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SECURITIES - Available for Sale (Details) - USD ($)
$ in Thousands
Jun. 30, 2016
Sep. 30, 2015
Available-for-sale debt securities [Abstract]    
Fair value $ 579,330 $ 576,583
Available-for-sale equity securities [Abstract]    
Fair value 863,468 679,504
Available-for-sale securities [Abstract]    
Amortized cost 1,404,733 1,254,661
Gross unrealized gains 42,631 10,377
Gross unrealized (losses) (4,566) (8,951)
Fair value 1,442,798 1,256,087
Available-for-sale securities in a continuous unrealized loss position [Abstract]    
LESS THAN 12 MONTHS, Fair Value 49,900 545,994
LESS THAN 12 MONTHS, Unrealized (Losses) (1,002) (5,161)
OVER 12 MONTHS, Fair Value 153,298 103,450
OVER 12 MONTHS, Unrealized (Losses) (3,564) (3,790)
TOTAL, Fair Value 203,198 649,444
TOTAL, Unrealized (Losses) (4,566) (8,951)
AMORTIZED COST [Abstract]    
Due in one year or less 0 0
Due after one year through five years 13,606 1,174
Due after five years through ten years 400,021 370,087
Due after ten years 413,909 302,596
Total 827,536 673,857
Common equities and mutual funds 761 639
Amortized cost 1,404,733 1,254,661
FAIR VALUE [Abstract]    
Due in one year or less 0 0
Due after one year through five years 14,077 1,207
Due after five years through ten years 421,303 376,394
Due after ten years 426,975 300,989
Total 862,355 678,590
Available-for-sale Securities, Debt Maturities, without Single Maturity Date, Amortized Cost Basis 576,436 580,165
Mortgage-backed securities 579,330 576,583
Common equities and mutual funds 1,113 914
Total available for sale securities 1,442,798 1,256,087
Trust Preferred Securities Subject to Mandatory Redemption [Member]    
Available-for-sale securities [Abstract]    
Amortized cost 14,934 14,930
Unrealized gain (loss) (2,746) (2,263)
Fair value 12,188 12,667
AMORTIZED COST [Abstract]    
Amortized cost 14,934 14,930
FAIR VALUE [Abstract]    
Total available for sale securities 12,188 12,667
Standard & Poor's, BB+ Rating [Member] | Moody Credit Rating, Baa2 [Member] | Key Corp Capital I [Member] | Trust Preferred Securities Subject to Mandatory Redemption [Member]    
Available-for-sale securities [Abstract]    
Amortized cost 4,987 4,986
Unrealized gain (loss) (976) (797)
Fair value 4,011 4,189
AMORTIZED COST [Abstract]    
Amortized cost 4,987 4,986
FAIR VALUE [Abstract]    
Total available for sale securities 4,011 4,189
Standard & Poor's, BB Rating [Member] | Moody Credit Rating, Baa2 [Member] | Huntington Capital Trust II SE [Member] | Trust Preferred Securities Subject to Mandatory Redemption [Member]    
Available-for-sale securities [Abstract]    
Amortized cost 4,980 4,979
Unrealized gain (loss) (1,146) (903)
Fair value 3,834 4,076
AMORTIZED COST [Abstract]    
Amortized cost 4,980 4,979
FAIR VALUE [Abstract]    
Total available for sale securities 3,834 4,076
Standard & Poor's, BBB- Rating [Member] | Moody Credit Rating, Baa1 [Member] | PNC Capital Trust [Member] | Trust Preferred Securities Subject to Mandatory Redemption [Member]    
Available-for-sale securities [Abstract]    
Amortized cost 4,967 4,965
Unrealized gain (loss) (624) (563)
Fair value 4,343 4,402
AMORTIZED COST [Abstract]    
Amortized cost 4,967 4,965
FAIR VALUE [Abstract]    
Total available for sale securities 4,343 4,402
Trust Preferred and Corporate Securities [Member]    
Available-for-sale debt securities [Abstract]    
Amortized cost 14,934 16,199
