MONTHS, Fair Value 5,509 0  
OVER 12 MONTHS, Fair Value 60,595 68,172  
TOTAL, Fair Value 66,104 68,172  
LESS THAN 12 MONTHS, Unrealized (Losses) (43) 0  
OVER 12 MONTHS, Unrealized (Losses) (430) (1,862)  
TOTAL, Unrealized (Losses) (473) (1,862)  
AMORTIZED COST [Abstract]      
Amortized cost 66,577 70,034  
FAIR VALUE [Abstract]      
Total securities 66,104 68,172  
Common Equities and Mutual Funds [Member]      
Available-for-sale equity securities [Abstract]      
Amortized cost 639 539  
Gross unrealized gains 283 291  
Gross unrealized (losses) (8) (5)  
Fair value 914 825  
Available-for-sale securities in a continuous unrealized loss position [Abstract]      
LESS THAN 12 MONTHS, Fair Value 0 123  
OVER 12 MONTHS, Fair Value 121 0  
TOTAL, Fair Value 121 123  
LESS THAN 12 MONTHS, Unrealized (Losses) 0 (5)  
OVER 12 MONTHS, Unrealized (Losses) (8) 0  
TOTAL, Unrealized (Losses) $ (8) $ (5)  
[1] Trust preferred securities are single-issuance. There are no known deferrals, defaults or excess subordination.