Gross unrealized gains 0 8
Gross unrealized (losses) (2,746) (2,263)
Fair value 12,188 13,944
Available-for-sale securities in a continuous unrealized loss position [Abstract]    
LESS THAN 12 MONTHS, Fair Value 0 0
LESS THAN 12 MONTHS, Unrealized (Losses) 0 0
OVER 12 MONTHS, Fair Value 12,188 12,667
OVER 12 MONTHS, Unrealized (Losses) (2,746) (2,263)
TOTAL, Fair Value 12,188 12,667
TOTAL, Unrealized (Losses) (2,746) (2,263)
Small Business Administration Securities [Member]    
Available-for-sale debt securities [Abstract]    
Amortized cost 81,786 54,493
Gross unrealized gains 2,318 1,563
Gross unrealized (losses) 0 0
Fair value 84,104 56,056
Non-bank Qualified Obligations of States and Political Subdivisions [Member]    
Available-for-sale debt securities [Abstract]    
Amortized cost 663,861 603,165
Gross unrealized gains 36,314 7,240
Gross unrealized (losses) (135) (1,815)
Fair value 700,040 608,590
Available-for-sale securities in a continuous unrealized loss position [Abstract]    
LESS THAN 12 MONTHS, Fair Value 0 97,006
LESS THAN 12 MONTHS, Unrealized (Losses) 0 (860)
OVER 12 MONTHS, Fair Value 12,018 42,583
OVER 12 MONTHS, Unrealized (Losses) (135) (955)
TOTAL, Fair Value 12,018 139,589
TOTAL, Unrealized (Losses) (135) (1,815)
Asset-backed Securities [Member]    
Available-for-sale debt securities [Abstract]    
Amortized cost 66,955  
Gross unrealized gains 70  
Gross unrealized (losses) (1,002)  
Fair value 66,023  
Available-for-sale securities in a continuous unrealized loss position [Abstract]    
LESS THAN 12 MONTHS, Fair Value 49,900  
LESS THAN 12 MONTHS, Unrealized (Losses) (1,002)  
OVER 12 MONTHS, Fair Value 0  
OVER 12 MONTHS, Unrealized (Losses) 0  
TOTAL, Fair Value 49,900  
TOTAL, Unrealized (Losses) (1,002)  
Mortgage-backed Securities [Member]    
Available-for-sale debt securities [Abstract]    
Amortized cost 576,436 580,165
Gross unrealized gains 3,573 1,283
Gross unrealized (losses) (679) (4,865)
Fair value 579,330 576,583
Available-for-sale securities in a continuous unrealized loss position [Abstract]    
LESS THAN 12 MONTHS, Fair Value 0 448,988
LESS THAN 12 MONTHS, Unrealized (Losses) 0 (4,301)
OVER 12 MONTHS, Fair Value 128,968 48,079
OVER 12 MONTHS, Unrealized (Losses) (679) (564)
TOTAL, Fair Value 128,968 497,067
TOTAL, Unrealized (Losses) (679) (4,865)
Debt Securities [Member]    
Available-for-sale debt securities [Abstract]    
Amortized cost 1,403,972 1,254,022
Gross unrealized gains 42,275 10,094
Gross unrealized (losses) (4,562) (8,943)
Fair value 1,441,685 1,255,173
Available-for-sale securities in a continuous unrealized loss position [Abstract]    
LESS THAN 12 MONTHS, Fair Value 49,900 545,994
LESS THAN 12 MONTHS, Unrealized (Losses) (1,002) (5,161)
OVER 12 MONTHS, Fair Value 153,174 103,329
OVER 12 MONTHS, Unrealized (Losses) (3,560) (3,782)
TOTAL, Fair Value 203,074 649,323
TOTAL, Unrealized (Losses) (4,562) (8,943)
Common Equities and Mutual Funds [Member]    
Available-for-sale equity securities [Abstract]    
Amortized cost 761 639
Gross unrealized gains 356 283
Gross unrealized (losses) (4) (8)
Fair value 1,113 914
Available-for-sale securities in a continuous unrealized loss position [Abstract]    
LESS THAN 12 MONTHS, Fair Value 0 0
LESS THAN 12 MONTHS, Unrealized (Losses) 0 0
OVER 12 MONTHS, Fair Value 124 121
OVER 12 MONTHS, Unrealized (Losses) (4) (8)
TOTAL, Fair Value 124 121
TOTAL, Unrealized (Losses) $ (4) $ (8)